Werner Enterprises, Inc. and Shiraz A. Ali v. Jennifer Blake, Individually and as Next Friend for Nathan Blake, and as Heir of the Estate of Zachery Blake, And Eldridge Moak, in His Capacity as Guardian of the Estate of Briana Blake ( 2023 )


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  • Affirmed and En Banc Majority Opinion and En Banc Dissenting Opinions
    filed May 18, 2023.
    In The
    Fourteenth Court of Appeals
    NO. 14-18-00967-CV
    WERNER ENTERPRISES, INC. AND SHIRAZ A. ALI, Appellants
    V.
    JENNIFER BLAKE, INDIVIDUALLY AND AS NEXT FRIEND FOR
    NATHAN BLAKE, AND AS HEIR OF THE ESTATE OF ZACHERY
    BLAKE, DECEASED; AND ELDRIDGE MOAK, IN HIS CAPACITY AS
    GUARDIAN OF THE ESTATE OF BRIANA BLAKE, Appellees
    On Appeal from the 127th District Court
    Harris County, Texas
    Trial Court Cause No. 2015-36666
    EN BANC DISSENTING OPINION
    I respectfully dissent. I will not address all of the majority’s opinion1 but will
    primarily address those parts necessary to show the basis for my conclusion that, for
    1
    I do not discuss an issue if I have concluded that the majority reached the correct holding
    on that matter, or if the majority’s holding would be immaterial under my resolution of the case.
    the reasons discussed below, the trial court’s judgment should be reversed and the
    case remanded, subject only to the Blakes’ right to move for recovery under
    alternative favorable findings.
    I. ALI’S NEGLIGENCE
    Werner and Ali’s primary focus on appeal has been their challenge to the
    jury’s response to Question 3 of the charge, in which the jury found that Ali’s
    negligence in the operation of the Werner truck on December 30, 2014, was a
    proximate cause of the Blakes’ injuries.2 I agree with the majority that the evidence
    supports a finding that Ali was negligent and that his negligence was a proximate
    cause of the injuries.
    The Supreme Court of Texas has long held it foreseeable that a vehicle may
    cross into opposing traffic. See Biggers v. Cont’l Bus Sys., Inc., 
    303 S.W.2d 359
    ,
    363–64 (Tex. 1957); see also Lofton v. Tex. Brine Corp., 
    777 S.W.2d 384
    , 387 (Tex.
    1989). Werner and Ali argue that Biggers has been essentially overruled by later
    Supreme Court cases discussing the substantial-factor component of proximate
    cause. But, without a more explicit holding from the Supreme Court we are bound
    by Biggers and its progeny. See also Baumler v. Hazelwood, 
    347 S.W.2d 560
    , 565
    (Tex. 1961) (whether the operator’s excessive speed can be a proximate cause of a
    collision in the operator’s own lane of traffic with a vehicle traveling in the opposite
    direction “depends upon the facts”).
    Werner and Ali argue that the facts of this case are distinguishable from
    Biggers because Ali was not exceeding the posted speed limit. But, whether a
    driver’s speed is excessive or is the proximate cause of a collision depends on the
    2
    I agree with the majority that the trial court did not abuse its discretion in submitting jury
    questions inquiring whether a party’s negligence was a proximate cause “of the injuries in
    question.” See Nabor Well Servs., Ltd. v. Romero, 
    456 S.W.3d 553
    , 559–60 (Tex. 2015).
    2
    circumstances. In Baumler, for example, the court explained that the defendant
    driver traveling at 55 m.p.h. would not have been using excessive speed, not because
    this was the posted speed limit, but because “there is no evidence that he, in good
    health with good eyesight, should have been traveling at a lesser rate of speed on the
    uncrowded, smooth, level, and straight paved highway on the clear, bright night in
    his new car with good tires.” 
    Id.
     at 563–64. In contrast, the court held in Lofton that
    the intermediate appellate court improperly analyzed the evidence in concluding that
    the evidence was factually insufficient to support the finding that the speed of the
    defendant driver was not a proximate cause of a head-on collision. Lofton, 777
    S.W.2d at 386. Although the driver in that case was traveling at only 40–50 m.p.h.,
    which was below the posted speed limit,3 there was evidence “that the fog was so
    thick that at that speed one could not stop or avoid an object in the roadway after
    seeing it.” Id. at 387. As the court pointed out, “The general danger of driving so fast
    in fog that one cannot stop or avoid an object in the roadway is foreseeable.” Id. As
    these cases illustrate, the condition of the driver, the traffic, the weather, and the
    roads all can affect the speed at which it is foreseeable that a driver will be unable
    to avoid striking an obstacle that enters the driver’s lane—regardless of how the
    obstacle came to be there.
    II. WERNER’S NEGLIGENCE
    In the first two questions of the charge, the jury was asked to consider a total
    of three theories under which Werner could be found negligent. Werner challenges
    the sufficiency of the evidence to support the jury’s affirmative answers to those
    questions, and in addition, Werner complains of charge error as to both questions.
    3
    The speed limit was stated in the intermediate appellate court’s opinion. See Tex. Brine
    Corp. v. Lofton, 
    751 S.W.2d 197
    , 199 (Tex. App.—Houston [14th Dist.] 1988), rev’d, 
    777 S.W.2d 384
     (Tex. 1989).
    3
    The issue of whether Werner’s charge objections were valid affects the
    standard by which evidentiary sufficiency is measured. Absent a valid charge
    objection, the reviewing court measures the sufficiency of the evidence against the
    charge as given. See Osterberg v. Peca, 
    12 S.W.3d 31
    , 55 (Tex. 2000) (sub. op.).
    But if the appellant preserved a valid objection to the charge, then the reviewing
    court must measure evidentiary sufficiency against the charge that should have been
    given. See St. Joseph Hosp. v. Wolff, 
    94 S.W.3d 513
    , 530 (Tex. 2002). Thus, as to
    each of the first two questions of the charge, I would determine, first, whether
    Werner’s appellate complaint was preserved by a valid objection, and second, the
    sufficiency of the evidence to support the jury’s finding.
    A.    Question 1: Unspecified Negligence
    In Question 1, the jury was asked, “Was the negligence, if any, of Werner
    acting through its employees other than Shiraz Ali a proximate cause of the injuries
    in question?” In an accompanying instruction, the jury was told not to consider
    Werner’s negligence, if any, in training or supervising Ali; negligent training and
    supervision were the subject of a separate question. In a second instruction, the jury
    was told,
    “Negligence,” when used with respect to the conduct of Werner, means
    failure to use ordinary care, that is, failing to do that which a trucking
    company of ordinary prudence would have done under the same or
    similar circumstances or doing that which a trucking company of
    ordinary prudence would not have done under the same or similar
    circumstances.
    Neither the question nor the accompanying instructions identified any specific duty
    that Werner, through its employees, was required to fulfill with ordinary care.
    Werner argues on appeal that whether a duty exists is a question of law to be
    decided by the court. Werner points out that the Supreme Court of Texas held in
    4
    Pagayon v. Exxon Mobil Corp., 
    536 S.W.3d 499
     (Tex. 2017), that in determining
    what duties an employer has regarding its employees, courts cannot simply require
    employers “to exercise ordinary care in all circumstances,” but must be “more
    specific.” 
    Id. at 506, 504
    .
    The majority embarks on a lengthy discussion of whether there is a general
    duty of negligence in this case. See Part B.1, supra. This directly contradicts the
    holding of Pagayon, and the analysis itself is flawed. The majority’s analysis fails
    to specifically identify what the exact duty was—outside of supervision and training.
    It also puts the burden on Werner to rebut the duty the majority created (that no court
    has ever recognized). It is not Werner’s obligation to provide evidence of the
    magnitude of the burden imposed by this court. The record—in support of the duty—
    must show that it is not burdensome. It is ultimately the plaintiff’s obligation to prove
    the existence of a duty. See Cosgrove v. Grimes, 
    774 S.W.2d 662
    , 665 (Tex.
    1989) (“The plaintiff must prove that there is a duty owed to him by the defendant.”);
    El Chico Corp. v. Poole, 
    732 S.W.2d 306
    , 311 (Tex. 1987) (“Duty is the threshold
    inquiry; a plaintiff must prove the existence and violation of a duty owed to him by
    the defendant to establish liability in tort.”); Otis Eng’g Corp. v. Clark, 
    668 S.W.2d 307
    , 309 (Tex. 1983) (“In order to establish tort liability, a plaintiff must initially
    prove the existence and breach of a duty owed to him by the defendant.”); Coleman
    v. Hudson Gas & Oil Corp., 
    455 S.W.2d 701
    , 702 (Tex. 1970) (“Any plaintiff must
    prove the existence and violation of a legal duty owed to him by the defendant in
    order to establish tort liability.”).
    If there is no evidence in the record of certain aspects of the duty, we do not
    presume them in favor of a duty nor do we fault the defendant with waiver as the
    majority does in its chart—at best it creates a situation where a new trial is required.
    See Humble Sand & Gravel, Inc. v. Gomez, 
    146 S.W.3d 170
    , 195 (Tex. 2004)
    5
    (remanding for a new trial for the trial court to specifically identify the duty and
    tailoring the jury issue to the disputed fact issue). This is the specific holding in
    Pagayon—the trial court must identify the duty and the jury must be charged on that
    duty.
    1.    Werner preserved its appellate complaint that the submission of
    Question 1 was contrary to Pagayon.
    Werner preserved its appellate complaint by objecting to Question 1 in the
    trial court as follows:
    As well, we object to the submission of Question No. 1 because
    it asserts direct claims against Werner that could include things for
    which the Texas Supreme Court has not stated there is a general duty
    to the plaintiffs in these circumstances.
    For example, in the Pagayon case, which is 
    536 S.W.3d 499
    ,
    which was the Texas Supreme Court case issued in 2017, that court said
    that it is not enough simply to require employers or others to exercise
    ordinary care in all circumstances. Texas law requires the courts to be
    more specific to balance relevant factors in determining the existence,
    scope, and elements of legal duties. . . .
    This question as submitted does not frame what are the duties,
    what are the elements of the causes of action or cause of action that
    Werner is accused of committing or omitting as negligence and so for
    these reasons we object to the submission in Question No. 1.
    Despite the preservation of Werner’s complaint in the trial court, and the re-
    urging of that complaint on appeal, the majority has failed to address it. But see TEX.
    R. APP. P. 47.1 (appellate court’s written opinion must “address[] every issue raised
    and necessary to final disposition of the appeal”). Resolution of this issue is
    necessary to the final disposition of this appeal because Werner’s objection was
    correct, as explained below.
    6
    2.     Because employers do not owe third parties unspecified duties of
    ordinary care regarding employees’ actions, the trial court reversibly
    erred in overruling Werner’s objection.
    Question No. 1 imposed a general negligence duty on Werner, acting through
    its employees other than Ali. The question did not define what that duty was—what
    objective conduct such unidentified employees were required to perform, or to
    refrain from performing—instead leaving individual jurors to make up these
    standards for themselves. The only restriction was that jurors were not to consider
    any negligence by Werner in training or supervising Ali.
    The Blakes argue that the trial court did not err in overruling Werner’s
    objections because a general negligence duty is appropriate. But, the existence of a
    duty is a question of law for the court to decide, not jurors. See Pagayon, 536 S.W.3d
    at 503. And courts must determine both “whether a duty exists, and what it is.” Id.
    at 505–06 (emphasis added). As the Supreme Court of Texas has expressly stated,
    “It is not enough simply to require employers, or others, to exercise ordinary care in
    all circumstances.” Id. at 506.
    That is precisely what Question 1 did. Each individual juror was free to
    determine for himself or herself the duties that employees other than Ali owed.
    Jurors were not even limited to considering duties owed to the Blakes. And because
    we cannot know what duties jurors decided upon, we cannot determine whether
    Werner actually owed such duties, much less whether the duty was breached or
    whether the breach was a proximate cause of the Blakes’ injuries. Thus, the trial
    court’s error in including this question is reversible. See TEX. R. APP. P. 44.1(a).
    B.    Question 2: Werner’s Duty to Supervise and Train Its Employees
    Question 2 of the charge was as follows:
    7
    Was the negligence, if any, of Werner acting through its employees
    other than Shiraz Ali in the manner stated below a proximate cause of
    the injuries in question?
    Consider Werner’ s negligence, if any, in the following
    A     supervising Shiraz Ali, but only if you find that Shiraz Ali
    was incompetent or unfit, and Werner knew, or through
    the exercise of ordinary care should have known, that
    Shiraz Ali was incompetent or unfit, thereby posing an
    unreasonable risk of harm to others, and
    B     training Shiraz Ali
    Although I agree with the majority that the submission of this question was
    not erroneous, I disagree with the majority’s analysis.
    1.       Werner preserved its Casteel complaint.
    “When a single broad-form liability question erroneously commingles valid
    and invalid liability theories and the appellant’s objection is timely and specific, the
    error is harmful when it cannot be determined whether the improperly submitted
    theories formed the sole basis for the jury’s finding.” Crown Life Ins. Co. v. Casteel,
    
    22 S.W.3d 378
    , 389 (Tex. 2000) (op. on reh’g). “Casteel and its progeny are intended
    to remedy the trial court’s error in failing to eliminate—or at least to segregate—the
    factfinder’s consideration of invalid claims.” Zaidi v. Shah, 
    502 S.W.3d 434
    , 440
    (Tex. App.—Houston [14th Dist.] 2016, pet. denied). To preserve a Casteel
    complaint, it is sufficient “for the complaining party to make a specific objection to
    the form of the charge to put the trial court on notice of the alleged error and afford
    the court an opportunity to correct the error.” Thota v. Young, 
    366 S.W.3d 678
    , 690
    (Tex. 2012).
    Question 2 is a broad-form liability question in which the jury could base
    liability on negligent supervision or on negligent training. At the charge conference,
    Werner stated with regard to Question 2, “because it improperly combines different
    8
    claims of the causes of action, both valid and invalid, we object to the submission of
    this question.” 4 This was sufficient to preserve Werner’s Casteel complaint. See Tex.
    Comm’n on Human Rights v. Morrison, 
    381 S.W.3d 533
    , 536 (Tex. 2012) (per
    curiam) (“Casteel error may be preserved without specifically mentioning
    Casteel.”).
    But Werner went further, objecting to the form of the question and specifically
    referencing Casteel:
    We also object to this question because this question itself is combining
    two separate and distinct causes of action in one question. So there’s a
    Casteel problem within and unique to this question because a “yes”
    answer from a jury, ten or more of the jury, we won’t know whether ten
    or more of them or all of them believed both causes of action were
    supported by the evidence or what they based their findings on. So
    there’s a Casteel problem in this question by combining these two
    claims.
    This objection was independently sufficient to preserve a Casteel complaint
    to the form of the question. Not only does the objection specifically point out that
    “there’s a Casteel problem,” but the objection was sufficient to “put a trial court on
    notice to submit a granulated question to the jury.” In re A.V., 
    113 S.W.3d 355
    , 363
    (Tex. 2003).
    But there’s still more. A party can preserve a Casteel complaint by objecting
    that at least one theory included in a multi-theory, broad-form liability question lacks
    evidentiary support. Thota, 366 S.W.3d at 691. Werner made this objection as well,
    stating there was no evidence that Werner owed the duties included in the question,
    no evidence of any breach of such duties, and no evidence that a breach of such
    duties proximately caused the collision or the Blakes’ injuries.
    4
    Emphasis added.
    9
    In Burbage v. Burbage, 
    447 S.W.3d 249
    , 256 (Tex. 2014), the Supreme Court
    of Texas stated that “some timely and specific objection must raise the [Casteel]
    issue in the trial court,” but declined to hold that a party “must object both to the
    lack of evidence to support submission of a jury question and the form of the
    submission.” Here, Werner objected to evidentiary sufficiency, and objected to the
    form of the submission and specifically cited Casteel.
    Werner’s comprehensive Casteel objections far exceeded the level of
    specificity required to preserve its Casteel complaint for appellate review. See State
    Dep’t of Highways & Pub. Transp. v. Payne, 
    838 S.W.2d 235
    , 241 (Tex. 1992)
    (charge error is preserved if “the party made the trial court aware of the complaint,
    timely and plainly, and obtained a ruling”). The majority’s contrary conclusion is
    frankly inexplicable.
    Because Werner’s complaint was preserved, I would determine whether
    Question 2 truly did combine valid and invalid theories, that is, whether the Blakes
    proved that Werner was negligent in both supervising and training Ali. I would
    conclude that both causes of action are recognized under this Court’s precedent, and
    that there is legally and factually sufficient evidence of both.
    III. PROPORTIONATE RESPONSIBILITY
    To review, Question 1 erroneously submitted a general negligence question
    concerning Werner’s employees other than Ali; Question 2 submitted Werner’s
    negligence in supervising and training Ali; Question 3 submitted Ali’s negligence;
    and Question 4 submitted Salinas’s negligence.
    These liability questions were followed by three proportionate-responsibility
    questions. In Question 5, under which the Blakes elected to recover, the jury was
    asked to apportion responsibility for the Blakes’ injuries among “Werner, acting
    10
    through its employees other than Shiraz Ali,” Ali, and Salinas. The jury found
    Salinas 16% responsible; Ali 14% responsible; and Werner 70% responsible.
    A fatal flaw in this question is that it is predicated on affirmative answers to
    “Questions 1, 2, 3, or 4 for more than one of those named below,” i.e., Werner, Ali,
    and Salinas. Werner objected that “there’s a Casteel problem” in that Questions 1,
    2, and 3 “permitt[ed] the jurors to consider valid and invalid legal theories for which
    the defendants owe no duty as well as for which there’s no evidence to support any
    finding of liability.”
    For the reasons I have discussed, Question 1 did indeed submit an invalid legal
    theory, though both I and the majority would uphold the jury’s findings in response
    to Question 2. The result, as I would hold, is that the jury’s apportionment of liability
    in Question 5 was predicated on both valid and invalid theories of liability. Because
    there is no way to tell the extent to which the jury relied on the invalid theory
    submitted in Question 1, I would reverse the judgment and remand the case for a
    new trial.
    When the prevailing party obtains favorable findings on more than theory, the
    trial court renders judgment under the theory that will grant the party the greatest
    relief. See Boyce Iron Works, Inc. v. Sw. Bell Tel. Co., 
    747 S.W.2d 785
    , 787 (Tex.
    1988). Of course, if the judgment is reversed on appeal, that party may seek recovery
    under an alternative theory. 
    Id.
     Thus, if the judgment were reversed for the reasons
    I have explained, the Blakes could, in lieu of a new trial, file a motion for rehearing
    en banc to ask the Court to instead render judgment in accordance with the
    proportionate-responsibility findings in Question 7, which is not predicated on an
    invalid theory of liability.
    11
    IV. RESPONSE TO JUSTICE WILSON’S DISSENT
    This Court has long supported a duty on an employer to properly supervise
    and train its employees. Although Justice Wilson agrees such a duty exists, he
    supports a rule that would not have allowed a separate comparative question on those
    issues in light of Werner’s stipulation that Ali was acting in the course and scope of
    his employment at the time of the accident. I would not impose such a rule inasmuch
    as the proportionate-responsibility statute requires the trier of fact to determine the
    percentage of responsibility borne by each claimant, each defendant, each settling
    person, and each properly designated responsible third party. See TEX. R. CIV. P.
    33.003.5
    This case is a clear example of why a separate submission is required. Werner
    argued that Ali was trained to slow down given the conditions, but Werner also
    argued that the speed Ali was traveling was appropriate. Ali seems to have been
    given inconsistent information from Werner, some of which contradicted his other
    training about the appropriate speed to travel in circumstances such as those
    presented here. A jury could easily conclude that while Ali was negligent in not
    slowing to a crawl, his employer was more negligent for having contradicted that
    training.
    If the Supreme Court of Texas should agree with Justice Wilson, I would urge
    the court to tell practitioners and courts the proper way to have submitted this case
    to the jury. Should the appropriate instruction include both the driver and his
    employer in one line in the charge as follows:
    5
    This issue also often arises in connection with nurses and hospitals. Sometimes the case
    only involves vicarious liability but sometimes there is an independent claim against the hospital.
    Thus, the question of whether a course-and-scope stipulation should foreclose the submission of
    the kind of apportionment question at issue has broader implications beyond cases of motor-
    vehicle accidents.
    12
    Was the negligence, if any, of Ali/Werner, a proximate cause of the
    injuries in question?
    Or should the matter be submitted with a combined question and instruction, such
    as this:
    Was the negligence of Werner, if any, a proximate cause of the injuries
    in question?
    Werner’s negligence includes, but is not limited to, the negligence, if
    any, of Ali. You are instructed that Werner’s negligence cannot be a
    proximate cause of the injuries in question unless you also find that
    Ali’s negligence was a proximate cause of the injuries.6
    V. CONCLUSION
    Because the majority has failed to address meritorious complaints that were
    preserved in the trial court, re-urged on appeal, and dictate the reversal of the trial
    court’s judgment, I respectfully dissent.
    /s/    Tracy Christopher
    Chief Justice
    En banc court consists of Chief Justice Christopher and Justices Wise, Jewell,
    Bourliot, Zimmerer, Spain, Hassan, Poissant, and Wilson. Justice Hassan authored
    the En Banc Majority Opinion, in which Justices Bourliot, Zimmerer, Spain, and
    Poissant joined. Chief Justice Christopher authored an En Banc Dissenting Opinion,
    in which Justices Wise, Jewell, and Wilson joined as to Part I and Part II.A for the
    reasons stated in page 6 and footnote 14 of Justice Wilson’s En Banc Dissenting
    Opinion. Justice Wilson authored an En Banc Dissenting Opinion, in which Justices
    Wise and Jewell joined.
    6
    This would be similar to question 10.12 in the General Negligence Pattern Jury Charge
    on negligent entrustment.
    13
    

Document Info

Docket Number: 14-18-00967-CV

Filed Date: 5/18/2023

Precedential Status: Precedential

Modified Date: 5/28/2023