Carol Ann Gibbons and Virginia Floyd v. Luby's Inc., Luby's Restaurants Limited Partnership, and Luby's Management, Inc. ( 2015 )


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  •                        COURT OF APPEALS
    SECOND DISTRICT OF TEXAS
    FORT WORTH
    NO. 02-12-00202-CV
    CAROL ANN GIBBONS AND                                           APPELLANTS
    VIRGINIA FLOYD
    V.
    LUBY’S INC., LUBY’S                                              APPELLEES
    RESTAURANTS LIMITED
    PARTNERSHIP, AND LUBY’S
    MANAGEMENT, INC.
    ------------
    FROM THE 348TH DISTRICT COURT OF TARRANT COUNTY
    TRIAL COURT NO. 348-241100-09
    ----------
    MEMORANDUM OPINION 1
    ----------
    1. Introduction
    Anaphylaxis reactions 2 resulting from food allergies cause an estimated
    30,000 emergency room visits and 150 deaths in the United States every year. 3
    1
    See Tex. R. App. P. 47.4.
    This case arose out of an anaphylaxis reaction suffered by Appellant Carol Ann
    Gibbons after dining with her cousin Appellant Virginia Floyd at a Luby’s
    cafeteria-style restaurant (the restaurant) owned and operated by Appellee
    Luby’s Restaurants, L.P. (Restaurants). Restaurants is a subsidiary of Appellee
    Luby’s Management, Inc. (Management) and Appellee Luby’s Inc., and
    Management is the general partner of Restaurants.
    Gibbons and Floyd sued Restaurants, Management, and Luby’s Inc.
    (collectively the Luby’s entities).   After a jury trial, the trial court signed a
    judgment awarding damages of $12,623.30 to Gibbons in accordance with the
    jury’s verdict.
    In 106 issues, Gibbons and Floyd complain of the trial court’s final
    judgment and of its earlier orders setting aside a default judgment in their favor
    and granting a new trial, granting a directed verdict on some of Gibbons’s claims,
    denying a directed verdict for Gibbons on the question of proportionate
    responsibility, denying their motion for judgment notwithstanding the verdict and
    other post-trial motions, and granting summary judgment for the Luby’s entities
    2
    See National Institutes of Health, U.S. National Library of Medicine,
    Anaphylaxis, Medline Plus Medical Encyclopedia (explaining that anaphylaxis is
    a severe, life-threatening, whole-body type of allergic reaction to a substance),
    available at http://www.nlm.nih.gov/medlineplus/ency/article/000844.htm (last
    updated May 11, 2014).
    3
    FDA, Food Allergies: What You Need to Know (June 2010), available at
    http://www.fda.gov/downloads/Food/ResourcesForYou/Consumers/UCM220117.
    pdf.
    2
    on Floyd’s bystander claim.     Because we hold that summary judgment was
    proper, that Gibbons cannot appeal from the granting of the new trial, and that
    sufficient evidence supports the judgment, we affirm.
    2. Background
    Gibbons and Floyd dined at the restaurant on October 26, 2007. Gibbons,
    who was visiting from Pennsylvania, is allergic to whitefish. 4 Gibbons ordered a
    salmon croquette, which she believed did not contain whitefish. Shortly after
    starting to eat, Gibbons’s throat began feeling scratchy, and her face began to
    turn red. At Floyd’s request, Restaurants employee Nicole Huffman checked
    with the kitchen staff to find out the croquette’s ingredients. Huffman reported to
    Floyd that the ingredients included whitefish.
    Certain that Gibbons was experiencing an allergic reaction, Gibbons and
    Floyd left the restaurant and headed toward the closest hospital. Fearing the
    hospital was too far away, Floyd stopped at a fire station, and paramedics there
    were able to treat Gibbons until an ambulance could arrive.         By that time,
    Gibbons was unconscious. Gibbons was taken by ambulance to the hospital
    where she was admitted and diagnosed with anaphylactic shock, hypoxemia,
    4
    See Jennifer Lee Johnson, Of Darwin’s Dreams and Nightmares: The
    Concealed Violence of a Global Whitefish Commodity 2 n.ii (Apr. 2008) (thesis,
    University of Michigan) (stating that the term “whitefish” “is used by the seafood
    fish industry to refer to easily substitutable fish species, such as cod, catfish,
    tilapia[,] and Nile perch” and that the term is “an economic category” rather than
    a biological one), available at http://deepblue.lib.umich.edu/handle/2027.42/
    58200?show=full.
    3
    and acute respiratory failure.   She was sedated, intubated, and put on life
    support. After being treated, Gibbons recovered and was discharged two days
    after her admission.
    Three days after the incident—that is, the day after Gibbons’s discharge—
    she and Floyd went to the restaurant and discussed the incident with a manager
    there. The day after that, Gibbons discussed the incident over the telephone with
    Patricia Boudreaux, a risk manager working for the Luby’s entities who called
    Gibbons to discuss what happened.
    Gibbons and Floyd subsequently sued the Luby’s entities.             Gibbons
    asserted claims for negligence, gross negligence, violations of the Deceptive
    Trade Practices Act (DTPA), 5 breach of contract, and products liability. Floyd
    asserted a bystander claim for mental anguish.
    Restaurants filed an answer that contained a special exception stating that
    it had been sued in the wrong name because it “was sued as LUBY’S, INC.,
    LUBY’S      RESTAURANTS          LIMITED      PARTNERSHIP,        AND      LUBY’S
    MANAGEMENT,         INC.,”   when   its    “correct   name   is   simply   LUBY’S
    RESTAURANTS LIMITED PARTNERSHIP.” Luby’s Inc. and Management did
    not file answers.
    5
    Tex. Bus. & Com. Code Ann. §§ 17.41–.63 (West 2011 & Supp. 2014)
    (amended by Act of May 27, 2015, 84th Leg., R.S., ch. 1023, § 1, 2015 Tex.
    Sess. Law Serv. 3576 (West), and by Act of May 26, 2015, 84th Leg., R.S., ch.
    1080, § 1, 2015 Tex. Sess. Law Serv. 3721 (West)).
    4
    Gibbons and Floyd filed a motion for default judgment against Luby’s Inc.
    and Management. After a hearing, a visiting judge signed a default judgment
    awarding Gibbons $2,870,998.61 in damages and $3,641,997.22 additional
    damages under the DTPA for knowing and intentional conduct, awarding Floyd
    $600,000 plus $1,200,000 additional damages under the DTPA, and awarding
    attorney’s fees of $1,465,198.33 for Gibbons and $720,000 for Floyd.
    Luby’s Inc. and Management filed a motion to set aside the default
    judgment, and, after a hearing, the trial court granted the motion. The Luby’s
    entities then filed a motion for summary judgment on Floyd’s bystander claim and
    for no-evidence summary judgment on Gibbons’s claims. The trial court granted
    the motion as to Floyd’s bystander claim but denied the motion as to Gibbons’s
    claims.
    The case proceeded to a jury trial, and, after the close of evidence, the trial
    court granted a directed verdict on Gibbons’s gross negligence, breach of
    contract, DTPA, and strict liability claims.      The court submitted Gibbons’s
    negligence claim against Management and Restaurants to the jury. The charge
    asked the jury to find whether “Luby’s” or Gibbons were negligent and to
    apportion what percentage of responsibility each bore, with “Luby’s” defined to
    include Restaurants, Management, and the employees at the restaurant.
    The jury returned a 10–2 verdict finding Gibbons and Luby’s each 50%
    negligent and assessing Gibbons’s damages at $10,000 for past pain and mental
    anguish, $1,050 for loss of earning capacity in the past, $10,000 for past physical
    5
    impairment, $3,996.61 in medical expenses, $100 for replacing the clothes
    Gibbons was wearing at the time of the occurrence, and $100 for the cost of
    changing her ticket for her return flight to Pennsylvania.
    Management and Restaurants filed a motion for entry of final judgment.
    They subsequently filed a motion to quash notices of deposition of jurors Bobby
    Mayo, Brenda Webster, Tris Renee Fitzgibbon, and Elaine Whitman, which had
    been sent by Gibbons and Floyd’s attorney. They also filed a motion to strike, for
    sanctions, and for protection, asserting that despite the filing of the motion to
    quash, Gibbons and Floyd’s attorney had deposed “various jurors.” Mayo and
    Whitman also filed objections to the depositions.
    Gibbons responded by filing a motion to compel the testimony of Mayo,
    Fitzgibbon, and Whitman. Gibbons attached the affidavits of jurors John Bell and
    James Parks and asserted that Mayo, Fitzgibbon, and Whitman had all made
    comments to other jurors that they did not believe in awarding damages for pain
    and suffering or mental anguish. After a hearing, the trial court signed an order
    of protection ordering that Gibbons, Floyd, and their attorney were prohibited
    from issuing any further deposition notices or subpoenas to Mayo and Whitman
    without prior court order.
    Gibbons filed a motion for mistrial and, in the alternative, for judgment
    notwithstanding the verdict (JNOV).      In the motion, Gibbons asserted among
    other grounds that the Luby’s entities had in discovery misrepresented and
    concealed the identity of the food server who had served Gibbons.
    6
    In light of the jury’s findings on proportionate responsibility, 6 the trial court
    signed a final judgment ordering that Gibbons recover $12,262.30 from
    Restaurants and Management. Gibbons and Floyd then filed a motion for new
    trial, which the trial court denied. Gibbons and Floyd now appeal.
    3. Discussion
    The appellants’ brief in this case raises 106 issues, and “many of [the]
    issues are repetitive and subsumed by, or overlap, other issues.” 7 The brief
    contains 30,000 words over 180 pages. 8 Although the argument section includes
    underlined text that appears in many (but not all) instances to serve as headings,
    the headings do not clearly correlate with the issues, and not every change of
    argument is prefaced with underlined text. We have structured this opinion to
    address what we understand to be the complained-of actions by the trial court
    and Gibbons and Floyd’s “contentions as they appear in the argument section of
    6
    See Tex. Civ. Prac. & Rem. Code Ann. § 33.012(a) (West 2015) (“[T]he
    court shall reduce the amount of damages to be recovered by the claimant with
    respect to a cause of action by a percentage equal to the claimant’s percentage
    of responsibility”), 33.013(a) (West 2015) (“[A] liable defendant is liable to a
    claimant only for the percentage of the damages found by the trier of fact equal
    to that defendant’s percentage of responsibility”).
    7
    See Cruz v. Van Sickle, 
    452 S.W.3d 503
    , 511 (Tex. App.—Dallas 2014,
    pet. filed) (citing Tex. R. App. P. 38.1).
    8
    This court allowed Gibbons and Floyd to file a brief that exceeded the
    word count imposed by the rules of appellate procedure.
    7
    [their] brief, considering them only to the extent they are preserved for appellate
    review and adequately briefed.” 9
    3.1. Order Granting a New Trial and Setting Aside
    the Interlocutory Default Judgment
    Gibbons and Floyd’s first thirty-eight issues relate to the trial court’s
    granting of Luby’s Inc. and Management’s motion for new trial and setting aside
    the default judgment, as well as the trial court’s denial of their motion asking that
    the default judgment be reinstated.
    Aside from two limited exceptions not applicable here, “an order granting a
    new trial rendered while the trial court has plenary power over the case is not
    subject to appellate review, either by direct appeal from the order or from a final
    judgment rendered after later proceedings.” 10 Accordingly, the trial court’s grant
    of a new trial and setting aside of the default judgment is not reviewable in this
    appeal. 11 For the same reason, neither may we review the trial court’s denial of
    9
    See 
    Cruz, 452 S.W.3d at 513
    .
    10
    In re N.G.K., No. 05-08-00789-CV, 
    2009 WL 2973665
    , at *1 (Tex. App.—
    Dallas Sept. 18, 2009, no pet.) (mem. op.) (citing Wilkins v. Methodist Health
    Care Sys., 
    160 S.W.3d 559
    , 563 (Tex. 2005) and Cummins v. Paisan Constr.
    Co., 
    682 S.W.2d 235
    , 236 (Tex. 1984) and recognizing that the only two
    exceptions to the rule are when the trial court’s order was void or when the trial
    court erroneously concluded the jury’s answers to special issues were
    irreconcilably conflicting).
    11
    See 
    Cummins, 682 S.W.2d at 235
    –36 (holding—in a case in which the
    trial court granted a new trial after a default judgment and, after a jury trial,
    rendered judgment for the defendant—that the trial court’s order setting aside the
    default judgment was not reviewable on appeal). Cf. In re Columbia Med. Ctr. Of
    Las Colinas, 
    290 S.W.3d 204
    , 209–10 (Tex. 2009) (orig. proceeding) (holding
    8
    Gibbons and Floyd’s motion to set aside the grant of the new trial, which asked
    the trial court to reconsider its grant of the new trial. Accordingly, we overrule
    Gibbons and Floyd’s first thirty-eight issues.
    3.2. Floyd’s Bystander Claim
    The next four issues challenge the trial court’s summary judgment for the
    Luby’s entities on Floyd’s bystander claim. In the summary judgment motion, the
    Luby’s entities asserted that a bystander claim requires the claimant to be
    “closely related” and that Floyd and Gibbons were not closely related. Relying on
    a standard first articulated by a California court and applied by the San Antonio
    Court of Appeals, they argued that because Gibbons and Floyd are cousins and
    Gibbons has lived in Pennsylvania her entire life while Floyd has lived in
    Arlington, Texas since 1984, Gibbons and Floyd were, as a matter of law, not
    closely related.
    To their motion, the Luby’s entities attached excerpts of Gibbons’s
    deposition in which she testified that she was sixty-three and has lived in
    Pennsylvania her whole life and has never lived anywhere else, that her family
    and Floyd’s lived together for a few years starting when she was one and Floyd
    was three, that they talk often on the phone, and that she used to visit Floyd once
    a year but now tries “to get here at least every other year.” They also attached
    that mandamus review of the grant of a new trial after a jury trial was appropriate
    because, under the circumstances, Columbia did not have an adequate appellate
    remedy).
    9
    excerpts from Floyd’s deposition in which she stated that she moved away from
    the city in which Gibbons lived in 1972 but that she tries to visit Gibbons in
    Pennsylvania at least once a year. She stated that she and Floyd are “very
    close.”
    As stated by the Luby’s entities, Texas law permits a bystander to recover
    for mental anguish that arises when the person witnesses a traumatic injury to a
    close relative that was caused by the defendant’s negligent action. 12        The
    bystander may recover only if the trial court determines that the injury was
    reasonably foreseeable. 13 The determination of foreseeability is based on the
    following three factors set out by the California Supreme Court in Dillon v. Legg
    and adopted by the Supreme Court of Texas:
    (1) The bystander was located near the scene of the accident as
    contrasted with one who was a distance away from it.
    (2) The shock resulted from a direct emotional impact upon the
    bystander from the sensory and contemporaneous observance of
    the accident, as contrasted with learning of the accident from others
    after its occurrence.
    (3) The bystander and the victim were closely related, as
    contrasted with an absence of any relationship or the presence of
    only a distant relationship. 14 [Emphasis added.]
    12
    Edinburg Hosp. Auth. v. Trevino, 
    941 S.W.2d 76
    , 80 (Tex. 1997).
    13
    See Freeman v. City of Pasadena, 
    744 S.W.2d 923
    , 923–24 (Tex. 1988).
    14
    See 
    id. (adopting elements
    of a bystander claim as set out in Dillon v.
    Legg, 
    441 P.2d 912
    , 920 (Cal. 1968)).
    10
    Thus, the question of whether a claimant is “closely related” to the injured
    party was included as a factor in determining foreseeability. “These factors are
    to be interpreted flexibly.” 15 The factors should be applied on a case-by-case
    basis, but “when the material facts are undisputed, . . . whether the plaintiff is
    entitled to recover as a bystander is a question of law.” 16 It is the last factor in
    dispute here.
    In the same year that the Supreme Court of Texas adopted the Dillon
    standard, the California Supreme Court refined its Dillon decision in Elden v.
    Sheldon. 17 The Elden court concluded that “[t]he need to draw a bright line in
    this area of the law is essential” because “[t]he temptation to give legal effect to
    close emotional ties between unrelated or distantly related persons is often
    strong” and “[t]he problems of multiplication of actions and damages that result
    from such an extension of liability would place an intolerable burden on
    society.” 18 A bright line satisfies the need both “to limit the number of persons to
    whom a negligent defendant owes a duty of care” and to keep courts from
    bearing the difficult burden of evaluating the sufficiency of the emotional
    15
    Edinburg Hosp. 
    Auth., 941 S.W.2d at 80
    (quoting 
    Freeman, 744 S.W.2d at 924
    ).
    16
    United Servs. Auto. Ass’n v. Keith, 
    970 S.W.2d 540
    , 542 (Tex. 1998).
    17
    Elden v. Sheldon, 
    758 P.2d 582
    , 586 (Cal. 1988).
    18
    
    Id. at 588
    (internal quotation marks and citation omitted).
    11
    attachment between two relatives. 19 California has drawn such a bright line;
    “[a]bsent special circumstances,” the term “closely related” includes only
    “parents, siblings, children, and grandparents of the victim” or “relatives residing
    in the same household.” 20
    Our sister court has adopted this standard. In Garcia, the San Antonio
    Court of Appeals discussed California law and observed,
    To require mere emotional “closeness” would require constant ad
    hoc line-drawing; courts would have to probe case-by-case the
    genuineness of the relationship. Presumably when several people
    were injured, courts would weigh the varying relationships and
    decide which ones were close enough to justify bystander recovery
    and which ones were not. We question whether it is in society’s
    interest for courts and litigants to delve into family relationships to
    this extent. 21
    The San Antonio court held that the California standard “sets a reasonably bright
    line that limits suits to a finite number of relatives while ensuring some degree of
    closeness by requiring that they reside in the same household” or are members
    of the immediate family. 22
    19
    
    Id. at 586–88.
          20
    Thing v. La Chusa, 
    771 P.2d 814
    , 829 n.10 (Cal. 1989).
    21
    Garcia v. San Antonio Hous. Auth., 
    859 S.W.2d 78
    , 81 (Tex. App.—San
    Antonio 1993, no writ).
    22
    Id.; cf. Tex. Civ. Prac. & Rem. Code Ann. § 71.004 (West 2008) (limiting
    wrongful death actions to the surviving spouse, children, and parents of the
    deceased). But see 
    Garcia, 859 S.W.2d at 82
    –83 (Butts, J., dissenting) (stating
    that the purpose of the third prong of Dillon is to determine whether the plaintiff’s
    injury is foreseeable, that “it is the emotional attachments of the family
    relationship and not legal status that are relevant to foreseeability,” and that
    12
    Floyd argues that the test set out by the San Antonio court in Garcia was
    dicta. Because she argues we should not apply the standard used in Garcia, we
    assume she means that part of Garcia is obiter dictum. 23 We disagree. The
    Garcia court expressly adopted the California standard and relied on it in
    reaching its holding. 24 The Corpus Christi Court of Appeals has also applied this
    standard. 25
    Floyd urges us to reject the standard adopted by the San Antonio court,
    but she does not suggest an alternative standard for determining when two
    people are closely related for purposes of bringing a bystander claim.        She
    argues only that the Supreme Court of Texas requires a person bringing a
    bystander claim to be “closely related, as contrasted with an absence of any
    relationship or the presence of only a distant relationship,” that she and Gibbons
    lived together in the same home as very young children and have “maintained a
    because “there must be a strong and close emotional attachment in a familial
    relationship between the plaintiff and the injured person to establish the basis of
    recovery for mental anguish,” an uncle’s residing in the same household as his
    injured nephew, without more, is not sufficient to support a bystander claim).
    23
    See Lund v. Giauque, 
    416 S.W.3d 122
    , 129 (Tex. App.—Fort Worth
    2013, no pet.) (distinguishing between obiter dictum and judicial dictum and
    defining obiter dictum as “a statement not necessary to the determination of the
    case and that is neither binding nor precedential”).
    24
    
    Garcia, 859 S.W.2d at 81
    .
    25
    See Rodriguez v. Motor Exp., Inc., 
    909 S.W.2d 521
    , 525 (Tex. App.—
    Corpus Christi 1995) (holding that Rodriguez could not recover on a bystander
    claim because the decedent was his cousin-in-law and they lived in separate
    residences), rev’d on other grounds, 
    925 S.W.2d 638
    (Tex. 1996).
    13
    close familial relationship,” and that “[t]his satisfies the requirement . . . that a
    Plaintiff bringing a bystander claim must be ‘closely related.’”
    Arguing that a close emotional relationship shows that she and Gibbons
    are closely related, Floyd references the excerpt of her deposition testimony she
    attached to her response to the motion. She does not tell us which testimony on
    the cited record pages shows a close relationship, but on those pages, Floyd
    testified that she was godmother to Gibbons’s son, that Gibbons was in her
    wedding, and that they have “maintained a very close relationship all our lives.”
    Floyd stated that they talk on the phone “a few times a month, once a week,
    couple times a week. Totally depends on the schedules.” They have not lived in
    the same city since the early 1970s. She visits Gibbons in Pennsylvania once or
    twice a year. Gibbons used to visit her once a year, but for the previous five or
    six years, it had not been that often.
    We agree that generally, only parents, siblings, children, and grandparents
    of the victim, or relatives residing in the same household, will be considered
    closely related but that other relatives can, in special circumstances, satisfy that
    factor of the foreseeability analysis. We do not today outline a general standard
    by which a familial relationship should be measured to evaluate whether special
    circumstances allow bystander recovery, but, without discounting the distress
    that Floyd felt, we hold the trial court did not err by determining based on the
    summary judgment motion and response that no special circumstances were
    present as a matter of law. We overrule issues thirty-nine through forty-two.
    14
    3.3. Grant of Directed Verdict for Luby’s Inc.
    Issues forty-three through forty-seven challenge the trial court’s grant of
    the Luby’s entities’ motion for directed verdict. We begin our determination of
    this group of issues with issue forty-three, under which Gibbons challenges the
    directed verdict for Luby’s Inc. that disposed of all of Gibbons’s claims against it.
    Other than citing the standard of review for a directed verdict, Gibbons cites no
    authority, or inapplicable authority, for and makes no legal argument explaining
    why Luby’s Inc. is liable to her for her product liability, breach of contract,
    negligence, gross negligence, and DTPA causes of action against it.
    Regarding her products liability claim, Gibbons cites no authority and does
    not explain what elements must be met to establish products liability or how her
    evidence was sufficient as to those elements to survive a directed verdict.
    Accordingly, her argument regarding the directed verdict for Luby’s Inc. on her
    product liability claim is waived as inadequately briefed. 26
    Regarding her breach of contract claim, Gibbons argues that “[a]n
    agreement to purchase food at a restaurant is a valid contract and a food
    server’s representations concerning the ingredients contained in food being sold
    at a restaurant constitute warranties concerning same.” She cites case law for
    the proposition that a contractual relationship may create duties under both
    26
    See Tex. R. App. P. 38.1(i); see also Fredonia State Bank v. Gen. Am.
    Life Ins. Co., 
    881 S.W.2d 279
    , 284–85 (Tex. 1994) (discussing the “long-standing
    rule” that an appellate point may be waived due to inadequate briefing).
    15
    contract and tort law. 27   She does not, however, discuss the elements of a
    breach of contract claim or explain how her evidence at trial related to those
    elements and was some evidence that she and Luby’s Inc. had a contract. None
    of the cases she cites involve a breach of contract claim under facts analogous to
    this case. 28 Accordingly, she has not satisfied the briefing requirements for her
    issue challenging the directed verdict on her contract claim against Luby’s Inc. 29
    Gibbons also does not cite any authority to support her argument that her
    evidence was some evidence that Luby’s Inc. was negligent or grossly negligent.
    She references evidence that she asserts shows Luby’s Inc.’s liability—such as
    an excerpt from a shareholder report of Luby’s Inc. stating that “[q]uality control
    teams” work with restaurant staff “to confirm adherence to our recipes”—but she
    does not cite any authority that explains under what circumstances a parent
    company such as Luby’s Inc. is liable for the negligence of its subsidiaries. The
    27
    See Jim Walter Homes, Inc. v. Reed, 
    711 S.W.2d 617
    , 618 (Tex. 1986);
    Montgomery Ward & Co. v. Scharrenbeck, 
    204 S.W.2d 508
    , 510 (Tex. 1947)
    (stating that a contract may give rise to a duty, and negligent breach of that duty
    may constitute actionable negligence); Elliott v. Kraft Foods N. Am., Inc.,
    
    118 S.W.3d 50
    , 56 (Tex. App.—Houston [14th Dist] 2003, no pet.) (reviewing a
    judgment against Kraft for a DTPA claim based on breach of implied warranty
    that goods are fit for their ordinary purpose and observing that under the Uniform
    Commercial Code, the warranty is generally implied in every contract for the sale
    of goods and that “[t]he serving for value of food to be consumed elsewhere is a
    sale of goods”).
    28
    See 
    Reed, 711 S.W.2d at 618
    ; 
    Scharrenbeck, 204 S.W.2d at 510
    ; 
    Elliott, 118 S.W.3d at 56
    .
    29
    See Tex. R. App. P. 38.1(i).
    16
    one case she cites relating to an entity’s right to control another addresses
    whether a person was an employee or an independent contractor of a
    company. 30       It had nothing to do with a parent corporation’s control of
    subsidiaries. Her brief is inadequate as to these claims against Luby’s Inc. 31
    Her brief is likewise inadequate regarding her challenge to the directed
    verdict on her DTPA claim against Luby’s Inc.; she cites to no authority under
    which parent corporation Luby’s Inc. is responsible under the DTPA for the
    representations of its subsidiary’s employees about the ingredients of the
    restaurant’s products and does not explain how, under such authority, the
    directed verdict was improper. 32 Instead, in an unrelated part of her brief she
    asserts that a general partner is liable for a limited partner’s debts and
    obligations. The evidence she cites under this issue relates to whether Luby’s
    Inc. requires subsidiary restaurants to follow its recipes, but it does not relate to
    the representations made to Gibbons about the ingredients of the salmon
    croquettes or the legal basis under which a parent is liable for the acts of its
    subsidiaries for those representations. 33 We overrule Gibbons’s forty-third issue.
    30
    Newspapers, Inc. v. Love, 
    380 S.W.2d 582
    , 584 (Tex. 1964).
    31
    See Tex. R. App. P. 38.1(i).
    32
    See 
    id. 33 See
    Chartis Specialty Ins. Co. v. Tesoro Corp., 
    930 F. Supp. 2d 653
    , 667
    (W.D. Tex. 2013) (noting “the general principle of corporate law that a parent
    corporation is not liable for the acts of its subsidiaries”).
    17
    3.4. Directed Verdict for the Remaining Luby’s Entities on Gibbons’s Gross
    Negligence, Breach of Contract, DTPA, and Product Liability Claims
    Gibbons’s next group of issues (incorporated with her argument section as
    to Luby’s Inc.) addresses the directed verdict for Restaurants and Management
    granted by the trial court on all but Gibbons’s negligence claims against them.
    She argues that she presented sufficient evidence at trial to support each
    element of her gross negligence claims (issue forty-four), her breach of contract
    claims (issue forty-five), her DTPA claims (issue forty-six), and her products
    liability claims (issue forty-seven) against Restaurants and Management.
    Directed verdict on products liability and breach of contract claims.
    Gibbons’s arguments addressing the directed verdict for Restaurants and
    Management’s on her claims for products liability and breach of contract have the
    same deficiencies as her arguments on these claims as against Luby’s Inc.
    Accordingly, her briefing is inadequate as to these claims. 34
    In her reply brief, Gibbons cites American Tobacco Co. v. Grinnell for the
    proposition that “[a]n article is unreasonably dangerous if it is dangerous to an
    extent beyond that which would be contemplated by the ordinary consumer who
    purchases it, with the ordinary knowledge common to the community as to its
    characteristics.” 35   Although she does not specify, this argument appears to
    relate to her products liability claim.
    34
    See Tex. R. App. P. 38.1(i).
    35
    
    951 S.W.2d 420
    , 426 (Tex. 1997).
    18
    This lone authority in a reply brief is not enough to overcome her briefing
    defects on this issue; it is unclear from the single citation in her reply brief what
    theory of product liability she believes the evidence supports. 36 From the pages
    of Grinnell that she cites, we can speculate that she alleges products liability
    based on a marketing defect. 37 But she does not explain how the evidence was
    sufficient to overcome a directed verdict on a marketing defect products liability
    claim against Restaurants or Management. We overrule Gibbons’s forty-fifth and
    forty-seventh issues.
    Directed Verdict on DTPA Claims.
    Gibbons argues that the sale of food is a sale of goods under the DTPA
    and that Restaurants and Management violated the DTPA by failing to disclose
    that the croquette had whitefish. She asserts that they further violated the DTPA
    by making affirmative representations (1) that the croquette had characteristics
    that it did not have, (2) that it contained only certain ingredients when it contained
    other ingredients, and (3) that it did not have whitefish. Gibbons contends that
    she produced evidence that these representations were made and that they were
    36
    See 
    id. (“A product
    may be unreasonably dangerous because of a defect
    in marketing, design, or manufacturing.”).
    37
    See Wilson & Wilson Tax Servs., Inc. v. Mohammed, 
    131 S.W.3d 231
    ,
    242 (Tex. App.—Houston [14th Dist.] 2004, no pet.) (declining to speculate as to
    the arguments that could have been brought under a counter-point or attempt to
    make those arguments for the counter-appellants).
    19
    false, misleading, or deceptive under section 17.46(b)(5) of the DTPA, 38 and she
    argues that she was therefore entitled to recover mental anguish damages under
    section 17.50(b).
    DTPA section 17.49(e) bars a DTPA claim for bodily injury or mental
    anguish except as provided under subsections 17.50(b) and (h). 39 Gibbons cites
    to subsection (b) but does not explain how subsection (h) 40 applies to permit her
    claims. Thus, we consider only if subsection (b) applies.
    Subsection 17.50(b) allows a plaintiff to recover mental anguish damages
    if a DTPA violation was committed knowingly. 41 Gibbons does not, however, tell
    us what part of the record shows that the server she spoke with at the restaurant
    about the croquette had actual awareness of the falsity or deceptiveness of his
    representation that the croquette did not contain whitefish and contained only
    38
    Tex. Bus. & Com. Code Ann. § 17.46(b)(5) (defining “false, misleading,
    or  deceptive        acts    or    practices”       to   include    “representing that
    goods . . . have . . . ingredients . . . [that] they do not have”).
    39
    See 
    id. § 17.49(e).
          40
    
    Id. § 17.50(h)
    (West 2011) (“Notwithstanding any other provision of this
    subchapter, if a claimant is granted the right to bring a cause of action under this
    subchapter by another law, the claimant . . . may recover any actual damages
    incurred by the claimant.”).
    41
    
    Id. § 17.50(b).
    20
    salmon. 42 To the contrary, she points out evidence that, according to her, shows
    that at the restaurant, servers do not know the ingredients of the croquettes.
    She further argues that under subsection 17.50(b), she was entitled to
    recover her economic damages, including her medical bills, the cost of replacing
    clothes that had to be cut off of her to render emergency medical treatment, and
    the cost of changing the date of her plane ticket home. Assuming that she could
    recover economic damages for a violation of this section, 43 the economic
    damages Gibbons listed were submitted to the jury under her negligence claim.
    She could not recover the same damages twice, 44 and, accordingly, she has not
    shown how she was harmed by the trial court’s grant of directed verdict on her
    DTPA claims. 45
    42
    
    Id. § 17.45(9)
    (defining “knowingly” as used in the DTPA to mean “actual
    awareness, at the time of the act or practice complained of, of the falsity,
    deception, or unfairness of the act or practice giving rise to the consumer’s
    claim”).
    43
    See 
    id. § 17.50(b)(1)
    (providing that “[i]n a suit filed under this section,
    each consumer who prevails may obtain . . . the amount of economic damages
    found by the trier of fact”). Contra Akin v. Bally Total Fitness Corp., No. 10-05-
    00280-CV, 
    2007 WL 475406
    , at *4 (Tex. App.—Waco Feb. 14, 2007, pet.
    denied) (mem. op.) (upholding summary judgment on a plaintiff’s DTPA claim
    seeking lost wages and mental anguish damages on the ground that the DTPA
    does not allow claims for damages for claims of bodily injury).
    44
    See Tony Gullo Motors I, L.P. v. Chapa, 
    212 S.W.3d 299
    , 303 (Tex.
    2006) (“There can be but one recovery for one injury.”) (citation and internal
    quotation marks omitted).
    45
    See Flying J Inc. v. Meda, Inc., 
    373 S.W.3d 680
    , 689 (Tex. App.—San
    Antonio 2012, no pet.) (observing that in some circumstances, an erroneous
    grant of a directed verdict is harmless); Cooper v. Lyon Fin. Servs., Inc.,
    21
    Gibbons further argues that she alleged a DTPA claim under section
    46
    17.46(b)(24),        that representations about the ingredients of the salmon
    croquette were made to her to induce her to buy the croquette, and that the trial
    court erred by granting a directed verdict on this claim. That section, however,
    involves a failure to disclose information that was known at the time of the
    transaction, and the failure to disclose the information must be done with the
    intention to induce the consumer into a transaction. Gibbons points us to no
    evidence in the record that the employee who told her the croquettes contained
    only salmon failed to disclose information the employee knew at that time or that
    it was done to induce Gibbons to buy the croquettes. We overrule Gibbons’s
    forty-sixth issue.
    Directed verdict on gross negligence claim.
    Gibbons discusses evidence in the record that she contends shows that
    Restaurants and Management were grossly negligent.            Gibbons does not,
    however, explain (or cite authority that explains) what must be proven to
    
    65 S.W.3d 197
    , 209 (Tex. App.—Houston [14th Dist.] 2001, no pet.) (holding that
    any error in granting a directed verdict on plaintiff’s breach of warranty claims
    was harmless because damages attributable to plaintiff’s breach of warranty
    claims were the same as those for plaintiff’s DTPA claim, and the jury found no
    damages on the DTPA claim).
    46
    Tex. Bus. & Com. Code Ann. § 17.46(b)(24) (defining the term “false,
    misleading, or deceptive acts or practices” to include “failing to disclose
    information concerning goods or services [that] was known at the time of the
    transaction if such failure to disclose such information was intended to induce the
    consumer into a transaction into which the consumer would not have entered had
    the information been disclosed”).
    22
    establish gross negligence, and she does not explain how her evidence relates to
    those elements. 47 We overrule Gibbons’s forty-fourth issue.
    3.5. Rulings Related to Comparative Negligence
    In issues forty-eight and forty-nine, Gibbons challenges the trial court’s
    denial of her motion for an instructed verdict on the Luby’s entities’ affirmative
    defense of comparative negligence. She argues that no evidence or insufficient
    evidence supports a finding that she proximately caused the occurrence in
    question. In her fiftieth issue, she argues that the trial court erred by submitting
    comparative negligence questions to the jury because no evidence or insufficient
    evidence supported its submission. Because these three issues relate to the
    sufficiency of the evidence of Gibbons’s responsibility for her allergic reaction, we
    consider them together. 48
    At the close of all evidence, Gibbons asked for an instructed verdict on the
    issue of her comparative negligence. The system of comparative negligence
    replaced contributory negligence, and comparative negligence was then replaced
    with the comparative responsibility framework in civil practice and remedies code
    47
    See Tex. R. App. P. 38.1(i).
    48
    See Rocor Inter’l, Inc. v. Nat’l Union Fire Ins. Co. of Pittsburgh, Pa., 
    77 S.W.3d 253
    , 262 (Tex. 2002) (stating that a jury’s finding must be sustained if it is
    supported by more than a scintilla of evidence, that is, “if the evidence furnishes
    some reasonable basis for differing conclusions by reasonable minds about a
    vital fact’s existence”); Kitchen v. Frusher, 
    181 S.W.3d 467
    , 477 (Tex. App.—Fort
    Worth 2005, no pet.) (stating that a directed verdict is improper if more than a
    scintilla of evidence exists on the question presented).
    23
    chapter 33. 49     In 1995, “the Legislature modified Chapter 33 by replacing
    comparative responsibility with proportionate responsibility,” and further changes
    were made to chapter 33 in 2003. 50
    Proportionate responsibility is broader than and encompasses the older
    concept of contributory negligence. 51        “A plaintiff’s own risky conduct is now
    absorbed into the allocation of damages”; 52 “[t]he same facts that tended to
    prove . . . contributory negligence may now be used to diminish a plaintiff’s
    recovery by demonstrating that the plaintiff bore some portion of the
    responsibility for [her] own injuries.” 53
    Because proportionate responsibility involves measuring a party’s
    responsibility in causing or contributing to cause the plaintiff’s injuries, it
    49
    Dugger v. Arredondo, 
    408 S.W.3d 825
    , 830 (Tex. 2013); see Tex. Civ.
    Prac. & Rem. Code Ann. §§ 33.001–.017 (West 2015).
    50
    
    Dugger, 408 S.W.3d at 831
    ; JCW Elects., Inc. v. Garza, 
    257 S.W.3d 701
    ,
    703 (Tex. 2008).
    51
    See Tex. Civ. Prac. & Rem. Code Ann. § 33.02(a) (West 2015) (applying
    chapter 33 to any cause of action based on tort and to any action brought under
    the DTPA); Austin v. Kroger Tex., L.P., No. 14-0216, 
    2015 WL 3641066
    , at *10
    (Tex. June 12, 2015) (stating that proportionate responsibility encompasses the
    concept of contributory negligence); see also Nabors Well Servs., Ltd. v.
    Romero, 
    456 S.W.3d 553
    , 560–62 (Tex. 2015) (holding that chapter 33 requires
    a jury to consider relevant evidence of a plaintiff’s pre-occurrence injury-causing
    conduct, including evidence of the plaintiff’s negligence or violation of an
    applicable legal standard).
    52
    Del Lago Partners, Inc. v. Smith, 
    307 S.W.3d 762
    , 772 (Tex. 2010).
    53
    Austin, 
    2015 WL 3641066
    , at *10.
    24
    necessarily requires a finding that the party was in some way responsible for
    those injuries. 54     As such, the usual method for submitting proportionate
    responsibility to the jury has been to include a question in the court’s charge
    asking about liability, followed by a second question asking the jury to apportion
    the parties’ responsibility. 55 Gibbons complains of the submission of both the
    liability question and the apportionment question.
    Whether a plaintiff “bore some portion of the responsibility for his own
    injuries” is a defensive issue “on which defendants, not plaintiffs, bear the burden
    of proof.” 56    Accordingly, the Luby’s entities bore the burden of producing
    evidence of Gibbons’s responsibility. If the evidence at trial included more than a
    scintilla of evidence that Gibbons contributed to causing her allergic reaction, the
    trial court was correct to deny the instructed verdict and to submit the question of
    Gibbons’s liability to the jury. 57
    With respect to Gibbons’s complaint about the jury’s finding, we note that
    the Supreme Court of Texas has recently clarified that proportionate
    responsibility is based on each parties’ pre-occurrence conduct that causes or
    54
    See Moore v. Kitsmiller, 
    201 S.W.3d 147
    , 151 (Tex. App.—Tyler 2006,
    pet. denied) (writing about comparative responsibility).
    55
    See Gregory J. Lensing, Proportionate Responsibility and Contribution
    Before and After the Tort Reform of 2003, 35 Tex. Tech L. Rev. 1125, 1132
    (2004) (citing the Texas Pattern Jury Charge on proportionate responsibility).
    56
    Austin, 
    2015 WL 3641066
    , at *10.
    57
    See Rocor 
    Inter’l, 77 S.W.3d at 262
    ; 
    Kitchen, 181 S.W.3d at 477
    .
    25
    contributes to causing the plaintiff’s injuries, rather than causing or contributing to
    the occurrence that resulted in the injuries. 58 The trial court and the parties in
    this case did not have the benefit of that recent opinion, and at trial, the jury was
    asked whether each parties’ negligence proximately caused the occurrence in
    question.
    In her brief, Gibbons mentions but does not explain the concept of
    contributory negligence, does not discuss proportionate responsibility, does not
    cite any authority explaining those legal concepts, and does not explain how the
    evidence at trial relates to those concepts. She does not cite or mention chapter
    33 of the civil practice and remedies code. Nevertheless, we have reviewed the
    record to see if it contains evidence sufficient to avoid an instructed verdict and to
    submit the issue to the jury.
    The record, as discussed more fully under Gibbon’s next group of issues,
    includes varying evidence about whether Gibbons acted prudently in her
    treatment of the possibility of cross-contamination of the croquettes from the
    whitefish and in making sure that the croquettes were safe for her to eat. The
    testimony on that subject largely came down to the credibility of the witnesses,
    and the factfinder is the sole judge of the credibility and demeanor of the
    58
    See Nabors, 
    456 S.W.3d 560
    –62 (discussing whether proportionate
    responsibility relates to causing the occurrence or to causing the harm from the
    occurrence and stating that “the proportionate-responsibility statute specifies the
    apportionment should ultimately be based on responsibility for the damages
    suffered”).
    26
    witnesses and of the weight to be given to their testimony. 59 We hold that the
    evidence as discussed below was more than a scintilla of evidence that Gibbons
    was negligent. Accordingly, we overrule her forty-eighth, forty-ninth, and fiftieth
    issues.
    Issues fifty-one through fifty-four challenge the sufficiency of the evidence
    to support the jury’s answers to the comparative negligence questions finding
    Gibbons negligent and apportioning to her fifty percent of responsibility for the
    occurrence. Gibbons argues that there was no evidence or insufficient evidence
    to support the answers, or, alternatively, that the answers were against the great
    weight and preponderance of the evidence.
    Floyd’s      testimony     provided    background      information    about    the
    circumstances giving rise to Gibbons’s allergic reaction. She explained that as
    she and Gibbons went through the cafeteria line, they asked the servers about
    the options.
    And I said, “What are the square things?”
    And they said, “Fish, fried fish.”
    And I said, “Oh, [Gibbons] cannot have fish.”
    And she’s like, “No, I can’t have fish. I’m allergic to whitefish.”
    And there were these round, kind of oblong things beside it,
    and we said, “What is that?”
    And they said, “It’s salmon croquettes.”
    59
    In re S.P., 
    444 S.W.3d 299
    , 303 (Tex. App.—Fort Worth 2014, no pet.).
    27
    And we said, “Just salmon? Because she’s allergic to the
    whitefish.”
    “Yes, it’s salmon.” [Emphasis added.]
    Floyd was questioned on and gave testimony about what she and Gibbons
    said to the servers and what they said to her.         Both sides questioned her
    extensively on the matter, and her testimony evolved in some respects through
    the course of her testimony. She made the following assertions in her testimony:
    • When, a few days after the occurrence, Gibbons talked to Luby’s
    investigator Boudreaux, Gibbons was asked if she had asked the server
    about the ingredients of the croquettes, and Gibbons replied, “Why should
    I have to ask?”;
    • In the background of that phone call between Gibbons and the Luby’s
    employee, Floyd—who could hear the conversation—said, “We asked if
    there was whitefish”;
    • Gibbons asked if there was whitefish in the salmon;
    • Floyd asked, “Is this just salmon? She cannot have the whitefish.
    She’s allergic to it.” Floyd was mistaken in her earlier testimony, and
    they did not specifically ask about whether there was whitefish in the
    croquettes, but they asked if the croquettes were “just salmon” and
    reiterated that Gibbons was allergic to whitefish;
    • They did not reiterate that Gibbons was allergic to whitefish; instead, in
    response to being told that the breaded squares were fish, they said that
    Gibbons was allergic to whitefish, they asked what the croquettes were,
    then made comments about Gibbons being able to eat salmon, then asked
    if the salmon croquettes were “just salmon.” [Emphasis added.]
    Thus, Floyd’s assertions on the matter, though not wildly contradictory of
    each other, changed over the course of her testimony from the two having
    specifically asked if the croquettes had whitefish, to them having asked only if the
    croquettes were “just salmon” with an added statement that Gibbons had a
    28
    whitefish allergy, to having said that Gibbons had a whitefish allergy and then
    shortly thereafter asking if the croquettes were “just salmon.”
    The evidence was similarly variable regarding the identity of the server
    with whom the two spoke about the croquettes. Luby’s employee Huffman, the
    checker on that day, stated in a deposition that she could not say for sure
    whether there were any male servers working that day, but to her knowledge
    there were none, and at trial she identified two women as the servers. Gibbons
    stated at trial that the server was a man. Floyd stated unequivocally that the
    server she and Gibbons spoke to about the croquettes was a middle-aged, thin,
    white male. In a 2010 pre-trial deposition, however, she was asked who told her
    the croquettes were just salmon: “Do you remember who said that, whether it
    was the man or the woman?” She replied, “I don’t recall specifically.” She was
    asked, “Do you remember what the man and the woman [servers] looked like?”
    She responded, “I would only be guessing if I were to answer.” The attorney
    continued, “Do you remember whether either of them were short or tall, hair
    color, skin color, eye color?” And she replied, “Like I said, I would be guessing.”
    Gibbons testified as follows:
    • She has ordered salmon croquettes at other restaurants without
    problem, and she has always asked the servers at those restaurants
    “if there was anything in the croquette other than salmon”;
    • When asked if, when she orders salmon croquettes at restaurants,
    she asks what the ingredients are, Gibbons stated, “Not the
    ingredients”;
    29
    • On the day in question, after turning down the whitefish, Floyd
    pointed out a beef dish, which Gibbons said she did not want, and
    then they saw and asked about the croquettes;
    • Gibbons attempted to explain away her statement to Boudreaux that
    she had not asked about the ingredients by explaining that she
    “didn’t ask the ingredients. . . . [She] asked if there was anything but
    salmon in the croquettes”; and
    • Gibbons acknowledged on cross-examination that what she told
    Boudreaux was, “Why would I ask when [it] said it on the sign?”
    There is some evidence that Gibbons asked what was in the salmon but
    did not remind the servers that she was allergic to whitefish. There is also some
    evidence from which the jury could have found that Gibbons said she was
    allergic to whitefish but did not ask what the croquette’s ingredients were. The
    jury could have decided that if Gibbons did ask if the croquettes were “just
    salmon,” from the context, the statement was too ambiguous to have conveyed a
    question about whitefish. Or the jury could have decided that Gibbons’s and
    Floyd’s memories of the day four years earlier were not accurate and their
    testimony therefore not worth much weight. We hold that, in light of the evidence
    and given that the question of negligence came down primarily to the credibility
    of the witnesses and the weight to be assigned to their testimony, there is some
    evidence from which the jury could have found Gibbons negligent. We further
    hold that the jury’s finding of negligence was not against the great weight and
    preponderance of the evidence.
    As for her complaint about the jury’s finding of apportionment, Gibbons
    argues that there was no evidence upon which the jury could have found her “in
    30
    any way negligent,” or, alternatively, that the evidence supporting the finding was
    so weak so as to make the verdict clearly wrong and unjust. From her briefing,
    we construe her complaint to the jury’s answer to the apportionment question to
    be an extension of her challenge to the liability question. In other words, we see
    her argument as asserting not that the number the jury found should have been
    some amount less than fifty percent but that it could not have been more than
    zero percent. We further hold that there is more than a scintilla of evidence that
    she was somewhat negligent, that the allocation of responsibility was within the
    jury’s discretion, and that the jury’s allocation was not against the great weight
    and preponderance of the evidence. 60 We overrule Gibbons’s fifty-first through
    fifty-fourth issues.
    3.6. Damages Award
    Issues fifty-five through fifty-seven challenge the jury’s damages findings
    and the trial court’s denial of Gibbons’s motion for JNOV. She argues that the
    jury’s findings of $10,000 for past physical pain and mental anguish, $10,000 for
    past physical impairment, and $0 for future pain and mental anguish were
    against the great weight and preponderance of the evidence.
    60
    See Hagins v. E-Z Mart Stores, Inc., 
    128 S.W.3d 383
    , 392 (Tex. App.—
    Texarkana 2004, no pet.) (stating that “[t]he determination of negligent parties’
    proportionate responsibility is a matter soundly within the jury’s discretion,” and “it
    is not the place of this Court to substitute its judgment for that of the jury, even if
    a different percentage of allocation could be supported by the evidence”).
    31
    In this section of her brief, Gibbons cites to one case, which sets out the
    factually sufficiency standard of review. 61      She does not cite any cases
    discussing what kind of evidence establishes pain or mental anguish or the jury’s
    discretion in awarding such damages and does not explain how such case law
    applies to the evidence at trial. 62
    At the end of her argument related to these issues, she argues that the trial
    court “erred and/or abused [its] discretion” by denying her motion for JNOV.
    Gibbons does not at this point in her brief cite any law or other authority relating
    to the standard for granting JNOV. 63 If she cites any such authority elsewhere in
    her 180-page brief, we were unable to find it.
    “A trial court may disregard a jury verdict and render [JNOV] if no evidence
    supports the jury finding on an issue necessary to liability or if a directed verdict
    would have been proper.” 64 If a trial court determines that a jury’s answer is
    against the great weight and preponderance of the evidence, the court cannot
    disregard a jury’s answer and render a JNOV; “[i]n such a situation, the trial court
    61
    See Barnett v. Coppell N. Tex. Court, Ltd., 
    123 S.W.3d 804
    , 813–14
    (Tex. App.—Dallas 2003, pet. denied).
    62
    See Tex. R. App. P. 38.1(i).
    63
    See 
    id. 64 Dallas
    Area Rapid Transit v. Agent Sys., Inc., No. 02-12-00517-CV, 
    2014 WL 6686331
    , at *6 (Tex. App.—Fort Worth Nov. 26, 2014, pet. filed) (mem. op.)
    (citing Tex. R. Civ. P. 301 and Tiller v. McLure, 
    121 S.W.3d 709
    , 713 (Tex.
    2003)).
    32
    may only grant a new trial.” 65 Gibbons preserved her factual insufficiency point
    below and raised it on appeal, and we will consider her issues to be a challenge
    to both the legal and factual sufficiency of the evidence supporting the damages
    findings. 66
    “[A]n award of mental anguish damages will survive a legal sufficiency
    challenge when the plaintiffs have introduced direct evidence of the nature,
    duration, and severity of their mental anguish, thus establishing a substantial
    disruption in the plaintiff[’s] daily routine.” 67 “When claimants fail to present direct
    evidence” to support these factors, we “determine whether the record reveals any
    evidence of ‘a high degree of mental pain and distress’ that is ‘more than mere
    worry, anxiety, vexation, embarrassment, or anger’ to support any award of
    damages.” 68          “When the existence of some pain and mental anguish is
    established, the jury is given considerable discretion in determining the amount
    of fair and reasonable compensation for the [claimant’s] pain and mental
    suffering.” 69
    65
    
    Id. at *5.
           66
    See 
    id. 67 Parkway
    Co. v. Woodruff, 
    901 S.W.2d 434
    , 444 (Tex. 1995).
    68
    
    Id. 69 Cunningham
    v. Haroona, 
    382 S.W.3d 492
    , 507 (Tex. App.—Fort Worth
    2012, pet. denied).
    33
    A summary of the relevant testimony is as follows. Gibbons testified that
    when she realized the reaction was serious, she was scared. She could not
    breathe, and she was sure she was going to die. She was worried about who
    would take care of her husband, who has Alzheimer’s. She continued to be
    afraid that she would die until sometime in the next evening. She blacked out
    after leaving the restaurant, woke up at the fire station, and then went in and out
    of consciousness. She did not remember the ride to the hospital, the emergency
    room, or seeing a doctor. She remembered nothing until she woke up the next
    day. She continued to drift in and out of consciousness, and she remembered
    her cousin telling her that she would be okay. She remembered “just bits and
    pieces.” She did not “really wake up” until the day after that. She described the
    feeling of being hooked up to machines that were breathing for her as frightening,
    although she “wasn’t awake that much.”
    Gibbons stated that the intubation tube created a burning sensation in her
    chest that lasted for close to two weeks after the tube was removed. For three or
    four days after the tube was removed, she could barely swallow, and she threw
    up blood. She had a sore throat for four or five days. She also developed a
    urinary tract infection from the catheter that had been put in while she was at the
    hospital.
    For about a week after she got out of the hospital, she felt “very tired, very
    tired,” “[t]ired, weak, . . . like . . . a dishrag that somebody just kept beating.” The
    34
    first week was the worst, and by the middle of the second week, she “was feeling
    pretty good.”
    Initially, after the incident, she had “a lot of nightmares.” She would wake
    up feeling like she could not breathe and like the intubation tube was stuck down
    her throat. By the time of trial, she had the dream about once a month.
    When she returned home from her trip to Texas, she saw her primary care
    physician, who prescribed Cymbalta for the stress she was feeling from her
    experience. She stayed on the medication for three years. But she then clarified
    that the medication was not only for the stress arising from the incident: She
    stated that she “ha[s] a lot of stress in [her] life,” and “when [she] came back,
    [she] was more stressed.”     She explained, “I can’t remember if [the doctor]
    increased the dose or changed the name of the brand I was using. . . . And then
    he kept me on that dose after that.” The increased stress from the incident went
    on “about two weeks.” She missed two weeks of work due to the occurrence.
    In 2006, she had been put on an antidepressant because she was under
    “multiple stressors,” and the sleep medication she was taking did not help her
    sleep; she agreed that prior to the incident she had been having trouble sleeping.
    In 2007, she was put on a prescription pain patch for severe osteoarthritis. About
    a month before the incident, her doctor noted that she was having episodes of
    heart palpations, she had problematic arthritic pain, and she “does not sleep
    particularly well.” At that time, the doctor put her on Cymbalta “for depression
    and chronic pain” and referred her to a pain clinic. He also noted that she had a
    35
    problem with chronic obstructive pulmonary disease; Gibbons stated that no
    doctor had ever told her that she had that condition, but she admitted that she
    had a history of smoking and was still a smoker at the time of trial. On redirect,
    Gibbons stated that prior to the incident, she did not have similar nightmares to
    the ones she has now.
    We have no doubt that Gibbons’s experience was frightening and that, in
    the immediate aftermath, she suffered pain. But we cannot say that the jury’s
    award of damages to compensate her for her pain and mental anguish had no
    evidence to support it or that it was against the great weight and preponderance
    of the evidence. 70
    Gibbons argues that the weakness of the evidence supporting the jury
    verdict is illustrated by affidavits signed after the verdict by two of the jurors
    stating that they did not believe that the verdict was just and that they regretted
    agreeing to it. The statements in the affidavits on which Gibbons relies discuss
    the deliberations of the jury, and we may not consider them, even assuming that
    statements made during jury deliberations are relevant to the question of whether
    evidence supports the verdict. 71 We overrule Gibbons’s fifty-fifth through fifty-
    seventh issues.
    70
    See 
    Cunningham, 382 S.W.3d at 507
    .
    71
    See Golden Eagle Archery, Inc. v. Jackson, 
    24 S.W.3d 362
    , 370, 371
    (Tex. 2000).
    36
    3.7. Denial of Motion for Judgment Notwithstanding the Verdict
    Motion for Mistrial, and Motion for New Trial
    In issues fifty-eight through seventy, Gibbons complains of the trial court’s
    denial of her motion for JNOV, motion for mistrial, and motion for new trial. In
    issue fifty-nine, Gibbons argues that the trial court erred and abused its discretion
    by denying her motion for JNOV on the issue of comparative negligence. We are
    unable to discern any argument on this issue in her brief, but we point out that we
    have already held that some evidence supported the jury’s findings on the
    matter. 72 We overrule this issue.
    Under the remainder of this group of issues, Gibbons argues that the trial
    court should have granted these motions because the Luby’s entities’ committed
    various discovery abuses concerning the identity of the server to whom Gibbons
    and Floyd spoke about the croquettes.         She asserts that Luby’s violated a
    number of procedural rules, 73 and she lists some actions she claims the trial
    court should have taken in light of those alleged violations. As far as we can tell,
    other than citations to those rules, she does not cite a single case or any other
    authority to explain how the actions she complains of violated discovery rules,
    what the proper remedy is for those violations, why the failure to comply with
    72
    See Dallas Area Rapid Transit, 
    2014 WL 6686331
    , at *6 (setting out the
    standard for reviewing a ruling on a motion for JNOV).
    73
    See Tex. R. Civ. P. 193.3(c) (relating to withholding privileged
    communications), 215.1 (providing that a party may apply for sanctions or an
    order compelling discovery in accordance with the rule), 215.2(b)(3), (4)
    (discussing sanctions by a court in which an action is pending).
    37
    pretrial discovery rules entitled her to a JNOV, mistrial, or new trial, or why the
    trial court’s failure to grant her motions was reversible error. 74 We overrule these
    issues as inadequately briefed. 75
    3.8. Rulings on Gibbons’s Evidentiary Objections
    In issues seventy-one through seventy-three, Gibbons complains of
    evidentiary rulings by the trial court relating to Floyd’s testimony and to an
    excerpt of Luby’s Inc.’s shareholder statement.
    Optional completeness
    Her first argument under this group of issues relates to the fact that, after
    the Luby’s entities’ attorney read an excerpt of Floyd’s deposition testimony and
    questioned her about it, Gibbons and Floyd’s attorney was not allowed to
    immediately read the rest of that part of Floyd’s deposition testimony.         The
    testimony had to do with what Gibbons asked the server at the restaurant about
    the croquettes.
    The attorney for the Luby’s entities asked Floyd about her deposition:
    Q. So did she ask them whether there was whitefish in the
    salmon? Which is correct, your testimony in August 2010 or your
    testimony today?
    Floyd’s answer to this question was objected to by the Luby’s entities as
    nonresponsive. The trial court sustained the objection, and Gibbons’s attorney
    74
    See Tex. R. App. P. 38.1(i).
    75
    See Fredonia State 
    Bank, 881 S.W.2d at 284
    –85.
    38
    asked to read Floyd’s answer to the very next question from the deposition “for
    optional completeness.” The trial court responded, “You can do that on redirect.”
    Opposing counsel began again to ask Floyd about her answer from the
    deposition:
    Q. . . . Back in August of 2010, under oath you were asked:
    “Did she ask them whether there was whitefish in the salmon
    croquette?”
    Your answer then was: “I believe so, yes.”
    Am I reading that correctly?
    A. Yes, you are.
    Gibbons’s attorney objected, “It is clear from the following question and answer
    that that is a mischaracterization of her testimony.” The trial court responded,
    “And you can fully redirect on that.”
    The opposing attorney then continued to question Floyd about the
    deposition, including the following exchange:
    Q. . . . I just want to know whether—which one it is. Did she
    ask them, as you said here, whether there was whitefish in the
    salmon or did she not, as you just [testified] today?
    A. I believe it’s what I said today.
    Q. To me?
    A. To [our attorney], my last—where I re-parsed it, that she did
    not specifically ask.
    Q. Okay. So your statement under oath in 2010 where you
    said that she did ask was incorrect?
    A. Yes.
    39
    Gibbons complains that under evidence rule 106, 76 the trial court’s ruling that she
    could not read the next part of the deposition when requested was an abuse of
    discretion.
    At the time of the trial, rule 106 provided (and still provides, in slightly
    different wording) that when one party has introduced part of a deposition, the
    adverse party may introduce at that time any other part of the deposition that in
    fairness should be considered contemporaneously. 77 “The rule is based on two
    considerations: (1) the danger that material may be made misleading by being
    taken out of context, and (2) the inadequacy of a delayed repair.” 78
    On redirect, Gibbons and Floyd’s attorney asked Floyd about the next part
    of her deposition testimony, as he had wanted to during the Luby’s entities’
    questioning. He asked,
    Q. . . . [T]he question [opposing counsel] asked you now was:
    “Did she ask them whether there was whitefish in the salmon
    croquettes?” And your answer was what?
    A. “I believe so, yes.”
    76
    Tex. R. Evid. 106, 61 Tex. B.J. 374 (1998, amended 2015).
    77
    Id.; see Jones v. Colley, 
    820 S.W.2d 863
    , 866 n.2 (Tex. App.—
    Texarkana 1991, writ denied) (setting out the prior version of the rule).
    78
    
    Jones, 820 S.W.2d at 866
    ; see also Lynch v. Noram Energy Corp.,
    No. 06-99-00073-CV, 
    2000 WL 708419
    , at *10–11 (Tex. App.—Texarkana May
    30, 2000, pet. denied) (mem. op., not designated for publication) (discussing the
    policy behind rule 106 and noting that although courts sometimes refer to rule
    106 when discussing the rule of optional completeness, that rule, which is
    codified in rule 107, is broader than rule 106).
    40
    Q. And then the next question was: “What did she say?” And
    your answer was what?
    A. “I’m allergic to whitefish. Is this just salmon? Is there
    anything else in here besides salmon? And they said, No, it’s just
    salmon.”
    Although Gibbons and Floyd’s attorney was not allowed to read this part of
    the deposition as soon as the first section of the deposition had been read, he
    was allowed to ask as soon as the Luby’s entities finished asking Floyd about her
    depo answers. This questioning by the attorney for the Luby’s entities came near
    the end of Floyd’s trial testimony, and the redirect by her own attorney came very
    close in time to the questioning by the Luby’s entities. Floyd’s testimony covered
    approximately seventy-nine pages of the reporter’s record. On twenty-three of
    those pages, she talked or was asked about what exactly she and Gibbons had
    said to and heard from the server regarding the croquette’s ingredients and
    Gibbons’s allergy. 79
    As we noted above, over the course of those twenty-three pages, Floyd
    had given slightly different versions of what was said to the servers that day.
    Floyd testified at trial that they had asked if there was whitefish in the salmon.
    But then when asked specifically whether Gibbons had asked, “Is there whitefish
    in the salmon?” or had instead asked, “Is there anything else in the salmon?”
    79
    See Tex. R. Evid. 611 (stating that “[t]he court should exercise
    reasonable control over the mode and order of examining witnesses and
    presenting evidence so as to: (1) make those procedures effective for
    determining the truth; (2) avoid wasting time; and (3) protect witnesses from
    harassment or undue embarrassment”).
    41
    Floyd responded, “I believe both, but it’s kind of out of context.”     And she
    explained that she did not believe Gibbons had specifically asked the question,
    “is there whitefish in the salmon,” but instead had said that she was allergic to
    whitefish, followed up by asking what the croquettes were, asked if there was
    anything other than salmon in the croquettes, and then saying “I can have
    salmon.”
    The Luby’s entities relied on her testimony to show that while she had
    previously asserted that they had asked the server a specific question of whether
    the croquettes contained whitefish, she had changed her testimony at trial. The
    rest of the excerpt that Gibbons wanted to read at that time explained that what
    she meant was that she had raised the allergy and then asked if the croquettes
    were “just salmon.” The jury had already heard Floyd say that Gibbons had
    asked specifically about whitefish in the croquettes, then change her testimony
    and clarify that, essentially, what she meant was that Gibbons had impliedly
    asked this question by asking if there was anything but salmon in the croquettes
    after having stated that she was allergic to whitefish. We hold that Gibbons has
    not shown harm from not being allowed to immediately read the excerpt in
    question, and as, such, any error is not grounds for reversal. 80 We overrule
    issues seventy-one through seventy-three.
    80
    See Tex. R. App. P. 44.1; Tex. R. Evid. 611.
    42
    Annual shareholder report
    In issues seventy-four through seventy-six, Gibbons argues that the trial
    court abused its discretion by sustaining the Luby’s entities objections to the
    admission of Luby’s Inc.’s annual shareholder report.        In her brief, Gibbons
    complains of the exclusion of two exhibits: exhibit 31 and exhibit 44. Gibbons
    has not shown that she preserved her complaints about the failure to admit these
    exhibits.
    Regarding exhibit 31, when Gibbons sought to admit the entire report, the
    Luby’s entities objected that it was hearsay, irrelevant, and would improperly
    throw Luby’s Inc.’s finances and revenues into the case. But the Luby’s entities
    had no objection to a specific paragraph in the report that Gibbons’s attorney
    wanted to have admitted. From the record, however, we cannot tell to which
    paragraph of the report Gibbons’s attorney referred, and in any case, her
    attorney did not at that time have the paragraph admitted.
    Instead, Gibbons’s attorney argued that there were other statements in the
    report that he wished to have admitted. The trial court responded that the entire
    report could not be admitted because “[t]his is a huge report” and the court could
    not admit it until it had been redacted.
    The two sides’ attorneys then agreed to the admissibility of a portion of the
    report, but, again, it is not clear from the record which additional excerpts were
    agreed to, and those paragraphs were not, at that point, introduced for admission.
    Gibbons’s attorney stated that he would have to make a copy of the relevant
    43
    parts of the report during lunch, “and then I can determine if there’s other
    excerpts of this that I need. . . . So we’ll come back to that.” Gibbons does not
    tell us what part of the record shows that her attorney came back and asked to
    have those particular paragraphs admitted during her case and obtained a ruling.
    Gibbons does, however, complain about the trial court’s refusal to admit
    exhibit 44. Exhibit 44 consists of excerpts of the shareholder report. We cannot
    determine from the record, however, whether these are the same sections that
    were discussed when exhibit 31 was offered and to which the Luby’s entities had
    no objections. The trial court admitted exhibit 44 for purposes of the record after
    Gibbons’s case in chief. But Gibbons does not tell us where in the record the
    trial court previously ruled that exhibit 44 was not admissible. 81 All we have
    before us is a record that shows that Gibbons sought admission of part of the
    report, that some parts of the report were not objected to by the Luby’s entities,
    and that Gibbons did not provide redacted excerpts with those parts and ask that
    they be admitted during her case in chief. We cannot tell from this record to what
    parts of the report Gibbons preserved her objections.
    Further, even if the complaint had been preserved, the excerpts in exhibit
    44 show statements related to improving restaurant profitability and managing
    expenses. Gibbons argues that the report “reveals the profit motive” that led
    Luby’s Inc. “to require its subsidiary restaurants . . . to secretly chop up and mix”
    81
    See Tex. R. App. P. 38.1(i).
    44
    leftover scraps of various types of fish into the croquettes “and deceptively
    market same to the public as ‘salmon croquettes.’” This statement shows that
    Luby’s Inc. wanted to improve its profits, as many businesses do, but nothing in
    the statement suggests that Luby’s Inc. required its subsidiaries to secretly use
    fish scraps in its croquettes and then deceive the public into believing that the
    croquettes contained no type of fish but salmon. We overrule these issues.
    3.9. Ruling on Motion to Determine When Appellees Anticipated Litigation
    In Gibbons’s seventy-seventh issue, she argues that the trial court abused
    its discretion by denying her request for a determination of when the Luby’s
    entities reasonably anticipated litigation.   She argues that the Luby’s entities
    “improperly claimed that they anticipated litigation on or about October 29, 2007,
    i.e., three days after the occurrence giving rise to this lawsuit.” She contends
    that this was done “in an apparent effort to thwart discovery of the investigation
    they did and statements they must have taken from the food servers who were
    actually working and served [Gibbons and Floyd].”
    Gibbons wholly fails, however, to explain why, under the law or rules of
    procedure, it matters when the Luby’s entities claimed to have anticipated
    litigation. She cites to no authority relating to when a party may claim to have
    anticipated litigation or what effect such a claim has. Accordingly, we hold that
    she waived this issue by inadequately briefing it. 82
    82
    See id.; Fredonia State 
    Bank, 881 S.W.2d at 284
    –85; see also Tex. R.
    App. P. 44.1.
    45
    3.10. Rulings on Juror Testimony
    Issues seventy-eight through ninety-six all relate to Gibbons’s assertions of
    juror misconduct and Gibbons’s attempts to obtain juror testimony in support of
    her motion for new trial. All of her arguments under these issues are included in
    the same section of her brief, although for some of her arguments, it is not readily
    apparent to which issue an argument relates. In this section we also address
    issues 104 and 105, pertaining to alleged due process violations related to juror
    testimony.
    Issues ninety-one through ninety-six address whether an outside influence
    affected the jury verdict. The “outside influence” alleged by Gibbons is “in the
    form of a perceived obligation to reach a verdict,” even though a juror considers
    the verdict unjust. Gibbons contends that jurors John Bell and James Parks
    were both affected by this influence, causing each to agree to a verdict “with
    which he disagreed and which he considered unjust!”
    In support, Gibbons directs our attention to Bell’s testimony at the hearing
    on her motion for new trial. The trial court sustained the Luby’s entities’ objection
    to the testimony but allowed Bell to testify for the record. 83        Bell testified as
    follows:
    A. . . . [W]e all kind of thought it was our job to come to an
    agreement[.] . . . [W]e were actually divided down the middle of the
    table, so half of us didn’t agree with lawsuits at all, and the other half
    of us agreed with lawsuits if . . . they were just . . . . [I]n order for us
    83
    See Tex. R. Evid. 103, 61 Tex. B.J. 374 (1998, amended 2015).
    46
    to come to an agreement, we all started negotiating, and this is the
    result[] of that negotiation.
    Q. Okay. Did you feel an obligation to reach a verdict even if it
    was a verdict that you did not consider to be just?
    A. Yes.
    ....
    . . . “[H]ung jury” never came to mind, and . . . all of us didn’t
    know what a hung jury was and how long that would take and what
    all it would entail, and so we just—we wanted to come to a verdict,
    and that became kind of the—the point or the focus.
    Gibbons argues that Bell’s affidavit, which Gibbons attached to her motion
    for new trial, is also evidence of the same outside influence. Bell stated in his
    affidavit that during deliberations, jurors Tris Fitzgibbon, Brenda Webster, and
    Bobby Mayo said that they did not believe in awarding damages for mental
    anguish; that Mayo said that she did not believe in awarding damages for pain
    and suffering and that she did not believe in bringing lawsuits; that either
    Fitzgibbon or Webster said that awarding any damages for pain, mental anguish,
    or physical impairment went “against what [she] believe[d] in”; and that Webster
    and Mayo agreed with statements by Fitzgibbon that a dollar value could not be
    put on pain.
    Bell averred that he regretted agreeing to what he believed was an unjust
    verdict and that he “agreed to the verdict primarily out of a desire to reach a
    consensus with jurors who stated that they did not believe in awarding damages
    for mental anguish, pain or physical impairment, so that [the jurors’] time on the
    47
    jury would not be wasted.” Parks’s affidavit made the same assertions, except
    that he further alleged that juror Carrie Whitman also said that she did not believe
    in awarding damages for mental anguish.
    Gibbons cites no authority for the proposition that a perceived obligation to
    reach a verdict constitutes an outside influence on a juror, 84 and the law is
    against her.      Evidence rule 606(b) allows a juror to testify about outside
    influences. 85 The Supreme Court of Texas has held that “[t]he rules contemplate
    that an ‘outside influence’ originates from sources other than the jurors
    themselves.” 86     The court has further held that civil procedure rule 327(b)
    “operates to prohibit jurors from testifying about matters and statements
    occurring during deliberations,” and thus, evidence of jury misconduct, including
    evidence of juror bias and a failure of a juror to disclose that bias, must come
    from some source other than testimony by jurors about their deliberations. 87
    84
    See Tex. R. App. P. 38.1(i).
    85
    See Tex. R. Evid. 606(b); see also Golden 
    Eagle, 24 S.W.3d at 370
    .
    86
    See Golden 
    Eagle, 24 S.W.3d at 370
    ; see also Wooten v. S. Pac.
    Transp. Co., 
    928 S.W.2d 76
    , 79 (Tex. App.—Houston [14th Dist.] 1995, no writ)
    (noting “it is well-established that, to constitute outside influence, information
    must come from outside the jury, [that is], from a non-juror who introduces
    information to affect the verdict, and not from within the jury’s deliberations or as
    part of the jury’s mental process” (emphasis added)).
    87
    See Golden 
    Eagle, 24 S.W.3d at 370
    .
    48
    Jurors in civil trials are flatly prohibited from testifying about their
    deliberations. 88 The testimony of Bell and Parks that Gibbons asked the trial
    court to consider related to jurors’ statements made during deliberations and to
    beliefs held by jurors during deliberations. Accordingly, the trial court was correct
    not to consider the testimony. 89 We overrule issues ninety-one through ninety-
    six.
    Gibbons argues in this section of her brief that the trial court abused its
    discretion by ruling that the depositions of Fitzgibbon, Whitman, and Mayo were
    stayed by the Luby’s entities’ filing of a motion to quash those depositions,
    because the motion did not object to the time or place of the depositions under
    civil procedure rule 199.4. 90 Based on her seventy-eighth through eight-fourth
    issues, Gibbons wanted to depose the jurors to gather evidence of the jurors’
    biases.
    The motion to quash cited rule 199.4 and asserted that the motion had
    been filed within three days of service of the deposition notices in accordance
    with that rule. Gibbons makes no argument for why the invocation of rule 199.4
    was not sufficient to raise an objection under that section or for how she was
    88
    
    Id. 89 See
    id. But see 
    McQuarrie v. State, 
    380 S.W.3d 145
    , 154 (Tex. Crim.
    App. 2012) (deciding that under rule 606(b), a court may hear testimony that a
    juror conducted private internet research on an issue in the trial and discussed
    that research during deliberations, as evidence of an outside influence).
    90
    See Tex. R. Civ. P. 199.4.
    49
    harmed by the quashing of the depositions given that, as explained below, the
    trial court could not have considered evidence of how those biases affected the
    verdict in this case. 91 We overrule her issues under this section of her brief to
    the extent that they are based on this argument.
    Gibbons further argues that the trial court “unlawfully prohibited [her] from
    contacting any jurors,” a prohibition that was later modified to apply only to Mayo
    and Whitman, who had filed objections to the depositions.         Other than her
    argument about rule 199.4 and an unavailing argument based on Castillo
    (discussed below), she does not explain why the trial court’s order was
    unlawful. 92 We overrule her issues to the extent they are based on this argument.
    Gibbons argues in issues 104 and 105 that, given the testimony of Bell and
    Parks, her due process rights were violated by the trial court’s judgment.
    Gibbons does not, however, explain how her due process rights were violated,
    nor does she cite any authority to support her position. 93 The evidence she cites
    relates to Bell’s and Parks’s testimony about jury deliberations, which under rule
    327(b), the trial court could not consider. The Supreme Court of Texas has
    91
    Tex. R. App. P. 38.1(i).
    92
    See 
    id. 93 See
    id.
    50
    specifically 
    held that rule 327(b) does not fail to afford litigants due process. 94
    We overrule issues 104 and 105.
    Gibbons relies on Ford Motor Co. v. Castillo 95 to support her argument that
    she was entitled to take juror depositions. In Castillo, the parties reached a
    settlement while the jury was deliberating after the presiding juror sent out a note
    asking, “What is the maximum amount that can be awarded?” 96 Defendant Ford
    later sought to avoid enforcement of the settlement agreement by Castillo
    because it believed that an outside influence may have swayed the presiding
    juror and led to the sending of the note. 97 Ford sought to conduct discovery to
    “‘determine the motivation of the presiding juror’s actions and any outside
    influences that possibly swayed her.’” 98 The Supreme Court of Texas held that
    the trial court abused its discretion by entirely depriving Ford of discovery. 99
    Castillo does not help Gibbons because that case did not involve a motion
    for new trial after a jury verdict or the validity of a jury verdict; the issue of
    obtaining juror testimony in that case arose in the context of a defendant seeking
    94
    See Golden 
    Eagle, 24 S.W.3d at 375
    .
    95
    
    279 S.W.3d 656
    , 666–67 (Tex. 2009).
    96
    
    Id. at 659.
          97
    
    Id. 98 Id.
    at 660.
    99
    
    Id. at 666.
    51
    discovery to defend against a pending claim for breach of a settlement
    agreement. 100   The Supreme Court of Texas specifically held that under the
    circumstances, rule 327(b) did not strictly apply. 101 In the context of this case,
    however, that rule does strictly apply and prohibits the testimony of the jurors
    about the jury’s deliberation, including what was said during deliberations or how
    any beliefs the jurors held influenced their votes. 102
    Regarding jurors Mayo, Fitzgibbon, and Whitman, Gibbons argues under
    issues eighty-five through eighty-nine that they failed to disclose during voir dire
    a bias against awarding damages for mental anguish and against negligence
    cases. She argues under issue ninety that the trial court abused its discretion by
    denying her the opportunity “to obtain and/or present evidence that one or more
    jurors failed to disclose material information they were asked during jury
    selection.”
    For Fitzgibbon and Whitman, to support her argument that they failed to
    disclose biases, she relies on allegations in Bell’s and Parks’s affidavits that
    Fitzgibbon and Whitman disclosed these biases during deliberations. The trial
    court could not consider such testimony. 103 Nor could the court consider such
    100
    
    Id. at 659.
          101
    
    Id. at 666.
          102
    See Tex. R. Civ. P. 327; Golden 
    Eagle, 24 S.W.3d at 370
    .
    103
    See Golden 
    Eagle, 24 S.W.3d at 370
    –71.
    52
    testimony for the purpose of determining whether any such biases influenced
    their vote. 104 Further, Whitman arguably disclosed her beliefs during voir dire
    when she admitted that she thought that in life “bad things happen,” that money
    damages do not rectify “that something bad happened,” that there was a limit to
    what she could award, and that in some cases, it bothers her somewhat when
    her employer, a railway company, is sued in personal injury cases.
    As for Mayo, Gibbons further asserts that after trial, Mayo disclosed her
    bias to Gibbons’s attorney during a telephone call. She relies on her attorney’s
    affidavit as evidence that Mayo made such statements.
    Gibbons’s attorney asked questions during voir dire about whether the
    panel members understood that the law does not require that a person have an
    intent to injure for the person to be liable in negligence and whether anyone
    would not be able to award damages for mental anguish, pain and suffering, or
    physical impairment. Mayo made no affirmative representations during voir dire,
    other than a statement that she might in the future file a personal injury lawsuit
    against Johnson & Johnson. 105 Some of the panel members were asked directly
    104
    See Golden 
    Eagle, 24 S.W.3d at 371
    ; see also Fitz v. San Antonio
    Hospitality Invs., Inc., No. 04-03-00251-CV, 
    2004 WL 840609
    , at *3 (Tex. App.—
    San Antonio Apr. 21, 2004, no pet.) (mem. op.) (stating that a court could only
    speculate as to whether a juror was influenced by her own bias when it came to
    calculating damages because learning of such influence would involve delving
    into the juror’s thought processes during deliberations).
    105
    See In re Zimmer, Inc., 
    451 S.W.3d 893
    , 903 (Tex. App.—Dallas 2014,
    no pet.) (stating that “[a]n erroneous answer by a juror during voir dire warrants a
    new trial only if there is concealment by the juror” and that “[b]efore concealment
    53
    if they could award money damages for mental anguish and pain and suffering;
    Mayo was not one of those panel members.
    A trial court may grant a new trial when provided with evidence that a juror
    gave an incorrect answer in voir dire if the incorrect answer is material and “if it
    reasonably appears from the evidence both on the hearing of the motion and the
    trial of the case and from the record as a whole that injury probably resulted to
    the complaining party.” 106 Thus, for the trial court to have abused its discretion
    by failing to grant a new trial, the evidence would have to show that Gibbons was
    probably injured by Mayo’s failing to speak up in voir dire.
    Assuming that the questions asked by Gibbons’s attorney were specific
    and direct and called for a disclosure about whether Mayo had a personal bias
    against negligence claims and awarding non-economic damages, 107 Mayo’s
    failure to speak up would not entitle Gibbons to a new trial. Mayo did not sign the
    verdict; she was one of two jurors who did not agree to it. To the extent that Bell
    and Parks compromised and agreed to a lower damages award to reach a
    verdict, it was not a compromise with Mayo. There is no evidence that the trial
    can be found, the questions asked [during voir dire] must be direct and specific
    and call for disclosure”).
    106
    See Tex. R. Civ. 327(a) (emphasis added).
    107
    See 
    Zimmer, 451 S.W.3d at 903
    .
    54
    court could consider that the opinion of the other jurors was colored by Mayo’s
    beliefs (or, for that matter, the beliefs of Whitman and Fitzgibbons). 108
    Juries often reach a verdict through compromise, and doing so is not
    necessarily misconduct. 109     The extent to which any prejudices may have
    affected the jury’s verdict is a matter about which the trial court could only
    speculate. 110   We cannot say that the trial court abused its discretion by
    determining that from the record as a whole, it did not reasonably appear that
    injury probably resulted to Gibbons by a juror’s failure to speak up at voir dire.
    We overrule Gibbons’s issues eighty-five through ninety.
    Gibbons argues in issue eighty-four that she should be granted a new trial
    because juror Fitzgibbon did not appear to testify at the hearing on Gibbons’s
    motion for new trial, but she does not cite any authority for why Fitzgibbon’s
    failure to appear required the granting of a new trial, nor does she expound upon
    her assertion. 111 We overrule her eighty-fourth issue.
    108
    See Golden 
    Eagle, 24 S.W.3d at 371
    ; see also Fitz, 
    2004 WL 840609
    , at
    *3.
    109
    See Pedernales Elec. Co-op., Inc. v. Pub. Util. Comm’n of Tex., 
    809 S.W.2d 332
    , 341–42 (Tex. App.—Austin 1991, no writ); see also Owens v.
    Missouri Pac. Ry. Co., 
    4 S.W. 593
    , 595 (Tex. 1887) (“We presume that but few
    verdicts are returned giving damages for a tort in which the amount is not the
    result of a compromise between the members of the jury.”).
    110
    See Golden 
    Eagle, 24 S.W.3d at 371
    ; Fitz, 
    2004 WL 840609
    , at *3.
    111
    See Tex. R. App. P. 38.1(i).
    55
    Under the group of issues challenging the trial court’s orders related to
    juror testimony, Gibbons makes various other assertions without any argument or
    cited authority to support them. To the extent these assertions are made as part
    of an argument under these issues, the remainder of these issues are overruled
    as inadequately briefed. 112
    3.11. Polling the Jury
    Gibbons’s issues 97 through 102 complain of the trial court’s failure to
    allow her attorney the opportunity to request a poll of the jury. 113
    The right to poll the jury may be forfeited. 114 Here, the trial court read the
    jury’s verdict, accepted it, and thanked the jurors for their service. The court then
    told the jurors that they were free to talk or to refuse to talk to anybody about the
    case or to provide affidavits to the attorneys about “things such as juror
    misconduct.” The trial court wrapped up its words to the jurors by asking the
    jurors to go to the jury room and telling them, “I’ll come in and I have a few last
    words to say to you, and then you’ll be excused. So if you’ll go to the jury room,
    112
    See id.; Fredonia State 
    Bank, 881 S.W.2d at 284
    –85.
    113
    See Tex. R. Civ. P. 294 (providing that a party has the right to poll the
    jury).
    114
    Liberty Mut. Ins. Co. v. Transit Mix Concrete & Materials Co., No. 06-12-
    00117-CV, 
    2013 WL 3329026
    , at *3 (Tex. App.—Texarkana June 28, 2013, pet.
    denied) (mem. op.); Suggs v. Fitch, 
    64 S.W.3d 658
    , 660 (Tex. App.—Texarkana
    2001, no pet.).
    56
    I’ll be in right after you. Thank you.” The record of the trial proceedings ends
    there.
    At the hearing on Gibbons’s motion for new trial, Gibbons’s attorney stated
    that he had not been given a chance to poll the jury.                Opposing counsel
    countered that Gibbons’s attorney had not asked for a poll until it was too late.
    The trial court stated,
    Just for the record, you did not ask for the Court to poll the jury
    while I was in the courtroom, and I even speak to the jury after I read
    the verdict, and I give them their instructions required by law, and
    you never stood and asked me. And just for the record, I always
    allow polling of the jury when it’s requested, and it was never
    requested.
    Gibbons’s attorney responded that he had, in fact, requested a poll while the jury
    was still present.      The Luby’s entities’ attorney countered that the jury had
    already been dismissed when Gibbons’s attorney requested a poll. The trial
    court responded, “The record will reflect what it reflects.”
    The record does not show an objection or request by Gibbons’s attorney,
    and we may not take his word for it that the trial court was mistaken about
    whether he had made a request, that any request was timely, or that he objected
    to not being allowed to poll the jury. 115 We overrule Gibbons’s issues related to
    polling the jury.
    3.12. Further Rulings on Objections to Testimony
    115
    See Tex. R. App. P. 33.1(a).
    57
    Gibbons’s 103rd issue asserts that the trial court abused its discretion by
    sustaining the Luby’s entities’ objection to Bell’s testimony at the hearing on
    Gibbons’s motion for new trial. Her issue is based on the same arguments she
    raised under issues 104 and 105. Bell’s testimony related to statements made
    by jurors during deliberations and to Bell’s state of mind during deliberations. For
    the same reasons we overruled issues 104 and 105, we overrule this issue as
    well. 116
    In Gibbons’s 106th issue, she complains of the trial court’s overruling of
    her objections to Darlene Cole’s and Nicole Huffman’s testimony by deposition.
    Like Huffman, Cole was an employee of the restaurant and present on the day of
    the incident. Gibbons asserts that their addresses and telephone numbers were
    not provided to her in discovery and that Cole was not listed as a person with
    knowledge of relevant facts until around two weeks prior to trial, and so the trial
    court abused its discretion by allowing them to testify over her objection.
    In their responses to Gibbons’s and Floyd’s requests for disclosure, the
    Luby’s entities identified “Nicole Huttman” and “Darlene Cook” as Restaurants
    employees with knowledge of relevant facts.            The response listed each
    employee’s position at the restaurant and gave as their phone numbers and
    addresses the phone number and address of the attorney for the Luby’s entities.
    Less than thirty days before trial, the Luby’s entities supplemented their
    116
    See Golden 
    Eagle, 24 S.W.3d at 371
    .
    58
    responses to provide correct last names; the same attorney’s address and phone
    number was still listed as Cole’s and Huffman’s address and phone number.
    Civil procedure rule 193.6 provides that a party may not offer the testimony
    of a witness who was not timely identified unless the court finds that “there was
    good cause for the failure to timely make, amend, or supplement the discovery
    response” or that “the failure to timely make, amend, or supplement the discovery
    response will not unfairly surprise or unfairly prejudice the other parties.” 117
    Under rule 193.5, an amended or supplemental response must be made
    reasonably promptly, and it is presumed that the response was not made
    reasonably promptly if it was made less than thirty days before trial. 118
    Gibbons argues that the correct address for Cole and Huffman was never
    disclosed, but she makes no argument for why the law firm’s address would not
    suffice for purposes of the rule. 119 The cases she relies on are distinguishable.
    In Morrow v. H.E.B., Inc., a witness’s address was listed in an interrogatory
    117
    Tex. R. Civ. P. 193.6(a).
    118
    Tex. R. Civ. P. 193.5(a).
    119
    See Tex. R. App. P. 38.1(i); see also In re C.S., 
    977 S.W.2d 729
    , 732–
    33 (Tex. App.—Fort Worth 1998, pet. denied) (stating that the purpose of the rule
    requiring disclosure of a witness’s identity or location in answers to
    interrogatories is to “allow the opposing party to easily locate, interview, and
    depose the proposed witness” and that, although a complete street address for
    the witness at issue was not disclosed, under the facts of the case, the trial court
    could reasonably have concluded that the witness could have been easily
    located with the information provided, and therefore the witness had been
    sufficiently identified).
    59
    response as simply “Missouri,” and when the party making the disclosure
    discovered that the witness had moved to an address in San Antonio, the party
    did not supplement or amend its disclosure. 120 In Braniff, Inc. v. Lentz, 121 no
    address or telephone number was listed for the witness at issue.             Clark v.
    Trailways, Inc. also involved the total failure to provide an address. 122
    Further, even assuming that the misspelling of the last names and the
    attorney’s address and phone number did not satisfy disclosure requirements,
    the cases cited by Gibbons all applied the former version of the rule amended in
    1999 and now found at 193.6, under which failure to supplement or amend could
    be excused only for good cause. 123 Under the current version of the rule, failure
    to supplement or amend is also excused if the failure will not unfairly surprise or
    unfairly prejudice the other party. 124
    Gibbons cites a case for the proposition that “[t]he absence of surprise,
    unfairness, or ambush does not alone satisfy the good cause exception to the
    120
    
    714 S.W.2d 297
    , 297 (Tex. 1986) (on reh’g).
    121
    
    748 S.W.2d 297
    , 299 (Tex. App.—Fort Worth 1988, writ denied).
    122
    
    774 S.W.2d 644
    , 646 (Tex. 1989).
    123
    See 
    id. (discussing former
    rule 215.5, now at 193.6 as amended); Wal-
    Mart Stores, Inc. v. Tinsley, 
    998 S.W.2d 664
    , 671 (Tex. App.—Texarkana 1999,
    pet. denied) (noting that former rule 215.5 is now rule 193.6).
    124
    Tex. R. Civ. P. 193.6(a).
    60
    sanction of automatic exclusion.” 125 That case also applied the former version of
    the rule requiring good cause for the failure to supplement or amend. Thus, the
    witnesses did not need to be excluded if Gibbons was not unfairly surprised or
    unfairly prejudiced.
    Both witnesses were deposed, and Gibbons’s attorney attended the
    depositions. And Gibbons introduced excerpts of Huffman’s deposition in her
    case in chief. We decline to say that the trial court abused its discretion by
    determining that the Luby’s entities had shown that Gibbons was not unfairly
    surprised by the Luby’s entities failure to supplement their disclosures to correct
    Huffman’s and Cole’s names or provide their personal addresses more than thirty
    days before trial. 126 We overrule Gibbons’s 106th issue.
    4. Conclusion
    Having overruled each of Gibbons and Floyd’s issues, we affirm the trial
    court’s judgment.
    /s/ Lee Ann Dauphinot
    LEE ANN DAUPHINOT
    JUSTICE
    PANEL: LIVINGSTON, C.J.; and DAUPHINOT, J. 127
    125
    Sharp v. Broadway Nat’l Bank, 
    784 S.W.2d 669
    , 671 (Tex. 1990)
    (emphasis added).
    126
    See In re 
    C.S., 977 S.W.2d at 732
    –33.
    127
    Justice McCoy was a member of the original panel but has retired in the
    interim.
    61
    DELIVERED: August 31, 2015
    62