Naseem Akhter v. Schlitterbahn Beach Resort Management, LLC and Galveston Waterpark Management, Inc. ( 2013 )


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  •       TEXAS COURT OF APPEALS, THIRD DISTRICT, AT AUSTIN
    NO. 03-13-00117-CV
    Naseem Akhter, Appellant
    v.
    Schlitterbahn Beach Resort Management, LLC and
    Galveston Waterpark Management, Inc., Appellees
    FROM THE DISTRICT COURT OF COMAL COUNTY, 274TH JUDICIAL DISTRICT
    NO. C2012-1524C, HONORABLE DIB WALDRIP, JUDGE PRESIDING
    MEMORANDUM OPINION
    Naseem Akhter appeals a no-evidence summary judgment on personal-injury claims
    she had asserted against appellees Schlitterbahn Beach Resort Management, LLC (SBRM) and
    Galveston Waterpark Management, Inc. (GWMI). We will affirm the district court’s judgment.
    BACKGROUND
    Akhter’s claims arose from a May 2011 incident that occurred while she was visiting
    the Schlitterbahn Galveston Island Waterpark. According to contemporaneous accounts that are
    part of the summary-judgment record, Akhter reportedly rode an inner tube down one of the park’s
    slides backwards and ended up impacting portions of the slide and landing pool in a manner causing
    pain to her head and neck. She filed her suit in late December 2011—in Montgomery County, where
    she resided—initially naming only appellee SBRM as a defendant, but adding appellee GWMI soon
    after SBRM filed a verified denial that it had been sued in the proper capacity and asserting that
    GWMI was the proper defendant. Both appellees preserved challenges to venue and, over Akhter’s
    opposition, a local trial court granted the motions and transferred the case to Comal County.
    In her live pleadings, Akhter sought recovery of damages from appellees based on
    theories of negligence and gross negligence, alleging specifically that appellees’ employees or agents
    had negligently, or with gross negligence, failed to “properly secure [her] onto the ride” and that
    appellees had negligently hired, supervised, or trained those employees. On December 12, 2012,
    after Akhter’s suit had been on file for almost one year, the appellees filed a joint no-evidence
    summary-judgment motion challenging Akhter’s proof that (1) either had acted with negligence
    with respect to the operation of the water ride in question or (2) in the hiring, training, or supervision
    of employees; that (3) either had been grossly negligent; that (4) any such negligence or gross
    negligence had been a proximate cause of the occurrence or injuries Akhter had alleged; or that
    (5) SBRM “had any connection, or right of control over, the staff, employees or agent involved in
    the operation of the water ride on which [Akhter] was allegedly injured.” Akhter filed a response
    in which she objected that an “adequate time for discovery” had not yet passed, but also attempted
    to present summary-judgment evidence in an effort to raise fact issues with respect to each of the
    elements that appellees had challenged. Akhter’s summary-judgment proof consisted of: (1) what
    purported to be five “incident reports” or witness statements that had been prepared by personnel at
    the water park; (2) what purported to be Akhter’s medical records; (3) an affidavit from Akhter’s
    counsel attesting that the foregoing documents had been produced by appellees in response to
    discovery requests; and (4) an affidavit from Akhter in which she opined, without elaboration,
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    that she had been “improperly secured” on the ride through the acts or omissions of “a waterpark
    employee[] whose responsibility it was to ensure patrons were properly secured before the
    ride started.”
    A hearing was held on January 22, 2013. On the same day, but prior to the start of
    the hearing, appellees filed written objections to portions of Akhter’s affidavit in which she had
    opined about her “improper securing,” arguing that her testimony was incompetent, amounting
    to bare conclusions lacking a predicate or underlying factual basis. Appellees also objected to the
    admission of the incident reports and medical records on grounds of hearsay and lack of
    authentication. During the hearing, however, appellees opted not to seek a ruling on, and thereby
    waived, their objections to the incident reports and medical records, evidently in the view that
    Akhter would be entitled to an opportunity to cure any of the defects to which they had objected.
    See Tex. R. Civ. P. 166a(f) (“Defects in the form of affidavits . . . will not be grounds for reversal
    unless specifically pointed out by objection by an opposing party with opportunity, but refusal, to
    amend.”). Appellees did, however, continue to press their objection to the competency of Akhter’s
    opinions.
    Following the hearing, the district court signed a judgment in which it granted
    appellees’ no-evidence motion specifically “after granting [appellees’] substantive objections.” This
    appeal followed.
    ANALYSIS
    Akhter brings five issues on appeal. In her second issue, Akhter complains that
    appellees’ no-evidence summary-judgment motion lacked the specificity required by rule 166a(i).
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    In her third issue, she urges that the district court erred in ruling on appellees’ motion without
    giving her the “adequate time for discovery” that rule 166a(i) contemplates. In her fifth issue,
    Akhter insists that the district court improperly deprived her of the opportunity to cure evidentiary
    defects in her summary-judgment proof. Finally, in her first and fourth issues, Akhter argues that
    the incident reports alone were sufficient to raise fact issues precluding summary judgment.
    Specificity of motion
    In her second issue, Akhter argues that appellees’ no-evidence summary-judgment
    motion was “conclusory” and too general to satisfy rule 166a(i). See Tex. R. Civ. P. 166a(i); 
    id. cmt. 1997
    (“The motion must be specific in challenging the evidentiary support for an element of
    a claim or defense; paragraph (i) does not authorize conclusory motions or general no-evidence
    challenges to an opponent’s case.”). The purpose of the specificity requirement is to provide the
    opposing party with fair notice of the matters on which it must produce some evidence. See Dodd
    v. City of Beverly Hills, 
    78 S.W.3d 509
    , 513 (Tex. App.—Waco 2002, pet. denied). But the motion
    does not have to include a specific attack on the evidentiary components that make up an element
    of a claim. Dominguez v. Payne, 
    112 S.W.3d 866
    , 868 (Tex. App.—Corpus Christi 2003, no pet.).
    Instead, it need only “state the elements as to which there is no evidence.” Tex. R. Civ. P. 166a(i).
    Appellees’ motion met the specificity requirement. The motion explicitly identified
    the particular elements of each claim as to which appellees argued there was no evidence.
    Specifically, appellees challenged the existence of evidence that either had failed to satisfy an
    applicable standard of care, that any such negligence or gross negligence was a proximate cause of
    her injuries, or that SBRM had any connection with, or right of control over, the staff, employees,
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    or agents involved in the incident. These allegations were sufficient to put Akhter on notice as to
    the elements for which she was required to produce evidentiary support. We overrule Akhter’s
    second issue.
    Adequate time for discovery
    In her third issue, Akhter brings forward her objection that she did not have “an
    adequate time for discovery” before appellees sought no-evidence summary judgment. See Tex. R.
    Civ. P. 166a(i) (no-evidence summary-judgment motion may be filed after an “adequate time for
    discovery”). A “discovery period set by pretrial order” is presumptively an “adequate opportunity
    for discovery unless there is a showing to the contrary,” and “ordinarily a [no-evidence summary-
    judgment] motion . . . would be permitted after the period but not before.” 
    Id. cmt. However,
    the
    parameters of the discovery period are not singularly or categorically determinative of an adequate
    opportunity for discovery; instead, we review a trial court’s determination that there has been an
    adequate time for discovery on a case-by-case basis, applying an abuse-of-discretion standard. See
    Restaurant Teams Int’l, Inc. v. MG Secs. Corp., 
    95 S.W.3d 336
    , 339 (Tex. App.—Dallas 2002,
    no pet.). Considerations in that analysis may include: (1) the nature of the case; (2) the nature of
    evidence necessary to controvert the no-evidence motion; (3) the length of time the case was active;
    (4) the amount of time the no-evidence motion was on file; (5) whether the movant had requested
    stricter deadlines for discovery; (6) the amount of discovery that had already taken place; and
    (7) whether the discovery deadlines in place were specific or vague. 
    Id. In contending
    that she was deprived of an adequate opportunity for discovery, Akhter
    insists that appellees filed their summary-judgment motion, and that the district court granted
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    it, several months before the applicable discovery period would have ended. Akhter acknowledges
    that she filed her original petition on December 29, 2011, and specifically invoked the “level 2”
    discovery control plan, which had the same effect as a pretrial order establishing a discovery period
    that began when suit was filed and continued until nine months after “the due date of the first
    response to written discovery.” See Tex. R. Civ. P. 190.3(b)(1). Relying on copies of requests for
    production, requests for admissions, and interrogatories that she claims to have served on appellees
    in late May 2012—but that are not part of the appellate record—Akhter insists that the discovery
    period did not begin until late June 2012, which would have placed the end of the nine-month
    discovery period in late March 2013. However, because these documents are not part of the
    appellate record, we will not consider them. See Canton–Carter v. Baylor Coll. of Med., 
    271 S.W.3d 928
    , 932 n.2 (Tex. App.—Houston [14th Dist.] 2008, no pet.). Moreover, even if we did, the record,
    as appellees observe, demonstrates that the first written discovery in the case was instead a rule 194
    request for disclosures that Akhter served contemporaneously with her original petition. See Tex. R.
    Civ. P. 192.7(a). Consequently, the trigger date for the nine-month discovery period would
    have been the date on which SBRM’s responses to these disclosure requests were due. See 
    id. R. 190.3(b)(1).1
    Although Akhter has failed to bring forth a record revealing when SBRM was
    served with these requests, which would have been necessary for her to demonstrate that appellees’
    summary-judgment motion preceded the end of the discovery period, appellees candidly
    1
    Although GWMI was not joined as a defendant until later, there is no indication that any
    court extended or modified the original level 2 discovery control plan. Cf. Tex. R. Civ. P. 190.5.
    6
    acknowledge that they were not served until February 13, 2012, which would mean that the
    discovery period did not end until January 3, 2013.2 Consequently, as appellees observe, their
    summary-judgment motion, filed on December 12, 2012, did precede the discovery cut-off, but only
    by a mere three weeks—not by months, as Akhter had insisted—and both Akhter’s response deadline
    (January 14) and the summary-judgment hearing (January 22) actually came after the discovery cut-
    off. But more critical to our analysis, appellees urge, is the fact that the case had been on file for
    roughly one year by the time they filed their motion—and that still another month elapsed before
    Akhter filed her response and the hearing was held. We agree that these considerations support
    the district court’s determination that Akhter had an adequate time for discovery. See Madison
    v. Williamson, 
    241 S.W.3d 145
    , 155 (Tex. App.—Houston [1st Dist.] 2007, pet. denied) (holding
    that adequate time for discovery had passed when case had been on file for more than one year when
    trial court granted summary judgment); see also Restaurant Teams 
    Int’l, 95 S.W.3d at 340
    (holding
    that adequate time for discovery had passed, even though discovery period had not yet ended, when
    case had been pending for seven months).
    Relatedly, while having over a year to do so, Akhter made no attempt to obtain the
    discovery of which she now complains the district court unjustly deprived her. When objecting to
    2
    Where, as here, requests for disclosures are served before a defendant’s answer is due, the
    response due date—and thus the start of the nine-month discovery period here—is fifty days
    after service of the request. See 
    id. R. 194.3(a).
    Assuming SBRM was served on February 13, 2012,
    the response deadline would have been April 3, and nine months after April 3 would have been
    January 3, 2013. See Tex. Gov’t Code § 311.014(c) (explaining that “months” are counted between
    corresponding days); see also 
    id. § 311.002(4)
    (applying Code Construction Act to “each rule
    adopted under a code”); In re Walkup, 
    122 S.W.3d 215
    , 217 (Tex. App.—Houston [1st Dist.] 2003,
    orig. proceeding) (noting Code Construction Act applies to Texas Rules of Civil Procedure).
    7
    the timeliness of appellees’ no-evidence motion, Akhter indicated the need or desire to depose
    “Defendants’ corporate representatives or other witnesses,” which would have presumably included
    the park employees who were identified in the incident reports she had attached to her summary-
    judgment response. But there is no indication that Akhter ever pursued these depositions. She
    attempts to explain her inaction by claiming that she had opted to wait to take the depositions
    until after the Montgomery County trial court had ruled on appellees’ motions to transfer venue.
    However, that motion was granted on August 13, 2012, roughly four months before appellees filed
    their summary-judgment motion. Further, there is no indication that Akhter took action to obtain
    the depositions, or any other discovery, even after she was served with appellees’ summary-judgment
    motion. Finally, the record does not reflect, and Akhter does not argue, that she had attempted to
    obtain discovery but was prevented from doing so by appellees or the court. Cf. Tempay, Inc. v.
    TNT Concrete & Constr., Inc., 
    37 S.W.3d 517
    , 522–23 (Tex. App.—Austin 2001, pet. denied)
    (“From the time TNT Inc.’s answer was filed until the district court granted TNT Inc.’s
    motion, TNT Inc. successfully resisted TemPay’s continuous attempts to obtain the deposition
    of a corporate representative of TNT Inc.”). In sum, these considerations strongly favor the
    district court’s determination that Akhter had an adequate time for discovery. See Restaurant Teams
    
    Int’l, 95 S.W.3d at 341
    ; see also Rocha v. Faltys, 
    69 S.W.3d 315
    , 319 (Tex. App.—Austin 2002,
    no pet.) (“A party who fails to diligently use the rules of discovery is not entitled to a continuance.”
    (citing State v. Wood Oil Distrib., Inc., 
    751 S.W.2d 863
    , 865 (Tex. 1988))).
    As to the remaining factors, this was a relatively straightforward personal injury case
    that would not seem to require unusually extensive or complex discovery. See Restaurant Teams
    8
    
    Int’l, 95 S.W.3d at 339
    . Furthermore, the discovery deadlines were straightforward—as previously
    explained, Akhter specifically invoked the level 2 discovery control plan, and “[t]he language of
    rule 190.3 is unambiguous regarding the length of the discovery period.” 
    Id. at 341.
    We conclude that the district court did not abuse its discretion in determining that
    Akhter had an adequate time for discovery before appellees sought and obtained summary judgment
    against her. See 
    id. at 342.
    We overrule Akhter’s third issue.
    Opportunity to cure
    In her fifth issue, Akhter asserts that the district court erred in sustaining
    objections to her summary-judgment evidence without affording her an opportunity to cure.
    We review the district court’s ruling on the admissibility of summary-judgment evidence under
    an abuse-of-discretion standard. See Fairfield Fin. Grp., Inc. v. Synnott, 
    300 S.W.3d 316
    , 319
    (Tex. App.—Austin 2009, no pet.).
    Akhter complains in part that the district court abused its discretion in refusing her
    the opportunity to cure defects in the admissibility of the incident reports. However, as previously
    explained, appellees did not pursue a ruling on their objections to the incident reports and, therefore,
    waived them. See Tex. R. App. P. 33.1(a); Gold’s Gym Franchising LLC v. Brewer, 
    400 S.W.3d 156
    , 163 (Tex. App.—Dallas 2013, no pet.). Consequently, the incident reports were in evidence.
    Akhter also seems to complain that the district court abused its discretion in refusing
    her the opportunity to cure defects in her own affidavit. We cannot conclude that it did. While
    Akhter would have been entitled to the opportunity to cure “[d]efects in the form of [her] affidavit[],”
    Tex. R. Civ. P. 166a(f) (emphasis added), appellees’ objections instead went to the affidavit’s
    9
    substance, specifically the competence of her testimony. She was not entitled to the opportunity to
    cure these defects. See CA Partners v. Spears, 
    274 S.W.3d 51
    , 63 (Tex. App.—Houston [14th Dist.]
    2008, pet. denied); see also Brown v. Brown, 
    145 S.W.3d 745
    , 753 (Tex. App.—Dallas 2004,
    pet. denied) (holding trial court need not allow supplementation to cure substantive defect). Nor has
    Akhter suggested how she would have cured the substantive defects in her affidavit, asserting
    only that she had offered her opinions not as “expert” testimony but as “present-sense impressions.”
    To the extent Akhter is intending to challenge the district court’s ruling sustaining appellees’
    objections to her affidavit, we conclude that the district court did not abuse its discretion in its ruling.
    See 
    Brown, 145 S.W.3d at 752
    –53 (holding affidavit that lacked underlying factual basis was not
    competent summary-judgment evidence); see also Ayeni v. State, No. 03-11-00604-CV, 
    2013 WL 692460
    , at *4 (Tex. App.—Austin Feb. 20, 2013, no pet.) (mem. op.) (“To be competent summary-
    judgment evidence, an affidavit must contain specific factual bases, admissible in evidence, upon
    which its conclusions are based.” (citing Brownlee v. Brownlee, 
    665 S.W.2d 111
    , 112 (Tex. 1984);
    Tex. R. Civ. P. 166a(f))). We overrule Akhter’s fifth issue.
    Ultimate entitlement to summary judgment
    In her first and fourth issues, Akhter asserts that the district court erred in granting
    summary judgment because the incident reports alone are sufficient to raise fact issues as to
    each of the elements of her claims that appellees challenged. We review the district court’s summary
    judgment de novo. Joe v. Two Thirty Nine Joint Venture, 
    145 S.W.3d 150
    , 156 (Tex. 2004). A
    motion for summary judgment must be granted if, after the required adequate time for discovery, the
    moving party asserts that there is no evidence of one or more specified elements of a claim or
    10
    defense on which the adverse party would have the burden of proof at trial and the respondent
    produces no summary-judgment evidence raising a genuine issue of material fact on those elements.
    See Tex. R. Civ. P. 166a(i); Sudan v. Sudan, 
    199 S.W.3d 291
    , 292 (Tex. 2006) (per curiam). To
    defeat the summary-judgment motion, the nonmovant must present more than a scintilla of probative
    evidence. Forbes Inc. v. Granada Biosciences, Inc., 
    124 S.W.3d 167
    , 172 (Tex. 2003). More than
    a scintilla of evidence exists if it would allow reasonable and fair-minded people to differ in their
    conclusions. 
    Id. Less than
    a scintilla of evidence exists when the evidence is so weak as to do no
    more than create a mere surmise or suspicion of a fact. 
    Id. We review
    the evidence in the light most
    favorable to the non-movant, disregarding all contrary evidence and inferences. King Ranch, Inc.
    v. Chapman, 
    118 S.W.3d 742
    , 751 (Tex. 2003). When a trial court’s order granting summary
    judgment does not specify the ground or grounds relied on for its ruling, as here, summary judgment
    will be affirmed on appeal if any of the theories advanced are meritorious. Browning v. Prostok,
    
    165 S.W.3d 336
    , 344 (Tex. 2005).
    Even when viewed in the light most favorable to Akhter, the incident reports fall
    far short of raising genuine issues of fact as to the elements that appellees challenged. Although the
    reports reflect that Akhter was injured at the Schlitterbahn Galveston Island Waterpark after she went
    down an inner tube slide backwards, they amount to no more than a scintilla of evidence—if any
    evidence—that this event was attributable to any acts or omissions by water park personnel. Even
    more critically, the reports are devoid of evidence that allowing a park patron to ride down the inner
    tube slide backward would amount to the breach of any applicable duty of care. Rather, the incident
    reports are simply silent regarding any applicable standard of care or any conduct that would have
    11
    violated it, nor do they address any duties or breaches of duties relating to employee hiring,
    supervision, or management. Similarly lacking is evidence that would support a reasonable inference
    that any negligence on the part of appellees proximately caused Akhter’s injuries. Mere proof that
    Akhter was injured at a Schlitterbahn water park is not proof of proximate cause. See Southwest Key
    Program, Inc. v. Gil-Perez, 
    81 S.W.3d 269
    , 274 (Tex. 2002); see also Western Invs., Inc. v. Urena,
    
    162 S.W.3d 547
    , 551–52 (Tex. 2005) (holding that summary judgment was proper when there was
    no evidence that any of premises owner’s “acts or omissions were a substantial factor in causing”
    plaintiff’s injuries). Finally, there is nothing in the incident reports to support a reasonable inference
    that any acts or omissions of park personnel would be attributable to SBRM as opposed to GWMI.
    We overrule Akhter’s first and fourth issues.
    CONCLUSION
    We affirm the district court’s judgment.
    __________________________________________
    Bob Pemberton, Justice
    Before Chief Justice Jones, Justices Pemberton and Field
    Affirmed
    Filed: August 22, 2013
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