Garced, S. v. United Cerebral Palsy ( 2023 )


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  • J-A20018-22
    
    2023 PA Super 257
    SAMUEL GARCED AND GLADYS                          IN THE SUPERIOR COURT
    DELGADO-GARCED                                       OF PENNSYLVANIA
    Appellants
    v.
    UNITED    CEREBRAL    PALSY   OF
    PHILADELPHIA AND VICINITY A/K/A
    BLOSSOM PHILADELPHIA AND SANOSIL
    USA,     LLC      AND     SANOSIL
    INTERNATIONAL, LLC AND HALOSIL
    INTERNATIONAL, LLC
    Appellees                   No. 111 EDA 2022
    Appeal from the Order Entered December 7, 2021
    In the Court of Common Pleas of Philadelphia County
    Civil Division at No.: 171003536
    BEFORE: STABILE, J., MCCAFFERY, J. and PELLEGRINI, J.*
    OPINION BY STABILE, J.:                               FILED DECEMBER 7, 2023
    In this civil action, Appellants Samuel Garced (“Mr. Garced”) and Gladys
    Delgado-Garced (“Mrs. Garced”) allege that Mr. Garced suffered injuries from
    exposure to a disinfectant cleaner known as HaloSpray manufactured by
    Appellee Halosil International, Inc.1 that was applied to a sealed room by
    employees of Appellee United Cerebral Palsy of Philadelphia (“UCP”) using a
    “fogger” provided by Halosil. Mr. Garced claimed that he suffered permanent
    lung damage by inhaling HaloSpray fog that escaped through gaps between
    ____________________________________________
    * Retired Senior Judge assigned to the Superior Court.
    1  Appellees Halosil International, Inc., Sanosil USA, LLC and Sanosil
    International, LLC fall under the same corporate umbrella.    We refer
    collectively to these appellees as “Halosil.”
    J-A20018-22
    the sealed room and an adjacent room where he was cleaning. A jury awarded
    Mr. Garced $500,000.00 in damages for future medical expenses and
    $500,000.00 for past and future noneconomic loss but awarded no damages
    as to past lost earnings or future lost earning capacity. The trial court granted
    Halosil’s and UCP’s motions for judgment notwithstanding the verdict (“JNOV”)
    on Mr. Garced’s future medical expenses and future noneconomic loss based
    upon a failure to establish causation through competent expert testimony.
    The court denied Halosil’s motion seeking JNOV on the ground that Appellants’
    action was preempted under the Federal Insecticide Fungicide Rodenticide Act
    (“FIFRA”), 
    7 U.S.C. § 136
    (v). The court ordered a new trial limited to the
    amount of past noneconomic loss related to Mr. Garced’s emergency room
    visits and follow-up treatment.     Sanctions also were ordered as against
    Appellants and their counsel for conduct relating to the use of an interpreter
    at trial. Appellants appeal from the order disposing of post-trial motions. We
    affirm.
    I. BACKGROUND FACTS AND APPEAL ISSUES.
    The record reflects that HaloSpray consists of 94.5% deionized water,
    hydrogen peroxide, silver nitrate and phosphoric acid.              Halosil, the
    manufacturer and seller of HaloSpray, provided a fogging machine (known as
    a HaloFogger) and bottles of HaloSpray to UCP.        David St. Clair of Halosil
    trained Pat Bonner, head of UCP’s maintenance department, how to use the
    HaloFogger to generate disinfectant fog from HaloSpray and how to train other
    UCP employees to use the HaloFogger and prepare rooms for fogging. St.
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    Clair also trained another UCP employee, Jason Benson. St. Clair instructed
    that safe fogging requires closing all doors, sealing all gaps between the doors
    and door jambs and floors with masking tape, sealing all air vents and placing
    caution signs on exit doors to keep people out. St. Clair advised that nobody
    should enter a room that is being fogged without PPE (a respirator and
    goggles), and people without PPE should stay out until the next morning so
    that the hydrogen peroxide in the fog could dissipate.
    UCP contracted with Mr. Garced to provide general cleaning services at
    UCP.    On May 26, 2016, Mr. Garced was exposed to HaloSpray at UCP’s
    Philadelphia facility.   On that date, Mr. and Mrs. Garced were providing
    cleaning services at UCP. When they arrived that day, they were told not to
    clean Room 166 that evening. Benson set up the HaloFogger in Room 166,
    sealed the room and left the building at around 8:30 to 8:45 p.m. Mr. Garced
    testified that he was mopping and sweeping the floor of the classroom
    adjacent to Room 166 when he began feeling symptoms in his nose, face and
    chest. He testified that he had been working for about twenty minutes in the
    room before noticing fog or smoke around him. When he looked up and saw
    smoke on the ceiling, he exited the room. In the hallway, his face was bright
    red, and he threw up a white substance.        Mrs. Garced testified that the
    bathroom doors leading into Room 166 and the connecting room where Mr.
    Garced was working were both open at the time of the incident.
    Appellants left UCP and drove to nearby Einstein hospital because Mr.
    Garced was suffering from coughing and burning. He received oxygen in the
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    emergency room and reported chest pain and tightness. He claimed to never
    have had respiratory problems before the incident at UCP.        Following the
    exposure incident, he related he had shortness of breath, coughing, pain in
    his chest, left-sided sinus pain and swelling.
    In mid-August 2016, three months after the incident at UCP, Mr. Garced
    was diagnosed with irritant induced asthma or reactive airway disease
    syndrome (“RADS”).         He later underwent sinus surgery, and he stopped
    working in 2019.
    Appellants filed a personal injury action raising negligence claims
    against all Appellees as well as product liability and breach of warranty claims
    against Halosil.     Appellants also named St. Clair as a defendant but later
    agreed to dismiss their claim against him.       The court granted summary
    judgment in favor of Halosil on the product liability and warranty claims but
    permitted the case to proceed to trial on Appellants’ negligence claim.
    Several weeks before trial, the parties filed a total of 24 motions in
    limine, including Halosil’s Frye2 motion to preclude the testimony of
    Appellants’ medical expert witnesses, Drs. Lazaar and Savul, on the ground
    that the methodology underlying their opinions was not generally accepted in
    the relevant scientific community. UCP subsequently joined in this motion.
    One day before trial, the case was reassigned from the Honorable Sean
    Kennedy to the Honorable James Crumlish, III. On the morning of trial, the
    ____________________________________________
    2 Frye v. United States, 
    293 F. 1013
     (D.C. Cir. 1923).
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    J-A20018-22
    parties argued the motions in limine before Judge Crumlish. Without holding
    an evidentiary hearing, Judge Crumlish denied the Frye motion without
    prejudice to Appellees’ right to renew their objections to the medical experts’
    testimony during trial. N.T., 9/28/21, at 29.
    The case proceeded to trial before Judge Crumlish.             Appellants
    contended that Halosil was negligent in teaching UCP employees and in failing
    to identify places where the fog could escape and injure bystanders.
    Appellants asserted that UCP’s employees were negligent in failing to seal the
    room it was fogging.     Drs. Lazaar and Savul testified that Mr. Garced’s
    exposure to HaloSpray was the cause of his RADS. Notably, Appellants did
    not present any testimony, expert or otherwise, concerning the concentration
    of fog in the room where Mr. Garced experienced symptoms, a calculation of
    the dosage of HaloSpray that he inhaled, or the concentration of the mist in
    the room that would have been sufficient to cause RADS.
    Mr. Garced required an interpreter for his testimony because his primary
    language is Spanish. After trial began, Appellees learned that Appellants and
    their counsel met with their interpreter before and during trial to discuss Mr.
    Garced’s testimony. Appellees immediately moved for a directed verdict on
    the ground that Appellants and their counsel improperly coached the
    interpreter. The court denied this motion without prejudice to Appellees’ right
    to raise the same motion at the conclusion of trial.
    At the close of Appellants’ case, the court entered a nonsuit against Mrs.
    Garced. It previously granted Appellees’ motion in limine to preclude her
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    personal injury claim for failure to provide an expert report that causally
    connected her claimed injury to the exposure incident.       At the close of
    evidence, Appellees again moved for a directed verdict based on Appellants’
    misconduct relating to the interpreter. Appellees also moved for a directed
    verdict on the ground that Appellants failed to present sufficient evidence in
    support of the causation element of their negligence claim. Finally, Halosil
    moved for a directed verdict on the ground that Appellants’ claims were
    preempted under FIFRA. The court denied all motions for directed verdict.
    On October 7, 2021, the jury returned a verdict in favor of Mr. Garced
    in the amount of $1,000,000.00, finding UCP eighty percent (80%) liable and
    Halosil twenty percent (20%) liable. The verdict sheet reflected awards of
    $500,000.00 for “future medical expenses” and $500,000.00 for “past,
    present, and future pain and suffering, embarrassment and humiliation and
    loss of enjoyment of life.” All parties filed post-trial motions. On December
    7, 2021, the court entered an order denying Appellants’ post-trial motions as
    well as Halosil’s motion for JNOV under FIFRA. The court granted Halosil’s
    and UCP’s motions for JNOV for Appellants’ failure to submit sufficient
    evidence of causation. The court concluded that Appellants’ experts failed to
    meet the Frye and Rule 7023 standard for opining on proximate cause to
    support future medical expenses and future noneconomic loss, and that the
    jury therefore had no valid basis for these awards. Accordingly, the court
    ____________________________________________
    3 Pa.R.E 702 – Testimony by Expert Witnesses.
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    vacated the jury’s verdict and ordered a new trial limited solely to the issue of
    any past noneconomic loss that Mr. Garced could recover related to his initial
    emergency room visit and its immediate aftermath, which in the court’s
    opinion, represented the only injury for which Mr. Garced had admissible
    medical opinions to establish causation in fact. Consequently, the court struck
    the award of future medical expenses and future noneconomic loss,4 and
    granted a new trial limited to the amount of past noneconomic loss related to
    Mr. Garced’s emergency room visits and follow-up treatment.           The court
    denied UCP’s motion for JNOV based on Appellants’ misconduct during trial
    relating to the interpreter for Mr. Garced’s testimony. The court did, however,
    in granting a new trial, grant relief on the issue of this misconduct, providing:
    [In the new trial,] the Court’s prior preclusions of evidence are
    imposed as the law of the case, the Jury’s determination that [Mr.
    Garced] failed to prove any damages based upon lost income is
    binding, [Appellants’] experts are PRECLUDED from offering
    testimony as to any current or future medical conditions, [Mrs.]
    Garced is PRECLUDED from bringing claims on her own behalf and
    [Mr. Garced] must produce his complete tax returns or suffer
    dismissal of his case.
    ____________________________________________
    4 The court was clear both in its opinion and in its “Final Order” that it was
    striking the jury’s award for future medical costs and future noneconomic
    damages. The court order, however, elsewhere stated that it was striking
    only the award of future medical expenses and granting a new trial as to past
    noneconomic loss only. Despite this part of the order striking only future
    medical expenses, we think it clear this was an oversight to not also include
    the striking of future noneconomic loss, as the court’s order, its opinion, and
    its grant of a new trial limited solely to past noneconomic loss, definitively
    establish that its order included the striking of both future medical costs and
    future noneconomic loss. None of the parties to this appeal challenge this
    oversight.
    -7-
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    Order, 12/7/21, at 2.        The court further imposed two sanctions: an order
    requiring Appellants’ counsel to pay $5,000.00, and an order directing
    Appellants5 to pay counsel fees to Appellees relating to litigation concerning
    the interpreter.6
    ____________________________________________
    5  We also note some confusion as to who is responsible for paying counsel
    fees with respect to litigation concerning the interpreter. In its opinion, the
    court determined that an award against “Plaintiff [Mr. Garced] and Mrs.
    Garced” for their participation in the conduct surrounding the interpreter
    warranted the further sanction of counsel fees. Trial Court Opinion 12/7/21
    at 27. The court’s Final Order of that same date, however, directs that the
    misconduct of “Plaintiff, Gladys Garced and their counsel warrants the
    imposition of sanctions” such that “Plaintiff shall pay attorneys fees to the
    Defendants for their time in conducting the deposition of the interpreter….”
    Trial Court Final Order 12/7/21 at 3. (Emphasis added). Once again, we think
    it clear that the imposition of sanctions for these fees was against both Mr.
    and Mrs. Garced, as evidenced by the court’s opinion and its reference to
    “their” counsel in its final order. Should any confusion persist, Appellants may
    seek clarification from the trial court upon remand.
    6 The court instructed Appellees to file motions substantiating the amount of
    their counsel fees and that it would schedule a hearing on Appellees’
    application for attorney’s fees. The lower court docket reflects that the
    attorney’s fee issue against Appellants remains pending in the trial court;
    there have not been any further filings or rulings on this issue. We observe
    the fact that litigation remains pending over the amount of counsel fees as a
    sanction against Appellants under 42 Pa.C.S.A. § 2503, does not defeat our
    jurisdiction over this appeal. As the Commonwealth Court has observed:
    A motion for counsel fees under 42 Pa.C.S.[A.] § 2503 is an
    ancillary matter separate from the appeal of the trial court’s
    judgment in the case. Samuel–Bassett v. Kia Motors America,
    Inc., [] 
    34 A.3d 1
    , 48 ([Pa.] 2011); Old Forge School District
    v. Highmark Inc., [] 
    924 A.2d 1205
    , 1211 ([Pa.] 2007). The
    filing of an appeal therefore does not divest the trial court of
    jurisdiction over such a motion for counsel fees. Samuel–
    (Footnote Continued Next Page)
    -8-
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    On December 15, 2021, Appellants filed a notice of appeal from the
    order deciding post-trial motions. Both Appellants and the trial court complied
    with Pa.R.A.P. 1925. Appellees did not file cross-appeals. Appellants raise
    the following issues in this appeal, which we re-order to accommodate the
    order in which we shall address the issues:
    1. Did the trial court err in granting [Appellees’] Motion for JNOV
    where the evidence viewed in the light most favorable to
    [Appellants] was sufficient as a matter of law to support a causal
    nexus between [Appellees’] negligence and the injuries?
    2. Did the trial court err and abuse its discretion in granting
    [Appellees’] Motion for New Trial and at the same time punishing
    [Appellants] and [Appellants’] counsel for alleged vexatious
    conduct by “gutting” their case and ordering sanctions against
    them where there was no evidence that the [Appellants] or
    [Appellants’] counsel deliberately violated a clear order of the
    Court, and there was no evidence that any alleged vexatious
    conduct affected the outcome of the trial?
    3. Did the trial court err in denying [Appellants’] Motion for a New
    Trial on the issue of damages where income tax consequences
    were brought into the trial; [Appellants were] limited to ten
    minutes for testimony on damages; evidence was introduced as
    to what was paid for past medical bills in violation of the collateral
    source rule; the defense expert was permitted to testify that the
    use of Xolair [a drug that Mr. Garced received as part of his
    medical treatment] beyond four months was inappropriate though
    not part of his pretrial report; [Appellants were] precluded from
    arguing that [Mr. Garced’s] work at UCP did not continue as a
    consequence of this accident; the trial court gave a prejudicial
    ____________________________________________
    Bassett, 34 A.3d at 48; Old Forge School District, 924 A.2d at
    1211.
    Ness v. York Tp. Bd. Of Com’rs, 
    123 A.3d 1166
    , 1170 (Pa. Cmwlth. 2015).
    Commonwealth Court decisions do not bind this Court, but we may consider
    them as persuasive authority. Petow v. Warehime, 
    996 A.2d 1083
    , 1189
    n.1 (Pa. Super. 2010).
    -9-
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    curative instruction; and [Appellants were] precluded from
    introducing a videotape to rebut surveillance video that had just
    been provided by [Appellees]?
    4. Did the trial court err in precluding [Appellants’] liability expert
    from testifying because he was an alleged competitor of the
    defendant?
    Appellants’ Brief at 5-6.
    II. JNOV AND CAUSATION
    When reviewing an order resolving a post-trial motion for JNOV, our
    standard of review is as follows:
    A judgment notwithstanding the verdict can be entered upon two
    bases: (1) where the movant is entitled to judgment as a matter
    of law; and/or, (2) the evidence was such that no two reasonable
    minds could disagree that the verdict should have been rendered
    for the movant. When reviewing a trial court’s denial of a motion
    for judgment notwithstanding the verdict, we must consider all of
    the evidence admitted to decide if there was sufficient competent
    evidence to sustain the verdict. In so doing, we must also view
    this evidence in the light most favorable to the verdict winner,
    giving the victorious party the benefit of every reasonable
    inference arising from the evidence and rejecting all unfavorable
    testimony and inference. Concerning any questions of law, our
    scope of review is plenary. Concerning questions of credibility and
    weight accorded the evidence at trial, we will not substitute our
    judgment for that of the finder of fact. If any basis exists upon
    which the [trial] court could have properly made its award, then
    we must affirm the trial court’s denial of the motion for judgment
    notwithstanding the verdict. A judgment notwithstanding the
    verdict should be entered only in a clear case.
    Karden Constr. Servs., Inc. v. D’Amico, 
    219 A.3d 619
    , 627 (Pa. Super.
    2019).
    In their post-trial motions, Appellees sought JNOV based on Appellants’
    failure to present sufficient evidence at trial to establish the necessary nexus
    between Mr. Garced’s initial exposure to HaloSpray and his long-term chronic
    - 10 -
    J-A20018-22
    respiratory illness, RADS. Appellees focus on two flaws in Appellants’
    evidence: (1) Appellants failed to establish any level or concentration of
    exposure to HaloSpray at the time of the May 26, 2016 incident, and (2)
    Appellants’ medical experts failed entirely to set forth any scientific authority
    or empirical studies to support their opinions on causation. The trial court
    agreed and granted JNOV on all of Appellants’ future economic and non-
    economic claims for damages. On appeal, Appellants argue that neither of
    their experts had to testify that a particular concentration of HaloSpray had
    to be identified to render a diagnosis of RADS or chronic sinusitis or to casually
    connect exposure to their diagnoses.           Appellants’ Brief at 48. They argue
    instead that their evidence was sufficient because it is known that HaloSpray
    is an irritant, their expert testimony established that exposure for up to 20
    minutes7 was a significant exposure, and Mr. Garced developed respiratory
    problems from exposure to the HaloSpray irritant. Id. at 48-49.        They claim
    an exact concentration of the irritant is not required if the patient meets the
    scientifically and medically accepted criteria; that is, Mr. Garced had no prior
    respiratory symptoms,8 the product is confirmed to be an irritant, other causes
    ____________________________________________
    7 Appellees contend that the evidence shows Mr. Garced was only in the room
    for several minutes, but for purposes of this JNOV issue, we will accept as true
    Mr. Garced’s claim that he was in the room for twenty minutes.
    8 A statement that is belied by the record, as demonstrated below.
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    are ruled out, and the diagnosis is confirmed through methacholine challenge
    testing. Id. at 49.
    In granting JNOV, the trial court observed that “[i]t was more than
    sufficient as a matter of fact for the jury to conclude that [Mr. Garced] suffered
    an injury of undefined severity on May 26, 2016 that caused him to seek
    treatment to the emergency room. However, the evidence demonstrated that
    any effects suffered from exposure to Halospray at UCP resolved within several
    months and [Appellant’s] lung function showed no continuing injury.”
    Memorandum Opinion, 12/7/21, at 4. Citing Estate of Walsh v. BASF Corp.,
    
    234 A.3d 446
    , (Pa. 2020), which in turn relied upon Frye, the court held that
    to attempt to legally and factually connect the claimed continuing injuries back
    to the UCP exposure, Appellants needed to offer a timely pre-trial expert
    opinion and competent and admissible expert testimony at trial based upon
    an accepted scientific methodology that causally connected Mr. Garced’s
    alleged ongoing medical condition to the Halospray exposure. Memorandum
    Opinion at 4. The trial court concluded that Appellants’ expert testimony failed
    to demonstrate a causal nexus between the incident at UCP and Mr. Garced’s
    future economic loss and future medical expenses:
    [Appellants’] experts only referenced two sources to support their
    conclusion—a Material Data Safety Sheet for Halomist (not the
    applicable Halospray) and an EPA document dealing with a 90%
    Hydrogen Peroxide solution. [Appellants’] counsel here
    extensively asked witnesses about Halomist, not the product
    involved in [Mr. Garced’s] exposure (Halospray). The experts
    made no separate scientific investigation as to Halospray and
    never did any testing or calculations to determine exposure levels,
    - 12 -
    J-A20018-22
    airborne properties or experimental evidence from human
    populations. No evidence was offered as to the effect of Halospray
    on human subjects, exposure times or latent injury. Not a single
    treatise, textbook or scientific article was consulted or cited. The
    EPA warnings on the 90% product bear no relationship to
    Halospray, which contained a dramatically different concentration
    and application and had no more than 5% hydrogen peroxide.
    Thus, . . . [Appellants’] experts failed to offer any scientific
    methodology for their conclusions that [Appellant] Garced’s
    current lung problems resulted from a brief exposure in 2016 to
    Halospray. Halosil’s assertion of a deficiency in expert testimony
    supporting a case in fact and proof as to causation of [Mr.
    Garced’s] alleged brief exposure to Halospray is correct.
    [Appellants] did not produce any supporting testimony of an
    expert toxicologist or industrial hygienist. (N.T. 9/29/21 p.m., pp.
    47-49). [Appellants] did not have an expert who measured the
    contents of the “mist” or the amount of potentially hazardous
    material in it. [Appellants] simply had [their] experts parrot lay
    beliefs based upon [Appellants’] version of the event—i.e., not one
    expert or scientist did any testing on the product to determine a
    concentration in the air either in the room where the fogging
    occurred or as to the ability of the “fog” to migrate from the sealed
    room to the location where Mr. Garced claimed to have been
    exposed (counsel admitted that the opinion given relied wholly on
    the subjective “history”, not on any scientific assessment of
    exposure. N.T. 9/29/21 p.m., p. 98, lines 15-18; see also, N.T.
    9/29/21 p.m., p. 110, lines 12-20). Clearly, there was no
    admissible scientific foundation or basis sufficient to present to the
    jury to support the conclusion that an exposure to Halospray of a
    kind causing permanent injury had occurred. The entirety of the
    experts’ conclusions depended upon Mr. Garced’s self-serving
    narrative. . . . Furthermore, there was no evidence as to the
    concentration level of any material that composed the Halospray
    or how many parts of any specific chemical were in the “fog” that
    allegedly migrated to an entirely different room at UCP where Mr.
    Garced claimed to have been exposed.
    Id. at 6-8 (emphasis added).
    In arriving at its determination that Appellants failed to present
    competent expert testimony, the trial court also found this Court’s analysis in
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    J-A20018-22
    Sniavich v. Rohm & Haas, 
    83 A.3d 191
     (Pa. Super. 2013), “instructive.” Id.
    at 6. The court stated:
    [Sniavich] involved a claimed injury arising from chemical
    exposure. In Sniavich, Plaintiff sought to relate her deceased
    husband’s brain cancer to chemical exposures at his work.
    However, the expert concluded a proximal relationship solely on
    the basis of the diagnosis along with work history and work
    conditions analyzed through the expert’s experience in
    occupational medicine. The court found that the opinion lacked
    any scientific authority—facts, testimony, or empirical data. The
    court outlined the foundation required as follows:
    The exercise of scientific expertise requires inclusion
    of scientific authority and application of the authority
    to the specific facts at hand. Thus, the minimal
    threshold that expert testimony must meet to qualify
    as an expert opinion rather than merely an opinion
    expressed by an expert, is this: the proffered expert
    testimony must point to, rely on or cite some scientific
    authority—whether facts, empirical studies, or the
    expert’s own research—that the expert has applied to
    the facts at hand and which supports the expert’s
    ultimate conclusion. When an expert opinion fails to
    include such authority, the trial court has no choice
    but to conclude that the expert opinion reflects
    nothing more than mere personal belief.
    
    83 A.3d at 197
    . Instead, the Court concluded that Plaintiff’s
    expert report could “be aptly described as ‘scrupulously avoid[ing]
    the medical literature,’ and based ‘entirely on subjective
    assessments of both cause and effect,’ as it does not include any
    ``research, conducted by [the plaintiff’s expert] or anyone else,
    to support [his] assertion[ ] on causation.’” 
    Id.,
     citing Checchio
    v. Frankford Hospital-Torresdale Division, 
    717 A2d 1058
    ,
    1062 (Pa. Super. 1998).
    Id. at 6.
    We concur with the trial court’s conclusion that Appellant’s failed to
    establish a causal connection between Mr. Garced’s initial exposure to
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    HaloSpray on May 26, 2016, and his subsequent development of RADS.9
    Essentially, Appellants’ experts simply gave their own opinions that Mr. Garced
    developed RADS due to an initial exposure of a known irritant, and that based
    upon a reported history of no prior respiratory problems, that his current
    diagnosis of RADS, as diagnosed through testing, was due to the HaloSpray
    exposure. This was insufficient. Appellants failed to present credible expert
    testimony comporting with Rule 702(c), in that the experts failed to rely upon
    any generally accepted scientific methodology to arrive at their opinions and
    failed to consider all relevant facts to support a causal link between Mr.
    Garced’s initial exposure and subsequent development of RADS, his claimed
    permanent injury.
    It cannot be disputed that in a case where it is claimed that an initial
    injury related to a chemical exposure of undefined specificity is connected with
    future disease, competent expert testimony is required on the question of
    ____________________________________________
    9 We do take an exception with the trial court’s rationale in concluding that
    Appellants failed to establish causation between the exposure and his
    development of RADS. We do not agree with the court’s assertion that
    Halomist and Halospray have different concentrations of hydrogen peroxide.
    The record reflects that Halomist and Halospray have the same ingredients
    and concentrations. TC-1 at 435, 450 (listing ingredients of both Halomist
    and Halospray). They are chemically the same but their use and use
    protocols, including labelling and packaging, are different. N.T. 9/28/21 at
    22, 44-45, 57-58. Notwithstanding this error, we agree with the trial court’s
    conclusion that Appellants’ expert testimony was deficient because the
    testimony did not rest upon generally accepted scientific methodology and
    was simply an expression of the experts’ personal beliefs.
    - 15 -
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    causation. See Hamil v. Bashline, 
    392 A.2d 1280
    , 1285 (Pa. 1978) (“[I]t is
    generally acknowledged that the complexities of the human body place
    questions as to the cause of pain or injury beyond the knowledge of the
    average layperson[;] therefore, the law requires that expert medical
    testimony be employed”). For expert testimony to be admitted at trial, the
    testimony must comport with the requirements of Pa.R.E. 702 that provides:
    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.
    It must be emphasized that the proponent of expert scientific evidence bears
    the burden of establishing all the elements for its admission under Rule 702,
    which includes (when applicable) a showing that the Frye test is satisfied.
    Grady v. Frito-Lay, Inc., 
    839 A. 2d 1038
    , 1045 (Pa. 2003).
    The Frye test was adopted in Pennsylvania in Commonwealth v.
    Topa, 
    369 A.2d 1277
     (Pa. 1977), and "is part of Rule 702.” Grady, 839 A.2d
    at 1042. The Frye test provides that novel scientific evidence is admissible
    "if the methodology that underlies the evidence has general acceptance in the
    relevant scientific community." Id. Our Supreme Court has made it clear
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    J-A20018-22
    however, that Frye is not implicated every time science comes into the
    courtroom; rather, it applies only to proffered expert testimony involving
    novel science. Commonwealth of Pennsylvania v. Dengler, 
    890 A. 2d 372
    , 382 (Pa. 2005).10 Therefore, while the methodology underlying expert
    testimony must generally be accepted in the relevant field, it is only when
    testimony is based upon novel science that the Frye test also must be met.
    Moreover, the Frye test applies to an expert’s methods, not to conclusions.
    Grady, 839 A.2d at 1047.            Presently, we find that there is no need to
    determine whether any methodologies utilized by Appellants’ experts passed
    the Frye test to admit novel science, since no methodologies at all were
    identified to support causation in their testimonies. To the extent either of
    Appellants’ experts attempted to establish causation based upon a differential
    diagnosis11 as a methodology, they failed, as they did not account for
    ____________________________________________
    10 “What constitutes novel scientific evidence has historically been decided on
    a case-by-case basis, and there is some fluidity in the analysis; indeed,
    science deemed novel at the outset may lose its novelty and become generally
    accepted in the scientific community at a later date, or the strength of the
    proponent's proffer may affect the Frye determination.” Dengler, 890 A.2d
    at 382.
    11 A differential diagnosis is a generally accepted methodology.
    Pledger by
    Pledger v. Janssen Pharmaceuticals, 
    198 A.3d 1126
    , 1141 (Pa. Super.
    2018); Stange v. Janssen Pharmaceuticals, Inc., 
    179 A.3d 45
    , 55 (Pa.
    Super. 2018). In performing a differential diagnosis,
    a physician begins by ‘ruling in’ all scientifically plausible causes
    of the plaintiff's injury. The physician then ‘rules out' the least
    plausible causes of injury until the most likely cause remains. The
    (Footnote Continued Next Page)
    - 17 -
    J-A20018-22
    preexisting conditions and/or other possible causes of Mr. Garced’s current
    problems. An expert’s personal belief, standing alone, is not sufficient proof
    that his methodology is generally accepted. As we stated in Snizavich:
    The exercise of scientific expertise requires inclusion of scientific
    authority and application of the authority to the specific facts at
    hand. Thus, the minimal threshold that expert testimony must
    meet to qualify as an expert opinion rather than merely an opinion
    expressed by an expert, is this: the proffered expert testimony
    must point to, rely on or cite some scientific authority—
    whether facts, empirical studies, or the expert’s own research—
    that the expert has applied to the facts at hand and which supports
    the expert’s ultimate conclusion. When an expert opinion fails
    to include such authority, the trial court has no choice but
    to conclude that the expert opinion reflects nothing more
    than mere personal belief[.]
    Id. at 197 (citation omitted) (emphasis added).
    Appellants relate in their appellate brief that prior to the presentation of
    other expert testimony, Mr. Garced testified that while working as a cleaning
    contractor at UCP on May 26, 2016, he was exposed to a chemical fog
    emanating from an adjacent room in which HaloSpray was being used due to
    a failure to seal the adjacent room from the one in which he was cleaning.
    While mopping the floor he noticed his face burning, looked up and saw a fog,
    and ran out of the room. He estimated his time in the room was approximately
    ____________________________________________
    final result of a differential diagnosis is the expert’s conclusion that
    a defendant's product caused (or did not cause) the plaintiff’s
    injury.
    Glastetter v. Novartis Pharmaceuticals Corp., 
    252 F.3d 986
    , 989 (8th Cir.
    2001).
    - 18 -
    J-A20018-22
    twenty minutes. He went to a hospital emergency room where he was given
    oxygen. He had coughing, burning, chest tightness, and pain in his chest that
    he rated five out of ten.    He testified that he never had any respiratory
    problems before. Following the incident, he stated that he had shortness of
    breath, coughing, pain in his chest, left sided sinus pain and swelling. He saw
    several pulmonologists as well as his family doctor who all diagnosed irritant
    induced asthma or RADS, together with chronic left sided sinusitis. He had
    sinus surgery. Despite multiple medications and injections, he testified that
    he still has difficulty breathing, coughing, and shortness of breath and that his
    pulmonary function tests have declined over time. In 2019 he stopped
    working.
    Appellees point out that uncontradicted facts of record also established
    that while at the emergency room, Mr. Garced’s vital signs were normal,
    including his oxygenation, and he had a normal chest x-ray. Mr. Garced did
    not suffer from any ongoing injury for several months after this exposure, and
    his lung function showed no continuing injury. Two weeks after the incident,
    Mr. Garced saw a physician at Penn Medicine, who concluded he had no
    continuing symptoms, that is, no current signs or symptoms of respiratory
    disease. In August 2016, Mr. Garced’s pulmonary function tests were normal.
    He also had a CAT Scan at that time that showed no lung abnormalities.
    Nonetheless, Mr. Garced complained of shortness of breath, coughing, and
    sinus and chest pain several months later and saw a physician. The physician
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    J-A20018-22
    ordered additional tests, one of which suggested that—several months after
    May 26th—Mr. Garced had developed signs of lung injury.            Ultimately, Mr.
    Garced was diagnosed with RADS.
    Against this competing evidence, Appellants attempted to establish a
    causal link between Mr. Garced’s May 26, 2016 exposure to HaloSpray and his
    claimed permanent injury through the expert testimony of two physicians:
    Drs. Lazaar and Savul.
    Dr. Aili Linay Lazaar, Garced’s treating physician, board certified in
    internal medicine, pulmonary medicine, and critical care, N.T., 9/29/21, at 27,
    testified as a treating physician and expert on Mr. Garced’s behalf. She first
    became involved in his care in June 2017, id. at 33, more than a year after
    Mr. Garced’s exposure to HaloSpray in May 2016. She testified that when Mr.
    Garced was seen after the exposure in the Einstein emergency room, the only
    abnormality observed was some redness in his mouth, id. at 36, and his
    pulmonary function test or spirometry was normal. Id. at 37. A chest x-ray
    done at the hospital and a later CAT scan likewise showed no abnormality.
    Id. at 38.     A working diagnosis at that time (in June 2017), based upon
    Garced’s report of persistent symptoms, was RADS, which constricts the
    bronchial tubes like asthma.         Id. at 39.    A methacholine challenge test12
    ____________________________________________
    12 A methacholine challenge test is a breathing test to see how lungs are
    working. It checks for asthma in patients who have a cough, trouble
    breathing, or other breathing problems. Methacholine is a medication that
    (Footnote Continued Next Page)
    - 20 -
    J-A20018-22
    performed by another physician was positive, leading Dr. Lazaar to agree with
    a diagnosis of RADS. Id. at 43. At the time of trial, Mr. Garced was a patient
    of Dr. Lazaar for four years and saw her three to four times a year. Id. at 45.
    Because Mr. Garced had no previous history of respiratory disorder, Dr. Lazaar
    opined that Mr. Garced developed his problems from his exposure at the
    workplace, and that the exposure to the mist and fog in the room was the
    cause of the irritants to his airway and his subsequent problems. Id. at 46.
    Based upon (1) statements in the material sheets for the mist or cleaning
    solution that the product contained hydrogen peroxide (its main component),
    as well as silver nitride with phosphoric acid, and (2) Mr. Garced’s reporting
    that he was exposed to a high concentration of the mist in the room, it was
    her opinion that Garced’s exposure was consistent with RADS. Id. at 46-50.
    Dr. Lazaar also opined that the persistence of Mr. Garced’s symptoms after a
    number of years since his initial exposure and his worsening pulmonary
    function tests showed that he developed more persistent symptoms of
    asthma. Id. at 65-66. She testified that beginning in February 2018, Mr.
    ____________________________________________
    makes airways narrow if the patient has asthma. Asthma is a lung condition
    that can make it hard to breathe. During the test, the patient breathes in
    small amounts of methacholine, and a pulmonary technologist measures lung
    function. Normal lung function will be measured first (also known as baseline
    breathing). Then the patient starts the test, and the methacholine is added.
    If lung function drops by 20% or more from the patient’s baseline, he may
    have     asthma.        See     https://www.mskcc.org/cancer-care/patient-
    education/methacholine-challenge-test.
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    J-A20018-22
    Garced underwent additional tests to see if other therapies might help him.
    Id. at 67. Two of the values looked at for persistent asthma are the levels of
    eosinophils and another blood protein called IgE. Id. at 67. While eosinophil
    levels were normal, IgE levels were elevated. Id. at 68. Xolair, an injection
    therapy, was prescribed and given to Mr. Garced every two weeks.            Id.
    Despite an elevated IgE level, Dr. Lazaar testified that her opinion that Mr.
    Garced suffers from RADS as a result of exposure to toxic fog remained
    unchanged. Id. at 69. She did admit, however, that Mr. Garced had a history
    of chronic hives and elevated eosinophils prior to his exposure, but that did
    not necessarily mean he also had asthma. Id. at 69-70.
    On cross-examination, Dr. Lazaar acknowledged that she issued three
    reports: one in August 2019, another in August 2020, and the third in October
    2020. Id. at 85. The first, based upon the report of another physician, Dr.
    Swartz, indicated that Mr. Garced fit the definition of RADS. In the second,
    Dr. Lazaar reported a diagnosis of asthma, and in the third, a diagnosis of
    allergic inflammation and asthma. Id. at 86-87. She then offered her opinion
    that Mr. Garced has a combination of an allergic tendency as well as
    pulmonary symptoms instigated by the exposure. Id. at 88. Allergic asthma
    can be progressive over time, id. at 91, and can present as new symptoms in
    middle age. Id. at 92. Mr. Garced’s history over a year before the incident
    also indicated allergies to fish and iodine, causing anaphylaxis. Id. at 98. Dr.
    Lazaar admitted that as of June 2015, Mr. Garced had a history of hives and
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    J-A20018-22
    dry tongue and throat. Id. at 100. She also related that Mr. Garced’s airway
    showed some “remodeling” and that it had undergone some chronic changes.
    Id. at 103. She admitted that he had a diagnosis of Barrett’s esophagus,
    which she qualified may in severe cases cause inflammation of the airway, id.
    at 104, and that many airway disorders can cause inflammation of the airway.
    Id. at 105-106.    She admitted that although Mr. Garced’s lung function
    declined as a result of airway remodeling due to ongoing inflammation, she
    had not done any studies to determine the type of inflammation that he
    exhibited. Id. at 106. While admitting that the literature indicates that most
    people with RADS due to an acute exposure resolve quickly, and that Mr.
    Garced had normal findings at the emergency room after the incident, her
    opinion remained unchanged because sometimes it takes times for a response
    to develop. Id. at 107-108. She had no personal knowledge of the quantity
    of dose of the exposure claimed by Mr. Garced. N.T., 9/29/21, V.II, at 11.
    Dr. Lazaar simply noted that some of the ingredients of HaloSpray, in an
    unspecified quantity, were “known to be a respiratory irritant.” N.T., 9/29/21,
    at 49. Dr. Lazaar further claimed that the “fog or mist” that Mr. Garced saw
    “suggest[ed] a high concentration or high amount of that mist in the room.”
    Id. Hydrogen peroxide is a component of Halomist and is known to be a
    respiratory irritant. Id. She noted Mr. Garced’s symptoms have become more
    persistent over the years since the incident and that he had no report of
    respiratory symptoms prior to the RADS diagnosis. Id. at 33, 65-66. Her
    - 23 -
    J-A20018-22
    opinion was that Garced’s exposure to the mist triggered an ongoing response
    and chronic respiratory illness, and the fact that he was normal after the
    emergency room visit did not affect her diagnosis because it takes time for
    the ongoing response to develop. Id. at 106-07.
    Dr. Savul, a board-certified occupational medicine expert, testified as
    Appellants’ second and final expert witness respecting Mr. Garced’s injury. He
    was familiar with RADS having seen it while practicing family medicine and
    from observing chemical exposures. N.T., 9/29/21, V. II, at 45. While stating
    that he was prepared to discuss Mr. Garced’s injuries, problems and
    disabilities, and long-term effects due Mr. Garced’s exposure on May 26, 2016,
    he never tested HaloSpray and its effects. Id. at 47-49. Dr. Savul reviewed
    Mr. Garced’s records from 2016 through 2019, as well as deposition
    transcripts and material data sheets for HaloSpray. Id. at 55-56. He first
    saw Mr. Garced in September 2019 as part of an independent medical
    evaluation, at which time he was having episodes of asthma attacks. Id. at
    58. Because he believed Mr. Garced never had any issues or history of asthma
    prior to May 2016, he diagnosed him as having RADS.           Id. at 88.   His
    examination of Mr. Garced revealed tenderness when he pressed on his
    sinuses, and Mr. Garced complained of coughing, wheezing, shortness of
    breath, and chest tightness. Id. at 90-91. Mr. Garced also had an anostomy
    performed on his sinuses to clear blockages and to help with thickening of the
    wall. Id. at 86-93. Dr. Savul offered his opinion that his “number one relevant
    - 24 -
    J-A20018-22
    diagnosis” was that Mr. Garced suffered from RADS, or an irritant induced
    occupational asthma as a result of the May 26, 2016 exposure, since Mr.
    Garced never had asthma prior to that time.       Id. at 93-94.    His opinion
    remained unchanged regardless of whether Mr. Garced was exposed for 3 or
    4 minutes or 10 to 20 minutes because he had symptoms during that time.
    Id. at 101. He considered Mr. Garced to have had a significant exposure. Id.
    at 112. He admitted, however, that there is a permissible dose of HaloSpray,
    measured in parts per million, that is considered safe, but he never assessed
    the actual concentration of HaloSpray in the air on the date of the incident.
    Id. at 48-49, 115.
    On cross-examination, Dr. Savul admitted that as of the time he
    produced his expert report, he did not have any records regarding Mr. Garced
    prior to May 26, 2016, N.T., 9/30/21, at 62, but subsequently did review
    records from 2011 and a 2015 visit. Id. at 62-63. He then recalled that the
    2015 record did indicate some left sided face and nasal burning. Id. He saw
    Mr. Garced three years after the incident for an independent medical exam
    and not as a treating physician.   Id. at 68. He reviewed Dr. Lazaar’s report
    and agreed with his [sic] diagnosis of irritant-induced occupational asthma, or
    RADS. Id. at 69. He was unaware that in October 2020, that Dr. Lazaar
    changed her diagnosis to allergic inflammation and allergic asthma, id. at 71,
    but indicated that would not necessarily change his diagnosis; he would have
    to reassess the records. Id. at 71. He admitted reviewing pulmonary function
    - 25 -
    J-A20018-22
    tests from 2016 through 2019 that showed a decline in function, but also
    admitted that in August 2016, Mr. Garced’s function was normal and his
    decline in function did not begin until August 2017.           Id. at 73-76.
    Deterioration of lung function over time, Dr. Savul said, is typical for “any
    asthma”, including allergic asthma. Id. at 81. He admitted that records from
    2014 indicated that Mr. Garced had a sinus infection, id. at 84-85, which he
    later admitted was diagnosed as chronic sinusitis. Id. at 87. He did not know
    if any treatment was effective. Id. at 88. As well, he admitted not seeing
    records from 2014 that indicated that Mr. Garced (age 56 at the time) was
    complaining of pain, swelling, and burning in his throat, bumps on his tongue
    and itching on lips, and that his nose felt like it was on fire. Id. at 86. He
    also acknowledged that records from Penn Medicine Allergy from 2015
    indicated oral and nose burning, a rash, and chronic rhinitis. Id. at 89-90.
    Other records also revealed he had sinus surgery in the 1980’s. Id. at 93.
    Still other records revealed extensive use of nasal cocaine that Dr. Savul
    admitted could affect sinuses and that he did not have these records when
    completing his evaluation.   Id. at 100-104.    Regardless, he stated those
    records would not affect his opinions. Id. at 112-113.
    Our review of the record in this case establishes that Appellants’ experts
    presented no methodology—or in the words of Sniavich, no “facts,” no
    “empirical studies,” and none of their “own research,” 
    83 A.3d at
    197—in
    support of their ultimate conclusions that HaloSpray caused Mr. Garced’s long-
    - 26 -
    J-A20018-22
    term injuries, i.e., RADS.   Dr. Lazaar testified that hydrogen peroxide “is
    known to be a respiratory irritant” and that the “fog or mist” that Mr. Garced
    saw “suggest[ed] a high concentration or high amount of that mist in the
    room.” N.T., 9/29/21, at 49. Similarly, Dr. Savul testified that Mr. Garced’s
    chronic condition was caused by “significant exposure” to the mist or fog in
    the room at UCP. N.T., 9/30/21, at 112. Conspicuously absent from any of
    their expert testimony, however, is any attempt to cite any credible or
    accepted scientific studies that link a single exposure of unknown quantity or
    intensity of the irritant identified in HaloSpray that caused an immediate injury
    that subsequently resolved, to the delayed response they opined as RADS due
    to the initial exposure. Neither expert presented any facts, studies or research
    that established (or even estimated) the concentration of any respiratory
    irritant to which Mr. Garced was exposed, or to establish a nexus between any
    irritant and Mr. Garced’s long-term conditions. To the extent any literature
    was referenced, that literature indicated that most people with RADS due to
    an acute exposure resolve quickly. Consistent with this was testimony and
    other evidence that Mr. Garced had normal findings at the emergency room
    after the incident and thereafter. The fact that Mr. Garced’s methacholine
    challenge tests produced results consistent with asthma did nothing more than
    establish that fact but do nothing in and of themselves to establish a causal
    link between the HaloSpray exposure and delayed onset of RADS. It appears
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    J-A20018-22
    both experts’ opinions reflect nothing more than their own personal beliefs, or
    at best, a working diagnosis.
    Nor did any of Appellants’ experts attempt to conduct a credible
    differential diagnosis to eliminate other possible causes of Mr. Garced’s
    delayed onset of RADS. A differential diagnosis would have been essential in
    light of Mr. Garced’s medical history, the normal exams conducted
    contemporaneously with his exposure and thereafter, and the fact that his
    lung function did not start to decline until more than a year after the incident.
    Neither expert considered nor attempted to eliminate as possible causes of
    RADS any of Mr. Garced’s medical history prior to May 26, 2016. That history
    included a) pain, swelling, and burning in his throat, bumps on his tongue,
    itching on lips, a nose that felt like it was on fire, b) records from Penn
    Medicine Allergy from 2015 that indicated oral and nose burning, a rash, and
    chronic rhinitis, c) records that revealed Garced had sinus surgery in the
    1980’s, d) prior to his exposure in 2016, he had elevated eosinophils indicative
    of asthma, e) for over a year before the incident, he had allergies to fish and
    iodine, causing anaphylaxis, f) he had a history of hives and dry tongue and
    throat, and g) a diagnosis of Barett’s esophagus. Dr. Lazaar’s testimony that
    she had not done any studies to determine the type of inflammation exhibited
    by Garced, that many airway disorders can cause inflammation of the airway,
    and that allergic asthma can be progressive over time and can present as new
    symptoms in middle age, made imperative a credible differential diagnosis to
    - 28 -
    J-A20018-22
    establish the casual link between the HaloSpray exposure and a subsequent
    diagnosis of RADS. What is apparent is that neither of Appellants’ experts
    were able to provide a differential diagnosis that Mr. Garced developed RADS
    as a result of the singular exposure to HaloSpray in an unspecified quantity
    and intensity on May 26, 2016. Cf. Anderson v. Hess Corp., 
    592 F. Supp. 2d 1174
     (D.N.D. 2009) (expert Neumann properly conducted differential
    diagnosis to establish the causal connection between plaintiff’s exposure to
    hydrogen sulfide and sulfur dioxide, and RADS where expert ruled out other
    possible causes of plaintiff’s symptoms).
    Appellants clearly failed to satisfy Rule 702(c)’s standard of employing
    generally accepted methodology in coming to their opinions to establish a
    causal connection between the May 2016 exposure and Garced’s claimed
    permanent lung injury.    Accordingly, we hold that the trial court properly
    entered JNOV against Appellants on their claims of future medical expenses
    and future noneconomic loss.
    III. PAST ECONOMIC LOSSES
    Appellants assert that the trial court erred by awarding a new trial
    limited to Mr. Garced’s past noneconomic loss. We agree with the trial court’s
    decision. The jury awarded $500,000.00 for “past, present, and future pain
    and suffering, embarrassment and humiliation and loss of enjoyment of life”
    without distinguishing between the amounts awarded for past, present, and
    future damages. As discussed above, the trial court properly entered JNOV
    - 29 -
    J-A20018-22
    as to future medical expenses and future noneconomic loss, leaving past
    noneconomic loss as the only recoverable item of damages. Since the verdict
    sheet failed to specify this amount, a new trial is necessary to determine what,
    if any, damages are recoverable for past noneconomic loss.
    IV.    GRANT OF A NEW TRIAL – THE INTERPRETER PROBLEM
    Appellants argue the trial court abused its discretion in granting a new
    trial based upon their conduct with respect to the interpreter. The trial court
    ordered that a new trial was necessary due to Appellants’ misconduct vis-à-
    vis Mr. Garced’s interpreter. We find no abuse of discretion.
    Our Supreme Court has held:
    A new trial should be granted if the judge finds that an injustice
    has been done. Among the recognized reasons for granting a new
    trial is misconduct by counsel. The power to grant a new trial is
    inherent in the court, and the decision to grant or deny a motion
    for new trial rests within its sound discretion. The court’s decision
    will not be disturbed on appellate review absent an abuse of that
    discretion.
    Colosimo v. Philadelphia Elec. Co., 
    518 A.2d 1206
    , 1210 (Pa. 1986)
    (citations omitted).
    During trial, Mr. Garced, whose primary language is Spanish, required
    an interpreter to relate his testimony. At the end of the first day of trial, Mr.
    Garced was in the middle of his testimony and still under oath. Nonetheless,
    he, his wife, the interpreter, and Plaintiff’s counsel’s paralegal met and
    discussed his testimony from earlier that day. N.T., 10/1/21, at 12-13 (Mrs.
    Garced), N.T., 10/5/21, at 56-57 (interpreter). Mrs. Garced complained that
    - 30 -
    J-A20018-22
    the interpreter did not include all businesses that Mr. Garced stated he was
    working with when the incident at UCP happened. N.T., 10/1/21, at 13 (Mrs.
    Garced), N.T., 10/5/21, at 56-57 (interpreter). She also told Mr. Garced that
    he “didn’t say the right things.” N.T., 10/5/21, at 58 (interpreter). Halosil’s
    counsel observed this conversation and reported what she observed to the
    court on the morning of the next day of trial. Appellants’ counsel agreed that
    the conversation was not appropriate and advised the court that he dismissed
    the interpreter. The trial court ordered the parties to depose the interpreter.
    During the interpreter’s deposition, Appellees learned for the first time
    that this same interpreter had met with Appellants and their counsel at
    counsel’s office for several hours about one week before trial. This fact was
    not disclosed to the court or to opposing counsel prior to the deposition. The
    interpreter testified that he was concerned that serving as the court
    interpreter for Mr. Garced’s trial might be a conflict of interest. N.T., 10/5/21,
    at 69, 71. When the interpreter’s boss requested that the interpreter serve
    as the court interpreter during trial, the interpreter told his boss of his
    concerns regarding a conflict of interest. Id. at 71. The interpreter’s boss
    told the interpreter that “it had been okayed by a judge.” Id. at 72. However,
    the court did not approve of the conflict and was never apprised of it. The
    trial court observed that these issues would have remained concealed from
    the court if Appellees’ defense counsel not observed Appellants talking with
    the interpreter.   Trial Court Memorandum, 10/5/21, at 5.
    - 31 -
    J-A20018-22
    Following the interpreter’s deposition, the court reviewed the transcript
    and held a hearing to further investigate this matter. The court later noted
    that “[a]t no time did [Appellants’] counsel provide any credible explanation
    for his nondisclosure or lack of candor.” Id. at 6.
    Moreover, Appellants’ counsel unilaterally discharged the interpreter,
    N.T., 10/2/21, at 6 (Appellants’ counsel’s representation that he had
    “procured a different interpreter”), which made it difficult for the court to
    examine the interpreter’s conduct further.
    Mrs. Garced was questioned about her communications with the
    interpreter. She testified that the pretrial meeting took place at her request
    because she wanted to meet the interpreter before trial to make sure “the
    testimony here in court would go smoothly.”        N.T., 9/30/21, at 106.   In
    particular, she wanted to see whether the interpreter could understand Mr.
    Garced’s dialect. Id. She insisted she could not remember anything else she
    had told the interpreter. N.T., 10/1/21, at 12. She also said she could not
    remember whether she told her husband he had missed parts of his testimony.
    Id. at 13. Nonetheless, she admitted she might have told Mr. Garced his
    testimony was not correct. Id. at 14. She also made repeated outbursts to
    the jury during the trial, accusing Appellees of lying, among other things.
    N.T., 9/30/21, at 73.
    Appellees moved for a mistrial and directed verdict based on Appellants’
    attempts to influence the interpreter.       The trial judge issued a lengthy
    - 32 -
    J-A20018-22
    memorandum denying a mistrial but granting a curative instruction to apprise
    the jury of Appellants’ misconduct. The court determined that Appellants and
    their counsel participated in an “ex parte effort to hector, intimidate and
    interfere with [the] Interpreter and translator witness and Officer of the Court
    and further demonstrated an intentional effort to coach, influence and recast
    direct present testimony of Mr. Garced and his anticipated cross examination
    while he was still testifying on direct.” Trial Court Memorandum, 10/5/21, at
    8.   At the post-trial motion stage, however, the court, upon reflection,
    determined that the curative instruction did not adequately cure the taint of
    Appellants’ misbehavior. The court listed multiple instances of misconduct by
    Appellants and their counsel and determined that the proper remedy was to
    grant a new trial and to impose monetary sanctions of $5,000.00 against
    Appellants’ counsel, and for the Garceds to pay counsel fees incurred by the
    Appellees to address the interpreter issue.
    We find no abuse of discretion by the trial court ordering a new trial
    based upon Appellants’ use of an ethically compromised interpreter.         The
    Pennsylvania Rules of Professional Conduct for Judiciary Interpreters prescribe
    that interpreters “shall be impartial and unbiased and shall refrain from
    conduct that may give an appearance of bias or favoritism.”            Rule 3,
    Pennsylvania Rule of Professional Conduct for Judicial Interpreters, 204 Pa.
    Code, Schedule F. The Comment to Rule 3 further explains that “[d]uring the
    course of the proceedings, interpreters should not converse with parties,
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    J-A20018-22
    witnesses, jurors, attorneys, or friends or relatives of any party, except in the
    discharge of their official functions.”   Id.   Interpreters must also disclose,
    before they testify, “any prior involvement, whether personal or professional,
    that could reasonably be construed as a conflict of interest,” and whether
    “they have been previously retained for private employment by one of the
    parties in the case.” Id. The interpreter herein failed these requirements.
    His pretrial meeting with Appellants to help them prepare for trial ended his
    impartiality and, along with his conversation with them during the trial,
    created an appearance of bias and favoritism. The interpreter’s violation of
    the rules, albeit at the behest of Appellants and counsel, requires a new trial,
    as the trial court held.
    In addition, Appellants’ and their counsel’s misconduct relating to the
    interpreter made a new trial an absolute necessity. As the trial court pointed
    out, (1) Appellants’ counsel made no credible effort to retain a qualified
    interpreter from the court’s pool and failed to retain one who could attend the
    entire trial, (2) before defense counsel saw Appellants and their counsel
    conversing with the interpreter, Appellants’ counsel failed to disclose to
    defense counsel or the court that he employed the interpreter to assist
    Appellants in trial preparation, (3) Appellants’ counsel then discharged the
    interpreter preemptively to prevent the court from examining him, resulting
    in additional trial delays, and (4) the interpreter’s employer was advised—
    likely by Appellants’ counsel—that his pretrial meeting with Appellants did not
    - 34 -
    J-A20018-22
    create a conflict. While Appellants’ counsel suggested it was mere coincidence
    that that he employed the same interpreter for trial that he and Appellants
    met with one week before, it does not appear that this was any accident. The
    clear purpose of the pretrial meeting was to coach the interpreter as to Mr.
    Garced’s accident to prepare the interpreter for trial.             Based on these
    observations, we agree with the trial court that Appellants’ and their counsel’s
    actions “were purposely, calculating and premeditated, part of an intentional
    plan to disrupt control, limit, and engineer [Mr. Garced’s] testimony.” Id.
    In addition, we find no abuse of discretion by the trial court in concluding
    that its curative instruction did not obviate the need for a new trial.            The
    instruction stated that the meetings between Appellants, their counsel, and
    the interpreter before and during trial were wrong. N.T., 10/4/21, at 10-14.
    It also advised that the jury could disregard some or all of Appellants’
    testimony based on their conduct. Id. at 15. The instruction also stated that
    the jury could disregard Appellants’ expert testimony to the extent the experts
    relied on Appellants’ testimony. Id. While this instruction addressed some of
    the misconduct, it could not adequately remedy the damage done.                    The
    instruction did not advise the jury about numerous aspects of Appellants’ and
    their counsel’s misconduct.     As the trial court noted, their conduct was an
    intentional   effort   to   manipulate    and     control   the   evidence   at   trial.
    Memorandum Opinion, 12/7/21, at 16, 22. Appellants interfered with the
    interpreter’s impartial translation of testimony. As the trial court stated, “the
    - 35 -
    J-A20018-22
    misconduct before the court takes the analysis beyond whether the instruction
    sufficiently informed the jury of the reasons for the discharge of the
    interpreter, to the question of whether a mere instruction could remedy a
    pattern of deceit and misconduct revealed during the trial.” Id. at 17. No
    relief is due Appellants on this issue.
    V. COUNSEL FEES UNDER §2503(7)
    Relatedly, we also conclude that the court acted well within its discretion
    under 42 Pa.C.S.A. § 2503(7),13 by imposing sanctions upon Appellants’
    counsel of $5,000.00 and directing Mr. and Mrs. Garced to pay counsel fees
    to Appellees relating to litigation concerning the interpreter issue.14 Appellate
    ____________________________________________
    13 Section 2503(7) provides:
    The following participants shall be entitled to a reasonable
    counsel fee as part of the taxable costs of the matter:
    ***
    (7) Any participant who is awarded counsel fees as a sanction
    against another participant for dilatory, obdurate or vexatious
    conduct during the pendency of a matter.
    “Participants” are defined to include litigants, witnesses, and their counsel.
    42 Pa.C.S.A. § 102.
    14 We recite in full the many bases upon which the trial court imposed
    sanctions to inform the reader of the egregious conduct warranting the
    imposition of sanctions. To wit, the trial court found:
    1) [Appellants] played fast and loose with this Court’s discovery
    Orders (see Order of Judge Robins-New of September 10, 2019)
    as to the Garceds’ income and failed to provide to provide [sic]
    complete tax records;[1]
    (Footnote Continued Next Page)
    - 36 -
    J-A20018-22
    ____________________________________________
    1 [Appellants] might argue that this misconduct had no bearing on the
    outcome of the trial since the jury did not award damages for lost
    income. The court disagrees. It was clear from the testimony at trial,
    based upon [Mr.] and Mrs. Garced’s withholding of their complete tax
    history and providing of only a partial Schedule C as to the cleaning
    business, that [Mr.] and Mrs. Garced, at a minimum, defrauded Federal,
    State and local taxing authorities and their employees by paying their
    employees undisclosed sums “under the table” and purported to excuse
    such behavior by asserting that Mr. Garced claimed “ all of the income
    as his own” and that he, himself, had (allegedly) paid the taxes on his
    employees’ compensation (by calling it his “income”)(N.T. 10/4/21 a.m.,
    p. 49, lines 11-18; p. 50, lines 12-24), an assertion that could not be
    verified due to the failure to produce complete records and, more
    troublingly, represented an effort by [Mr. Garced] to offer the very
    limited evidence in his Schedule C Federal tax returns to support his
    damages claims, evidence he knew to be false based upon the “under
    the table” admission during his testimony. In doing so, Mr. Garced
    clearly knowingly proffered fraudulent evidence to the Court and
    defrauded both his employees and taxing authorities since he did not
    pay withholding, federal, state or local income taxes (such as FWT, FICA,
    FICA Med, Pennsylvania State Tax, Philadelphia Wage Tax and
    Affordable Care Act Compliance and 1099 disclosure) attributed to their
    earnings, or address his obligations as employer to protect them by
    paying for workers’ compensation or medical insurance (or the penalty
    for not providing medical insurance). Regardless of the specious claim
    that [Mr.] Garced “paid the taxes” as his own, [his] failure to provide
    complete records prevented [Appellees] from challenging him on cross-
    examination or using the records to show that Mr. Garced was a fraud
    and liar, factors that would have undermined his credibility entirely to
    the Jury.
    2) [Appellants] failed to comply with the Court’s Pre-trial Order
    (under risk of Sanction) requiring [them] to retain a qualified
    interpreter who would be available for the entirety of the trial
    (necessitating repeated delays in the trial and requiring the use of
    three different interpreters);
    3) [Appellants’] counsel never made any credible efforts to timely
    secure an interpreter with the First District Court Reporter Digital
    and Interpreter Administration (as required for the entirety of the
    trial);
    4) Thereafter [Appellants’] counsel misled defense counsel (as to
    an agreed upon joint engagement of the Court Interpreter) as to
    (Footnote Continued Next Page)
    - 37 -
    J-A20018-22
    ____________________________________________
    the only available option being a private interpreter in order to
    secure defense counsel’s acquiescence in [Appellants’] privately
    screened and selected interpreter;
    5) When Mr. Guerra appeared at the trial to serve as the Court
    Interpreter, neither he nor [Appellants’] counsel disclosed to
    defense counsel that he had previously been employed by
    [Appellants’] counsel to assist in the pretrial preparation of
    [Appellants’] testimony for trial in order to determine whether
    [Appellees] still consented to the use of this private interpreter;
    6) When [Appellants’] counsel became aware that defense counsel
    had overheard the improper ex parte conversation between
    [Appellants], the interpreter and counsel’s paralegal, he
    unilaterally discharged the interpreter on the day of trial in order
    to shield him from the court’s examination and to cover up the
    questionable circumstances of his hiring, further interrupting and
    delaying the progress of trial;
    7) Counsel’s unilateral discharge of the Court Interpreter without
    securing a replacement ensured that the trial would suffer some
    sort of significant interruption;
    8) [Appellants’] counsel unilaterally dismissing his client from
    Court while still under cross-examination presented the court with
    the dilemma of adjourning the trial or disrupting the ongoing
    testimony of Mr. Garced (an option that allowed him the benefit
    of previewing and preparing to gain an unfair advantage in the
    continuation of his cross examination and by watching the entirety
    of [Appellants’] case before having to resume his testimony and
    further prepare him for anticipated cross examination);
    9) When asked to address the circumstances of the hiring of the
    interpreter after defense counsel raised concerns over the
    improper conversation of the Court Interpreter with counsel’s
    paralegal, Mrs. Garced and [Mr. Garced], [Appellants’] counsel
    asserted incredibly to the court that he had been unable to secure
    a court interpreter (the later-revealed facts surrounding the hiring
    (Footnote Continued Next Page)
    - 38 -
    J-A20018-22
    ____________________________________________
    of Mr. Guerra confirm that [Appellants] never intended to hire a
    Court Interpreter but only wanted someone who had been
    screened and approved by [counsel], Mr, Garced and Mrs. Garced,
    a fact that would have remained unknown to the court and
    defense counsel but for the fortuity of defense counsel discovering
    the ex parte conversation);
    10) [Appellants’] counsel never disclosed to the court prior to
    calling Mr. Garced to the stand that the Court Interpreter had been
    secretly employed by him in connection with preparing Mr. Garced
    to testify at the trial, and thus had been a part of counsel’s “trial
    team;”
    11) Someone, likely associated with [Appellants’] trial team,
    falsely misrepresented to the Interpreter or his employer that any
    conflict arising out of Mr. Guerra’s previous employment for the
    trial prep had been brought to the court’s attention and this court
    had waived the interpreter’s conflict of interest, a representation
    that discouraged the Interpreter from making a disclosure of his
    own;
    12) When questioned by the court regarding the circumstances of
    hiring the interpreter, [Appellants’] counsel insincerely deflected
    any potential for an ethical lapse or conflict of interest, proclaiming
    that the interpreter had accurately translated the testimony,
    calling a conflict merely “arguable”;
    13) [Appellants’] counsel attempted to suggest that it was merely
    fortuitous that the same individual hired to assist in the trial prep
    was sent by his agency to handle the trial, a suggestion wholly
    undermined when Mrs. Garced testified that she had specifically
    requested the opportunity to screen the interpreter in advance of
    the trial to see if the Court Interpreter “was on the same page” as
    [Appellants];
    14) [Appellants’] counsel declined to address why he failed to
    disclose the prior employment of Mr. Guerra before commencing
    Mr. Garced’s testimony, a failure which, at this stage, can only be
    (Footnote Continued Next Page)
    - 39 -
    J-A20018-22
    ____________________________________________
    attributed to a purposeful and conspiratorial plan between counsel
    and client to intimidate and influence the efforts of the interpreter
    at the time of trial;
    15) This intention to intimidate and influence is confirmed in the
    testimony of Mr. Guerra regarding the hallway conversation in
    which Mrs. Garced was hectoring him regarding the quality of his
    translation and he admittedly engaged with Mr. Garced in
    discussing the substance of his testimony (and but for defense
    counsel overhearing these parties, the fraud on the court and
    defendants would have continued);
    16) When questioned regarding the contents of the hallway
    conversation both Mr. and Mrs. Garced suffered mendacious
    memory lapses (N.T. 10/1/21 a.m., pp. 13-15; 10/4/21 p.m., pp.
    25-26);
    17) Mrs. Garced’s admissions regarding her intentions for an
    advance preview with Mr. Guerra conflicted with counsel’s evasive
    responses to the court’s direct questions about Mr. Guerra’s
    appearance in court and implicate counsel in an apparent
    intentional effort to mislead the court; and
    18) Mrs. Garced refused to follow the court’s rulings or counsel’s
    instructions and engaged in frequent outbursts in front of the jury
    and argued directly with the court; and
    19) Counsel improperly questioned his client in an effort to
    undermine and contradict the Ruling and Order of the Court to
    argue or by his questions suggest in front of the jury that the
    hallway conversation (contrary to the Courts findings and Order)
    and other improper contacts had not affected the truthfulness of
    his testimony and had not caused him to change his testimony.
    (N.T. 10/5/21 a.m., p. 31, lines 11-17).
    Memorandum Opinion, 12/7/21, at 18-22.
    - 40 -
    J-A20018-22
    review of a trial court's order awarding attorney’s fees to a litigant is limited
    solely to determining whether the trial court palpably abused its discretion
    in making a fee award. Thunberg v. Strause, 
    682 A.2d 295
    , 299 (Pa. 1996).
    We agree with the trial court’s rationale and find no abuse of discretion in
    imposing sanctions as articulated in its opinion which we reproduce, in part,
    as follows:
    The consideration of these matters in post-trial proceedings allows
    the court to address a matter the court reserved for further action
    in the earlier ruling addressing the conduct of [Mr. Garced], Mrs.
    Garced and [their] counsel….[When addressing [Appellees’]
    Motions for Directed Verdict, Motion to Strike or in the Alternative
    for Mistrial] … in the heat of the trial and faced with the continuing
    and increasingly intentional obstruction, dilatory and prejudicial
    conduct by counsel, [Mr.] and Mrs. Garced, a ruthless ongoing
    waste of the valuable time of the jury, the Court and Defense, and
    without time for significant reflection or the benefit of determining
    the full impact of [their] misconduct on the jury, the court elected
    to continue with the trial in the hopes that a curative instruction
    that informed the jury of the out-of-court misconduct and the (as
    then charged, hypothetical) impact on the witnesses’ credibility
    would fully address the concerns raised in the motions. However,
    the court also anticipated that a mere instruction might not be
    sufficient to resolve the affront to the court, the jury and the
    system of justice, prevent additional contumacious conduct by
    [Appellants] and counsel, or mitigate the prejudice to [Appellees].
    Memorandum Opinion, 12/7/21, at 16.
    ***
    The court now, upon reflection, in recognition of the gravity of the
    subsequent misconduct during the remainder of the Trial, and in
    consideration of whether the conduct warrants further sanctions,
    examines the entire record of the trial, to evaluate the evidence
    and counsel[’s] and [Appellants’] misconduct before the court,
    and to determine whether the curative instruction adequately
    cleansed the record of the misconduct or successfully prohibited
    the admonished counsel as to future misconduct.
    - 41 -
    J-A20018-22
    Id. at 17.
    ***
    The court has had the advantage of observing the demeanor and
    tone of the participants in addressing the concerns surrounding
    the Interpreter (and throughout the proceedings) and finds based
    upon these observations that the actions of [Appellants’] and
    counsel were purposeful, calculating and premeditated, part of an
    intentional plan to disrupt control, limit, and engineer [Mr.
    Garced’s] testimony. The hiring of Court Interpreters with
    significant known ongoing unavailability and scheduling conflicts
    ensured that Mr. Garced’s testimony would suffer frequent and
    significant interruptions, preventing [Appellees] from making
    substantial inroads on cross examination and allowing for breaks
    in the testimony for coaching the witness. Further this misconduct
    of [Appellants] was, in the totality of the conduct before the court,
    a transparent plan to waste the allotted trial time, to allow
    [Appellants] to tactically feign memory loss, to cripple or
    disadvantage the defense, and to obstruct the full and fair
    presentation of the defense.
    Id. at 22-23.
    ***
    This court has searched precedent for comparable circumstances
    that would provide guidance on addressing the obstructive and
    vexatious conduct that occurred during this trial and the remedies
    for such conduct. Throughout the proceedings, the court was
    challenged to formulate a remedy that would not reward the
    perpetrators with a second bite at the apple and burden the
    defense with the expense of another trial.          See Sutch v.
    Roxborough Mern. Hosp., 
    142 A.3d 38
    , 52 (Pa. Super. 2016),
    app. den. 
    640 Pa. 378
    , 
    163 A.3d 399
     (2016). This case presents
    the unique circumstances of compounded misconduct that
    included both clients and counsel, coupled with counsel engaging
    in blatant misrepresentations to the court on the record by counsel
    in the course of the trial. The underlying matter—luring an
    interpreter—which should involve a basic procedure devolved into
    a shameful cloak and dagger attempt to cover up the actions of
    both clients and counsel leading to repeated delays in the trial and
    necessitating the use of three different interpreters (remarkable,
    - 42 -
    J-A20018-22
    when the Pre-trial Order issued in conjunction with the trial
    mandated that counsel retain an interpreter available for the
    entire duration of the trial).
    Id. at 24.
    ***
    Entering a JNOV would fully punish the wrongdoers and erase the
    taint, but, as previously discussed, it is outside the scope of the
    court’s authority. Long v. Bethany Children's Home, Inc.,
    
    2021 WL 1157945
     at * 3 (Pa. Super. March 26, 2021). citing
    Reott v. Asia Trend Inc., 
    7 A.3d 830
    , 835 (Pa. Super. 2010),
    aff'd 
    618 Pa. 228
    , 
    55 A.3d 1088
     (2012). Granting an entirely new
    trial simply allows [Appellants] a "do-over" with the benefit of
    having previewed [Appellees’] cases. However, limiting the scope
    of any new trial to the evidence credibly presented, i.e., that some
    type of incident that occurred at the workplace at UCP on May 26,
    2016 and the immediate injuries proven to flow from that
    incident—prevents [Appellants] from inflating the claims in this
    case and using expert testimony dependent upon an
    unscientifically confirmed causal nexus. Moreover, it limits the
    ability of witnesses who have shown an inclination to manipulate
    the proceedings to their favor to embellish their account of the
    incident in pursuit of a jackpot. Such a ruling is consistent both
    with the court’s finding as to misconduct and its determination of
    an insufficiency in the underpinnings for the experts’ conclusions.
    Id. at 25.
    ***
    [T]he misconduct here involved counsel and clients. However, the
    misrepresentations and omissions related to the circumstances of
    hiring the original Court Interpreter are entirely the actions of
    counsel, warranting the entry of a separate sanction against him.
    [Counsel’s] statements surrounding the hiring and firing of the
    Court Interpreter, the convenient absence of Mr. Garced, and the
    scheduling of Court Interpreters generally and the replacements
    for [the Interpreter], were, based upon his demeanor and
    duplicitous responses, wholly incredible, purposefully misleading
    and unremorseful. The court orders a Sanction of $ 5,000 against
    [counsel] to be paid to [Appellees’] counsel as attorneys’ fees.
    - 43 -
    J-A20018-22
    The court further determines that an award against [Mr.] and Mrs.
    Garced for their participation in the conduct surrounding the hiring
    of the interpreter and thereafter their evasive responses under
    oath is further required. Sutch suggests that an appropriate
    measure of sanctions is the cost that an opposing party incurred
    to address the misconduct. In this case, it appears that such cost
    would encompass counsel’s fees in connection with the deposition
    of the interpreter, the fees in conjunction with the filing of
    [Appellees’] counsel’s bench memos on the remedy for the use of
    an interpreter appearing to have a conflict of interest and for the
    costs of filing post-trial motions seeking a new trial that could
    proceed (hopefully) without the misconduct.
    Id. at 26-27.
    We further reject Appellants’ contention that the imposition of sanctions
    was improper because there was no direct order under which they could be
    held in contempt. Appellants misapprehend the basis upon which the court
    entered sanctions. The court imposed sanctions under 42 Pa.C.S.A. 2503(7),
    and not on any intentional disregard of a court order. Moreover, as Appellees
    correctly point out, an award of counsel fees under Section 2503 is distinct
    from a finding of civil contempt that might include sanctions in the form of
    counsel fees. Carlino E. Brandywine, L.P. v. Brandywine Vill. Ass’n, 
    197 A.3d 1189
    , 1204 (Pa. Super. 2018). Appellants are not entitled to any relief
    on this issue.
    VI. EVIDENTIARY ISSUES
    In their remaining arguments, Appellants contend that the trial court
    committed errors in an array of evidentiary rulings. We review evidentiary
    rulings for abuse of discretion. Talmadge v. Ervin, 
    236 A.3d 1154
    , 1156
    (Pa. Super. 2020). We review these arguments seriatim.
    - 44 -
    J-A20018-22
    (i)    Taxes
    Appellants argue they are entitled to a new trial because Appellees
    asked Appellants’ economic expert inappropriate questions.          Specifically,
    Appellees asked whether, in calculating lost earning capacity, the wages the
    expert used factored in Appellants’ taxes.
    In Gradel v. Inouye, 
    421 A.2d 674
     (Pa. 1980), our Supreme Court held
    that “the law in Pennsylvania plainly is that income tax consequences should
    not be considered by the jury. . . . Income tax as it relates to damages should
    be mentioned neither in argument nor in jury instructions.” Id. at 680. Under
    Gradel, it likely was improper for the court here to allow questions to
    Appellants’ economic expert about whether he considered taxes in calculating
    lost earning capacity. Any error, however, was harmless, since the jury did
    not award Appellants damages for loss of future earnings or earning capacity,
    and the court properly entered JNOV for future economic loss, as discussed
    above.
    (ii)   Limitation of Mr. Garced’s Testimony
    Appellants argue that they are entitled to a new trial because the trial
    court limited Mr. Garced’s direct testimony. When Mr. Garced resumed his
    testimony on the fifth day of trial—after testifying for half a day on the first
    day—the trial court limited his direct testimony to ten minutes. N.T., 10/4/21,
    at 6.    The trial court explained that it took this step because of the “time
    wasted [by Appellants] during trial, [counsel’s] disorganized and repetitive
    - 45 -
    J-A20018-22
    leading questions, multiple delays of the trial due to the firing of the original
    Interpreter, [and] failure to secure a replacement interpreter.” Trial Court
    Memorandum, 12/7/21, at 30.
    At the outset, we observe Appellants waived this issue for purposes of
    appeal because they did not object to the trial court’s ruling.         Estate of
    Brown, 
    30 A.3d 1200
    , 1207 (Pa. Super. 2011) (“failure to object in timely
    fashion at trial results in waiver of issue for appeal”). As the trial court pointed
    out in its opinion, the portion of the record Appellants cite to show they
    preserved this issue actually related to a different issue—Appellants’ request
    that the trial judge recuse himself. When the court ruled that Mr. Garced’s
    direct would be limited, counsel’s only response to the time limitation was:
    “Yes, sir.” Id. at 6. Then, after the court brought the jury in and read the
    curative instruction concerning the misconduct related to the interpreter,
    Appellants asked the trial judge to recuse himself. Id. at 19. This request
    did not concern the time limitation imposed on Mr. Garced’s direct testimony.
    Even if Appellants preserved this issue, a trial court is authorized to control
    the scope of a witness’s examination, Rettger v. UPMC Shadyside, 
    991 A.2d 915
    , 925 (Pa. Super. 2010), and the court here exercised this authority
    properly in placing a time limit on Mr. Garced’s testimony. Mr. Garced’s direct
    examination resumed a week after he testified at length on the first day of
    trial.    This was after Appellants’ misconduct with the interpreter, multiple
    delays, and repetitive leading questions, all were deemed to interfere with the
    - 46 -
    J-A20018-22
    flow of the trial.   At that point, the trial court limited Mr. Garced’s further
    testimony to ten minutes due to Appellants’ interference with the flow of trial
    caused by their misconduct concerning the interpreter and the resulting delay
    in obtaining a substitute interpreter. Memorandum Opinion, 12/7/21, at 30.
    In addition, Mr. Garced’s testimony was duplicative of other witnesses,
    including his wife, who testified about his exposure, treatment, and damages,
    and Appellants’ multiple damages experts. Accordingly, the court’s limitation
    on Mr. Garced’s testimony was a proper exercise of discretion.
    (iii)   Admission of Past Medical Costs
    Appellants request a new trial on the ground that the court erred in
    allowing Appellees to question Appellants’ life care plan expert about Mr.
    Garced’s past medication costs, when Appellants were not seeking to recover
    past medical costs. We find that this cross-examination was appropriate. On
    direct examination, Appellants’ life care planner testified about projected
    future medical costs. On cross-examination, defense counsel challenged the
    planner’s opinions by seeking information regarding the amount of Mr.
    Garced’s past medical bills.    This was permissible cross-examination, since
    past medical costs are relevant when future medical expenses are at issue.
    Pratt v. Stein, 
    444 A.2d 674
    , 697 (Pa. Super. 1982) (“[w]here the evidence
    in a personal injury action shows the value of medical services already
    rendered the injured person, and that such service will be required in the
    future, the jury may determine from the past service, and its value, what may
    - 47 -
    J-A20018-22
    reasonably be required in the future, although there is no other evidence of
    the value of the future services”). Defense counsel’s questions were proper
    to assist the jury to determine the amount, if any, Appellants could recover
    for future medical expenses. In addition, these questions were an appropriate
    challenge to the life care planner’s opinions concerning future medical costs.
    The witness had no knowledge of the past cost of Mr. Garced’s medications,
    so these questions directly impeached the credibility of her opinions.        See
    Pa.R.E 611(b) (permitting cross-examination of a witness on matters relevant
    to any issue in the case, including credibility).
    (iv)   Scope of Dr. Kelsen Testimony
    Appellants argue they are entitled to a new trial because a defense
    medical expert, Dr. Kelsen, was permitted to testify that the use of Xolair, a
    medication that Mr. Garced received in treatment following the incident at
    UCP, should have been limited to four months. According to Appellants, Dr.
    Kelsen failed to include this opinion in his report, so his testimony at trial fell
    outside the fair scope of his report. Appellees correctly point out, however,
    that Mr. Garced’s use of Xolair was within the parameters of Dr. Kelsen’s
    supplemental report provided to all counsel. Under Pennsylvania Rule of Civil
    Procedure 4003.5, expert reports define the permissible scope of a party’s
    expert trial testimony. Pa.R.Civ.P. 4003.5(c) (“[The expert’s] direct testimony
    at the trial may not be inconsistent with or go beyond the fair scope of his
    testimony in the discovery proceedings as set forth in his deposition, answer
    - 48 -
    J-A20018-22
    to an interrogatory, separate report, or supplement thereto”).               “[I]n
    determining whether an expert’s trial testimony falls within the fair scope of
    his pre-trial report, the trial court must determine whether the report provides
    sufficient notice of the expert’s theory to enable the opposing party to prepare
    a rebuttal witness.”   Feden v. Consolidated Rail Corp., 
    746 A.2d 1158
    ,
    1162 (Pa. Super. 2000). In other words,
    in deciding whether an expert’s trial testimony is within the fair
    scope of his report, the accent is on the word “fair.” The question
    to be answered is whether, under the particular facts and
    circumstances of the case, the discrepancy between the expert’s
    pre-trial report and his trial testimony is of a nature which would
    prevent the adversary from making a meaningful response, or
    which would mislead the adversary as to the nature of the
    appropriate response.
    
    Id.
        In his supplemental report, Dr. Kelsen opined that Xolair was not an
    appropriate treatment for Mr. Garced. Given his opposition to this medication,
    his trial testimony that any use of Xolair should be limited to four months was
    within the fair scope of his supplemental opinion.
    (v)    Termination of Mr. Garced’s Contract
    Appellants object to the court’s order granting UCP’s motion to preclude
    any reference to the termination of Mr. Garced’s contract with UCP. This ruling
    was within the court’s discretion.     The agreement between UCP and Mr.
    Garced’s company was an at-will contract. “The general rule is that when a
    contract provides that one party shall render services to another . . . but does
    not specify a definite time or prescribe conditions which shall determine the
    duration of the relation, the contract may be terminated by either at will.”
    - 49 -
    J-A20018-22
    Price v. Confair, 
    79 A.2d 224
    , 226 (Pa. 1951). Thus, UCP had the right to
    terminate this contract at any time.       Permitting Appellants to introduce
    evidence of termination would have led the jury to speculate why the contract
    was terminated and would have introduced irrelevant collateral issues
    unrelated to Appellants’ claim of lost income arising from the fogging incident
    at UCP.
    (vi)   Exclusion of Rebuttal Video
    Appellants contend a new trial is needed because the trial court
    precluded a rebuttal video they sought to present at trial. The videotape,
    which purportedly showed Mr. Garced’s continuing pulmonary symptoms while
    he was active, was intended to rebut a defense video showing Mr. Garced
    engaging in various strenuous activities. Appellants produced this video to
    Appellees just before the trial. The trial court’s decision to bar introduction of
    the video was within its discretion. “The purpose of the discovery rules is to
    prevent surprise and unfairness and to allow a trial on the merits.” Clark v.
    Hoerner, 
    525 A.2d 377
    , 382 (Pa. Super. 1987). Permitting the video would
    have been unfairly prejudicial to Appellees.       The video was not listed in
    Appellants’ pretrial memorandum and was not provided to Appellees until the
    eve of trial. Further, preclusion of the video did not prevent Appellants from
    presenting their case, because the video was duplicative and cumulative of
    Appellants’ testimony.     Through testimony by Mr. Garced and others,
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    J-A20018-22
    Appellants were able to present evidence that doing certain tasks, such as
    walking on stairs, caused Mr. Garced’s blood oxygen level to drop.
    (vii)   Motion in Limine Precluding Mrs. Garced’s Injuries
    Appellants lastly contend the trial court erred in granting Appellees'
    motion in limine precluding recovery of Mrs. Garced’s claimed injuries
    resulting from exposure to HaloSpray because her expert did not use the
    words to “a reasonable degree of medical certainty” in her report. Appellants
    contend the report clearly indicated that her expert’s opinions were within a
    reasonable degree of medical certainty. We disagree. The trial court’s order
    of September 28, 2021, precluding Mrs. Garced from presenting a personal
    injury claim was not based upon mere semantics, but rather was grounded
    upon the substantive basis that she too failed to provide competent expert
    testimony to establish causation.
    Mrs. Garcia provided a one and a half page expert report from her
    primary care physician, Dr. Anita C. Lee, dated November 1, 2019, to
    substantiate her claim that she too suffered injury and long term effects from
    exposure to the HaloSpray that leaked into the room her husband was
    cleaning. According to Dr. Lee’s summary of Mrs. Garcia alleged chemical
    exposure, Mrs. Garced said that she was working with her husband on May
    27, 2016, when he was exposed to a fog of Halomist. She claimed to be in
    the vicinity and became exposed to the fog as well.       She initially had no
    symptoms but claimed to develop nausea, headache, and dizziness by the
    - 51 -
    J-A20018-22
    time her husband was taken to the emergency room, even though she
    received no treatment at that time. She claimed to have noted the onset of
    shortness of breath soon after, as well as chest tightness and a nonproductive
    cough. She was seen by an ear, nose and throat physician with a negative
    examination. She denied heartburn, took no inhalers, and had no prior lung
    or asthma problems in the past. Dr. Lee reviewed the material data sheets
    for the chemical composition of Halomist and noted that those agents are
    known to be irritants to the mouth, throat, gastrointestinal tract, and lungs.
    Relying upon the 2016 record of Mrs. Garced’s pulmonologist, Dr. Schwartz,
    which Dr. Lee stated she also confirmed, Dr. Lee noted that after Mrs. Garced’s
    alleged exposure,    her   initial workup included     “neg   CXR, PFTs with
    methacholine challenge on 10/12/16 that was normal.” After about a year,
    Mrs. Garced’s condition started to improve, and Dr. Lee diagnosed nonspecific
    airway irritation/inflammation induced by her prior exposure. Dr. Lee noted
    there were some (but not all) days that Mrs. Garced woke up with shortness
    of breath subsequent to her exposure, and that she takes no medications for
    her symptoms. Dr. Lee stated that since the chemical exposure three years
    ago, Mrs. Garced’s symptoms slowly resolved from an exposure from the same
    incident but to a lesser extent than Mr. Garced’s exposure.
    In light of our above discussion on the failure to establish causation
    between the May 26, 2016 incident and Mr. Garced’s injuries, no further
    discussion is needed to conclude that the trial court acted within its discretion
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    J-A20018-22
    in granting Appellees’ motion in limine to preclude Mrs. Garced from making
    a personal injury claim related to the May 16, 2016 incident. Suffice it to say,
    Dr. Lee’s nonspecific diagnosis of an airway irritation/inflammation, without
    any attempt purporting to meet the expert criteria under Pa.R.E. 702 for the
    admission of expert testimony to establish a causal connection to the May 26,
    2016 incident, requires that we deny any relief on this claim.
    VII. HALOSIL’S CROSS-APPEAL
    Halosil attempts to present a “cross-appeal” in its brief arguing that the
    trial court erred by denying its motion to dismiss Appellants’ claims against it
    on the ground that FIFRA preempts Appellants’ entire action. We find we are
    precluded from reviewing this contention because Halosil failed to file an
    appeal from the court’s order disposing of its post-trial motions.
    As discussed above, the court denied Halosil’s motion seeking JNOV
    based upon FIFRA but awarded Appellants a new trial limited to the amount
    of Mr. Garced’s past noneconomic loss. Halosil could have filed a notice of
    appeal from the denial of its FIFRA argument within 30 days of the order
    dismissing its post-trial motion, see Pa.R.A.P. 903(a), or a cross-appeal within
    14 days of a timely notice of appeal filed by Appellants. Pa.R.A.P. 903(b).
    Since Halosil did neither, we are precluded from entertaining the merits of its
    cross-appeal.
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    J-A20018-22
    VIII. CONCLUSION
    For the foregoing reasons, we affirm the trial court’s order disposing of
    the parties’ post-trial motions, and we remand for further proceedings
    consistent with this decision.
    Order affirmed.    Case remanded for further proceedings.     Jurisdiction
    relinquished.
    Date: 12/07/2023
    - 54 -
    

Document Info

Docket Number: 111 EDA 2022

Judges: Stabile, J.

Filed Date: 12/7/2023

Precedential Status: Precedential

Modified Date: 12/7/2023