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Bits & Pieces

U.S. Fire Ins. Co. v. Uribe Tucking, Inc.

United States District Court,

C.D. California.

UNITED STATES FIRE INSURANCE COMPANY, Plaintiff,

v.

URIBE TUCKING, INC. dba Alex Moving and Storage, Defendant.

 

No. SACV 11–54–JST (MLGx).

July 16, 2013.

 

John C. Doyle, Law Offices of John C. Doyle, Pasadena, CA, for Plaintiff.

 

Bryan S. Doss, Nicholas P. Roxborough, Roxborough Pomerance Nye & Adreani LLP, Woodland Hills, CA, for Defendant.

 

ORDER DENYING DEFENDANT’S MOTION FOR SUMMARY JUDGMENT

JOSEPHINE STATON TUCKER, District Judge.

I. Introduction

*1 On February 8, 2011, Plaintiff United States Fire Insurance Company filed its First Amended Complaint, the operative complaint, asserting claims for breach of contract, account stated, and declaratory relief against Defendant Uribe Trucking, Inc. (First Am. Compl. (“FAC”), Doc. 5.) Before the Court is Defendant’s Motion for Summary Judgment. (Mot., Doc. 41.) Plaintiff opposed, and Defendant replied. (Opp’n, Doc. 43; Reply, Doc. 53.) Having reviewed the papers and taken the matter under submission, the Court DENIES Defendant’s Motion for Summary Judgment.

 

II. Background

 

A. Insurance Policies and the Audits

 

Defendant is engaged in the business of moving and storing household goods. (Def.’s Statement of Uncontroverted Facts (“SUF”) ¶ 6, Doc. 41–1.) This dispute arises out of workers compensation policies Defendant purchased from Plaintiff for the period of January 2007 through January 2011. (Pl.’s Statement of Genuine Disputes (“SGI”) ¶ 2, Doc. 43.) Only “employees” were covered under the terms of the policies, (SUF ¶ 36), and the terms of the policies did not change throughout the relevant policy periods. (Id.)

 

Plaintiff claims that Defendant improperly classified its forty truck drivers as independent contractors. (FAC ¶ 5.) Plaintiff contends that the drivers are actually “employees” within the meaning of California’s Workers Compensation Act, and on that basis it seeks additional unpaid premiums for those allegedly misclassified workers.FN1 (FAC ¶ 3; SGI ¶ 3.)

 

FN1. In its FAC, U.S. Fire seeks $333,243 in unpaid premiums for the policy period covering January 2009 to January 2010, and $201,400 in unpaid premiums for the policy period of January 2010 to January 2011. (SUF ¶¶ 3–4.) In its Opposition, U.S. Fire clarifies that it is reducing the amount it is seeking based on proof of coverage that Uribe Trucking produced after mediation on April 9, 2013. It is now seeking $167,000 and $105,000 for each policy period, respectively. (SGI ¶¶ 3–4.)

 

It is undisputed that until at least 1998, Defendant hired employee truck drivers. (SGI ¶ 41.) Apparently, Defendant attempted to change that over time because—Defendant contends—by May 2010, Defendant had entered into “Independent Contractor Operating Agreements” (ICOA) with each of its 40 drivers. (SUF ¶ 8.) Plaintiff disputes this by pointing to purported deficiencies in some of the agreements.FN2

 

FN2. Plaintiff disputes that Defendant entered into independent-contractor agreements with each of its drivers by May 2010: “Some of the documents are not dated, some are incomplete, some are not signed and some show evidence of handwrioting [sic ] discrepancies in signatures from the standpoint of a non-expert.” (SGI ¶ 8.) Plaintiff then cites, unhelpfully, to three of the exhibits that are the independent-contractor agreements without pointing the Court to the purported deficiencies in those three exhibits. (See id.) The Court did note that Defendant’s Exhibit 2 is apparently undated. (See Christine Uribe Decl. Ex. 2, Doc. 41–4.) The Court did not rely upon Plaintiff’s counsel’s handwriting analysis. (See John C. Doyle Decl. ¶ 7, Doc. 43.)

 

In or around April 2008 and March 2009, Plaintiff engaged Associated Insurance Services and Professional Casualty Assurances to perform independent audits of Defendant’s facility for the purpose of determining if any additional premium was owed or if circumstances had changed regarding classification of Defendant’s employees. (SUF ¶ 38.) The parties dispute whether the auditors determined in each instance that the drivers were properly classified as independent contractors, or whether the auditors merely relied on Defendant’s assertion that the drivers were independent contractors. (See SGI ¶ 39.) In any event, those audits apparently resulted in no additional premiums being required.

 

Finally, one of Plaintiff’s in-house auditors conducted an on-site audit of Defendant’s facility on May 7, 2010, and the auditor determined that the truck drivers were actually employees and that Defendant therefore owed additional premiums. (Opp’n at 4–5; Mot. at 7; FAC ¶ 12.) FN3

 

FN3. The parties did not actually provide any evidence of this third audit. The Court could not locate on the docket or among the mandatory chambers copies provided the Maryellen Ross Declaration or the Request for Judicial Notice. While the Court is not presented with any evidence of this, that a third audit occurred is undisputed, and the Court will treat it as an undisputed fact.

 

B. The Drivers

*2 It is “customary” in the moving and storage industry to use independent contractors, (SGI ¶ 9), and it is undisputed that the drivers provide Defendant “with the flexibility to handle the seasonal demands of its shipping business.” (SUF ¶ 17.)

 

Beginning in 2007, Defendant’s drivers purchased “Occupational Accident Plans” from TransGuard Insurance Company. For the audited policy period from January 29, 2010, each of the 40 drivers had Occupational Accident Plans from TransGuard. (SGI ¶¶ 34–35.)

 

Defendant’s ICOA has an “Exclusive Possession” provision, which provides in part that, during the time the independent contractor provides services to Defendant, Defendant “shall have exclusive possession, control and use of the Equipment,” and that the contractor “shall not operate the Equipment … for any motor carrier other than” Van Line or Defendant without Defendant’s consent (and the satisfaction of other factors). (See Pl.’s Ex. 104 at USF000523, Doc. 43–1.) FN4 However, that language is immediately followed by a significant clarification: “The foregoing declarations are made in order to comply with FMCSA [Federal Motor Carrier Safety Administration] regulations (49 C.F.R. § 376.12(c) (1)) and shall not be used to classify CONTRACTOR as an employee of CARRIER.” (Id.) Indeed, 49 C.F.R. § 376.12(c) requires the “exclusive possession” language to be included in such agreements. Moreover, as the ICOA notes, § 376.12(c)(4) expressly provides:

 

FN4. Page citations to “USF ___” are to the bates numbered pages of the exhibits.

 

[n]othing in the provisions required by paragraph (c)(1) of this section is intended to affect whether the lessor or driver provided by the lessor is an independent contractor or an employee of the authorized carrier lease. An independent contractor relationship may exist when a carrier lessee complies with 49 U.S.C. [§ ] 14102 and attendant administrative requirements.

49 C.F.R. § 376.12(c)(4).

 

Defendant’s agreements with the drivers are subject to automatic renewal and are terminable by either party “at any time for any reason” by “giving oral, followed immediately by written, notice to that effect….” (Uribe Decl. Ex. 2 at 14, Doc. 45–1.)

 

Defendant does not own the trucks its drivers use. Rather, Defendant provides financing to the drivers, who purchase the trucks and make installment payments to Defendant. (Pl.’s Ex. 111 (Uribe Decl.) at 8:15–9:9, Doc. 43–2.) The drivers’ vehicles do not have any logos, decals, or other Uribe Trucking identifying marks. However, Defendant’s marks are on the trailers, which Defendant leases to the drivers. (Uribe Dec. ¶ 15, Doc. 41–3.) Defendant does not require the drivers to wear Uribe Trucking uniforms, merchandise, or monikers. (SUF ¶ 22.) FN5

 

FN5. Plaintiff disputes this: “Each driver is subject to payment of chargeback for uniforms for contractor, driver and helper(s) set forth in Uribe’s or 3d party’s Uniform Price List.” (SGI ¶ 22.) That sentence is not fully intelligible. Plaintiff cites Exhibit 103, attachment B. (See id.) But based on the Court’s review, Exhibit 103 does not have an attachment B. (See Pl.’s Exhibit 103, Doc. 43–1.) That unauthenticated document lists forty-one names (presumably Defendant’s drivers) and has an “Amount” column that is redacted. Nothing on that page identifies the data as referring to charges for uniforms. In short, Plaintiff has failed to dispute that fact.

 

Christine Uribe, the owner, treasurer, and secretary of Uribe Trucking, testified that “[e]ach driver was free to negotiate the terms of their service contracts with Uribe Trucking.” (Uribe Decl. ¶ 8, Doc. 41–3.) FN6 She also testified that drivers are at liberty to take on additional loads to fill trailers that are less than full. (SUF ¶ 15.)

 

FN6. Plaintiff purports to dispute this fact, but it did not present any evidence actually disputing it. Rather, it cited generally to the agreements the forty drivers entered into and avers simply: “Contract itself demonstrates that the parties do not have equal bargaining power.” (SGI ¶ 12.)

 

*3 At the end of each year, Defendant issues each driver a Form 1099 for their trucking services. (SUF ¶ 18.) The drivers all possess the “particular skill” to drive semi-trucks, and they are all licensed to do so by the state of California. (SUF ¶¶ 23–24.)

 

The drivers pay their own taxes and business expenses. (SGI ¶ 26.) Moreover, Christine Uribe testified that her company advises the drivers that they may hire their own helpers, and that some do in fact hire drivers to drive their vehicles. (Uribe Decl. ¶ 18.) FN7 Uribe further testified that the drivers are free to accept or decline shipments from Uribe Trucking and/or other carriers. (SUF ¶ 30.)

 

FN7. Plaintiff purports to dispute this; in fact, it merely objects to this testimony: “Absence of available evidence not explained, [sic ] no competent evidence to support the fact.” (SGI ¶ 27.) As the owner of Uribe Trucking, Christine Uribe is competent to testify as to the policies her company advises its drivers of, as well as the fact that some of her company’s drivers do in fact hire their own drivers.

 

Defendant’s drivers control the route, timing and course of the deliveries. (SUF ¶ 32.) Defendant pays its drivers based on the deliveries. Defendant first deducts the relevant installment amount and insurance premium before remitting payment for a particular delivery. (SGI ¶ 33.)

 

III. Legal Standard

In deciding a motion for summary judgment, the Court must view the evidence in the light most favorable to the non-moving party and draw all justifiable inferences in that party’s favor. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 255, 106 S.Ct. 2505, 91 L.Ed.2d 202 (1986). Summary judgment is proper “if the [moving party] shows that there is no genuine dispute as to any material fact and the [moving party] is entitled to judgment as a matter of law.” Fed.R.Civ.P. 56. A factual issue is “genuine” when there is sufficient evidence such that a reasonable trier of fact could resolve the issue in the non-movant’s favor, and an issue is “material” when its resolution might affect the outcome of the suit under the governing law. Anderson, 477 U .S. at 248.

 

The moving party bears the initial burden of demonstrating the absence of a genuine issue of fact. Celotex Corp. v. Catrett, 477 U.S. 317, 323, 106 S.Ct. 2548, 91 L.Ed.2d 265 (1986). “If a party fails to properly support an assertion of fact or fails to properly address another party’s assertion of fact …, the court may … consider the fact undisputed.” Fed.R.Civ.P. 56(e)(2). Furthermore, “Rule 56[ (a) ] FN8 mandates the entry of summary judgment … against a party who fails to make a showing sufficient to establish the existence of an element essential to that party’s case, and on which that party will bear the burden of proof at trial.” Celotex Corp. ., 477 U.S. at 322. Therefore, if the nonmovant does not make a sufficient showing to establish the elements of its claims, the Court must grant the motion. See In re Oracle Corp. Secs. Litig., 627 F.3d 376, 387 (9th Cir.2010) (“non-moving party must come forth with evidence from which a jury could reasonably render a verdict in the non-moving party’s favor”).

 

FN8. Rule 56 was amended in 2010. Subdivision (a), as amended, “carries forward the summaryjudgment standard expressed in former subdivision (c), changing only one word—genuine ‘issue’ becomes genuine ‘dispute.’ ” Fed.R.Civ.P. 56, Notes of Advisory Committee on 2010 amendments.

 

IV. Discussion

 

A. Employee / Independent Contractor Legal Standard

 

Defendant’s sole argument in support of its Motion for Summary Judgment on all of Plaintiff’s claims is that its forty drivers are independent contractors as a matter of law. The Court of Appeals for the Ninth Circuit recently clarified the framework for determining independent contractor / employee status within the framework of a summary judgment motion. See Narayan v. EGL, Inc., 616 F.3d 895 (9th Cir.2010).

 

*4 The plaintiffs in Narayan were truck drivers who worked for the defendant—a “global transportation, supply chain management and information services company.” Id. at 897. The defendant (EGL) had classified its drivers as independent contractors, and the plaintiffs brought suit, claiming they had been deprived of certain benefits under the California Labor Code, including unpaid overtime wages in light of that classification. The defendant moved for summary judgment on the ground that, pursuant to agreements it had entered into with plaintiffs, the plaintiffs were independent contractors. The district court granted the motion, and the Ninth Circuit reversed.

 

The Narayan court began by explaining that “two special circumstances [ ] are relevant to the application of [the summary judgment standard]” in a case such as this. Id. at 900. The first such “special circumstance” is the presumption of “employee” status. “As the Supreme Court of California has held, ‘[t]he rule … is that the fact that one is performing work and labor for another is prima facie evidence of employment and such person is presumed to be a servant in the absence of evidence to the contrary.’ “ Id. (quoting Robinson v. George, 16 Cal.2d 238, 242, 105 P.2d 914 (1940)) (second alterations in original).FN9 In short, the drivers are presumed to be employees of Defendant, so in the context of a summary judgment motion, Defendant “would have to establish that a jury would be compelled to find that it had established by a preponderance of the evidence that the [d]rivers were independent contractors.” Id. The Ninth Circuit then emphasized that “[t]his hurdle is particularly difficult for [the defendant] to overcome in light of the second special consideration in this case, namely the multi-faceted test that applies in resolving the issue whether the Drivers are employees.” Id.

 

FN9. The question may arise whether the presumption applies when the plaintiff is not the employee. Significantly, the plaintiff in Robinson was injured when he was struck by a car driven by the defendant Melvin George. 16 Cal.2d at 240, 105 P.2d 914. The trial court nonsuited the plaintiff on his claim against defendant Citizen–News Company, concluding that George was an independent contractor for, not an employee of, Citizen–News. Id. In that context, the California Supreme Court announced the “employee” presumption and reversed the nonsuit in favor of defendant Citizen–News. Id. at 247, 105 P.2d 914.

 

“The Supreme Court of California has enumerated a number of indicia of an employment relationship, the most important of which is the ‘right to discharge at will, without cause.’ ” Id. (quoting S.G. Borello & Sons, Inc. v. Dep’t of Indus. Relations, 48 Cal.3d 341, 350, 256 Cal.Rptr. 543, 769 P.2d 399 (1989)). The Borello court also endorsed the following factors, taken from the Restatement (Second) of Agency:

 

(a) whether the one performing services is engaged in a distinct occupation or business; (b) the kind of occupation, with reference to whether, in the locality, the work is usually done under the direction of the principal or by a specialist without supervision; (c) the skill required in the particular occupation; (d) whether the principal or the worker supplies the instrumentalities, tools, and the place of work for the person doing the work; (e) the length of time for which the services are to be performed; (f) the method of payment, whether by the time or by the job; (g) whether or not the work is a part of the regular business of the principal; and (h) whether or not the parties believe they are creating the relationship of employer-employee.

 

*5 Borello, 48 Cal.3d at 351, 256 Cal.Rptr. 543, 769 P.2d 399; see also Narayan, 616 F.3d at 900 (quoting id.). Finally, the Borello court “approvingly cited five factors adopted by cases in other jurisdictions”:

(1) the alleged employee’s opportunity for profit or loss depending on his managerial skill; (2) the alleged employee’s investment in equipment or materials required for his task, or his employment of helpers; (3) whether the service rendered requires a special skill; (4) the degree of permanence of the working relationship; and (5) whether the service rendered is an integral part of the alleged employer’s business.

 

Narayan, 616 F.3d at 900–01 (quoting Borello, 48 Cal.3d at 354–55, 256 Cal.Rptr. 543, 769 P.2d 399).

 

The Narayan court then explained how the relevant factors are to be applied: “All factors were held to be ‘logically pertinent to the inherently difficult determination whether a provider of service is an employee or an excluded independent contractor.’ Nevertheless, ‘the individual factors cannot be applied mechanically as separate tests; they are intertwined and their weight depends on particular combinations.’ “ Id. at 901 (internal citations omitted). “We must assess and weigh all of the incidents of the relationship with the understanding that no one factor is decisive, and that it is the rare case where the various factors will point with unanimity in one direction or the other.” Id. (internal citations and quotation marks omitted).

 

Finally, the Narayan court explained: “we cannot readily say … that the ultimate conclusion as to whether the workers are employees or independent contractors is one of law. The drawing of inferences from subordinate to ultimate facts is a task for the trier of fact—if, under the governing legal rule, the inferences are subject to legitimate dispute.” Id. (internal citation and quotation marks omitted).

 

With the relevant standard set forth, the Court turns to the application of the factors to the instant case.

 

B. Analysis

Summary judgment is not appropriate in this case. First, while Defendant entered into independent-contractor agreements with the parties, the California Supreme Court made clear that “[t]he label placed by the parties on their relationship is not dispositive, and subterfuges are not countenanced.”   Borello, 48 Cal.3d at 349, 256 Cal.Rptr. 543, 769 P.2d 399; see also Narayan, 616 F.3d at 903–04 (“That the [d]rivers here had contracts ‘expressly acknowledging that they were independent contractors’ is simply not dispositive under California’s test of employment.”).

 

Next, as described above, Defendant’s agreements with the drivers are subject to automatic renewal and are terminable by either party “at any time for any reason by giving oral, followed immediately by written, notice to that effect….” (Uribe Decl. Ex. 2 at 14, Doc. 45–1.) The Narayan court found such a term to be significant: “Significantly, the contracts signed by the plaintiff [d]rivers contained automatic renewal clauses and could be terminated by either party upon thirty-days notice or upon breach of the agreement. Such an agreement is a substantial indicator of an at-will employment relationship.” Narayan, 616 F.3d at 902–03 (gathering cases (emphasis added)).FN10

 

FN10. Defendant relies heavily upon State Compensation Insurance Fund v. Brown, 32 Cal.App.4th 188, 38 Cal.Rptr.2d 98 (1995). Brown is markedly similar. That case was brought by a workers compensation insurer against an employer for unpaid workers compensation premiums based upon the employer’s classification of its drivers as independent contractors. The Brown court affirmed the trial court’s grant of summary judgment in favor of the defendant, concluding as a matter of law the defendant’s drivers were independent contractors. The Brown court concluded that the fact that the independent-contractor agreements in that case could be terminated at will by either party was “consistent with” at-will employment or independent contractor status. Yet the Narayan court concluded that fact weighed significantly in favor of at-will employment, and it acknowledged that the Brown court held otherwise. See Narayan, 616 F.3d at 903–04. Accordingly, in the summary judgment context, Brown has limited persuasive value in this Court.

 

*6 Because Defendant is in the business of transporting and storing household goods, there is, at a minimum, a legitimate inference that the trucking services the drivers provide are “essential.” Cf. Narayan, 616 F.3d at 901 (holding that the “delivery services provided by the [defendant’s] drivers were an essential part of the regular business of [the defendant]”). FN11

 

FN11. The defendant in Brown was a “broker” in “transporting intermodal freight.” Brown, 32 Cal.App.4th at 195, 38 Cal.Rptr.2d 98.

 

Moreover, while the drivers were permitted to determine the route they would take, the Narayan court accorded this little or no weight: “the ability to determine a driving route is simply a freedom inherent in the nature of the work and not determinative of the employment relation.” Narayan, 616 F.3d at 904 (internal citation and quotation marks omitted). The court continued: “[The] cases simply reflect the common-sense rule that, ‘[i]f an employment relationship exists, the fact that a certain amount of freedom is allowed or is inherent in the nature of the work involved does not change the character of the relationship, particularly where the employer has general supervision and control.’ ” Id. (quoting Air Couriers Int’l v. Emp’t Dev. Dep’t, 150 Cal.App.4th 923, 934, 59 Cal.Rptr.3d 37 (2007) (second alteration in original)). Finally, Defendant provides its drivers with the trailers (via lease), and those trailers feature Defendant’s logo. (Uribe Decl. ¶ 15.)

 

Of course, some of the relevant factors are strong indicia of independent contractor status. For example, it is undisputed that the drivers possess a specialized skill and require a special driver’s license to operate their trucks. See Brown, 32 Cal.App.4th at 202–03, 38 Cal.Rptr.2d 98 (“truck driving-while perhaps not a skilled craft-requires abilities beyond those possessed by a general laborer [ ] or, indeed, possessors of ordinary driver’s licenses”).

 

Nevertheless, summary judgment is inappropriate in this case because at least some of “[t]he inferences here are subject to legitimate dispute.” Narayan, 616 F.3d at 901. This is particularly true in light of the presumption of employment, and the presence of a “substantial indicator” of employment-Defendant’s unfettered right to terminate at any time. See id. at 903–04.

 

Defendant’s reliance on Ruiz v. Affinity Logistics Corp., 887 F.Supp.2d 1034 (S.D.Cal.2012), is misplaced because the court rendered its decision in that case following a bench trial, where the court was free, and required, to weigh evidence, make credibility determinations, and draw inferences. Defendant also relies upon Taylor v. Waddell & Reed, Inc., No. 09–cv–02909 AJB (WVG), 2013 U.S. Dist. LEXIS 14939, *1 (S.D.Cal. Feb. 1, 2013). The Court is not persuaded by that decision because it did not discuss the Narayan decision in applying the Borello factors. See id. at *16–*22, 256 Cal.Rptr. 543, 769 P.2d 399.

 

V. Conclusion

For the foregoing reasons, the Court DENIES Defendant’s Motion for Summary Judgment.

Manjarrez v. Georgia-Pacific LLC

United States District Court,

N.D. Illinois,

Eastern Division.

Peter MANJARREZ, Plaintiff,

v.

GEORGIA–PACIFIC LLC, and Illinois Central Railroad Company, Defendants.

 

No. 12 C 1257.

July 16, 2013.

 

George G. Argionis, Alfred Angelo Koritsaris, Argionis & Associates LLC, Chicago, IL, for Plaintiff.

 

Eric F. Quandt, George D. Sax, Scharf Banks Marmor LLC, Chicago, IL, for Defendants.

 

MEMORANDUM OPINION AND ORDER

RONALD A. GUZMÁN, District Judge.

*1 Peter Manjarrez filed suit against several entities, including Georgia–Pacific LLC (“GP”), alleging negligence with respect to a truck accident that took place at a rail yard in Harvey, Illinois. GP argues that Plaintiff’s causation expert’s testimony is inadmissible and without it, GP is entitled to summary judgment. For the reasons stated below, GP’s motion is denied.

 

Facts

On August 16, 2010, Plaintiff, a truck driver for Third–Party Defendant ITS Technologies & Logistics (“ITS”), was operating a hostler truck at a rail yard in Harvey, Illinois, when it turned over on its side. (Pl.’s Resp. GP’s LR 56.1 Stmt., Dkt. # 165, ¶ 9 .) The hostler was carrying a GP cargo container loaded with five GP paper rolls that had been loaded into the container on August 11, 2010 by personnel at GP Monticello LLC in Mississippi. (Id.¶ 10.) The paper rolls collectively weighed over 36,000 pounds. (Id .) The container was driven from GP’s Monticello premises on August 11, 2010 by Frankie Hollingbird. (Id.)

 

Hollingbird drove the truck 60 miles from Monticello to a rail yard in Richland, Mississippi, where the container was placed on a train bound for the Harvey yard. (Id. ¶ 11.) There is no evidence that a load shift occurred during the time Hollingbird drove the container to Richland. (Id.) By August 16, 2010, the container arrived at the Harvey, Illinois yard where ITS moved it from the rail car to Plaintiff’s hostler FN1 via a reach stacker. (Id. ¶ 12.)

 

FN1. While the term hostler is often used to describe a person who drives trucks or tractors at vehicle parking or docking areas to move or position them, see http://www.occupationalinfo.org/90/909663010, the parties use the term here to refer to the actual truck that Plaintiff drove, to which the container at issue was attached.

 

The hostler tipped over while Plaintiff was backing up at a slight angle without a spotter at a speed of approximately 2 to 3 miles per hour. (Id. ¶ 13.) Over a year before the accident at issue, in response to a prior tip over of a hostler carrying a loaded container, Plaintiff’s supervisors had advised “all employees” that they should back up as straight as they could because “we have no idea what these cargo containers have in them at any time.” (Id. ¶ 14.) Plaintiff alleges that he operated the hostler safely and that GP’s purported improper loading of the container in Mississippi caused the truck to tip over. (Id . ¶ 15.)

 

Plaintiff disclosed a sole liability expert, Richard Norton, a former flatbed truck driver with no college education. (Id. ¶ 16.) He opined in his written report that GP’s loading pattern was the “cause of the hostler and container tip over that occurred on August 16, 2010” and claimed to hold his opinion “within a reasonable degree of certainty.” Specifically, Norton’s report stated that all of the following were causes for the tip over:

 

1. The paper rolls were loaded improperly under the Association of American Railroad Intermodal Loading Guide.

 

2. The paper rolls were loaded with unequal weight with more weight being loaded on the left or driver’s side of the container.

 

3. There were no void fillers used within the container to prevent the paper rolls from shifting during transport.

 

*2 4. The paper roll closest to the nose was loaded hard to the nose in the left corner of the container rather than being centered hard to the nose.

 

5. There was no wood blocking, or bracing used to further prevent the paper rolls shifting or moving during transport.

 

6. GP failed to properly train their personnel on the proper method to load, brace and block five (5) rolls of 58.5″ diameter corrugated paper.

 

(Norton Expert Opinion, GP Ex. 5, Dkt. # 156–3, at 4.)

 

Plaintiff does not have a specific background in engineering or physics, or specialties that would allow him to do accident reconstruction analysis. (Id.¶ 18.) Norton testified that he has never driven a spotting truck or hostler in a rail yard, but has had experience driving a hostler hooked up to a container in a truck yard. (Id. ¶ 22.) Norton hauled empty intermodal containers during his prior truck driving career, but not loaded containers. (Id. ¶ 23.) Aside from bringing empty intermodal containers to a rail yard, Norton was never involved with the kind of containers at issue in this case. (Id.) Norton became familiar with the Intermodal Loading Guide for the purpose of reviewing materials in this case, but has not used the Intermodal Loading Guide in his own practice or since he began as a trucker. (Id. ¶ 25.)

 

GP’s liability expert is S. Paul Singh, Ph.D., CPP, an engineer and Professor Emeritus at Michigan State University. (Id. ¶ 26.)

 

Analysis

 

Is Plaintiff’s Expert Testimony Admissible?

 

GP challenges Plaintiff’s causation expert on the ground that he is unqualified, his opinion is unreliable and the testimony will not assist the jury. Federal Rule of Evidence (“Rule”) 702 governs the use and admissibility of expert testimony. “The district court functions as a gatekeeper with respect to testimony proffered under Rule 702 to ensure that the testimony is sufficiently reliable to qualify for admission.” Mihailovich v. Laatsch, 359 F.3d 892, 918 (7th Cir.2004) (citing Kumho Tire Co. v. Carmichael, 526 U.S. 137, 147, 119 S.Ct. 1167, 143 L.Ed.2d 238 (1999)); see also Daubert v. Merrell Dow Pharm., 509 U.S. 579, 113 S.Ct. 2786, 125 L.Ed.2d 469 (1993). As noted by the Seventh Circuit:

 

Under [Rule] 702 and Daubert, the district court must engage in a three-step analysis before admitting expert testimony. It must determine whether the witness is qualified; whether the expert’s methodology is scientifically reliable; and whether the testimony will “assist the trier of fact to understand the evidence or to determine a fact in issue.”

 

Myers v. Ill. Cent. R. Co., 629 F.3d 639, 644 (7th Cir.2010) (citation omitted). The party seeking to introduce the expert testimony bears the burden of proving by a preponderance of the evidence that the testimony satisfies Rule 702. See Lewis v. CITGO Petroleum Corp., 561 F.3d 698, 705 (7th Cir.2009).

 

1. Is Plaintiff’s expert qualified?

GP first contends that Norton is unqualified to offer testimony on how the accident was caused because he has no college degree and testified that he has no specific background in engineering, physics, or accident reconstruction analysis. Under Rule 702, a party may introduce an expert opinion if the witness has the requisite “knowledge, skill, experience, training, or education.” Anyone who has relevant expertise and can offer opinion testimony that is helpful to a judge or jury may qualify as an expert witness. See Tuf Racing Prod., Inc. v. Am. Suzuki Motor Corp., 223 F.3d 585, 591 (7th Cir.2000). Thus, in assessing an expert’s qualifications, a court should consider the proposed expert’s full range of education, experience, and training. LG Elec. U.S.A., Inc. v. Whirlpool Corp., 661 F.Supp.2d 940, 951 (N.D.Ill.2009).

 

*3 In support of his expert, Plaintiff notes that Norton has the following background and qualifications, among other things:

 

• He has worked in the commercial transportation industry for over 37 years.

 

• He has several professional affiliations, including being a member of the Washington Trucking Association, the North American Transportation Management Institute, and the Accident Reconstruction Network.

 

• He has served as a safety and training instructor for the commercial trucking industry since 1993.

 

• He has received instruction and training regarding the North American Standards of Load Securement and is familiar with the Association of American Railroads Intermodal Loading Guide.

 

• He served as the Safety Director for Sound Delivery Service, where he taught load securement, including how to spot unsafe loads and how to secure loads to prevent movement while in transit.

 

 

(Pl.’s Resp., Dkt. # 167, at 6; Norton Expert Opinion, GP Ex. 5, Dkt. # 156–3, at 1.) Norton also states in his resume that he has investigated or analyzed over 450 large truck accidents and has acted as an expert witness in at least eleven cases. (Norton Expert Opinion, GP Ex. 5, Dkt. # 156–3, at 1, 2.)

 

Relying on this Court’s decision in Traharne v. Wayne Scott Fetzer Co., 156 F.Supp.2d 717, 721 (N.D.Ill.2001), GP contends that Norton is unqualified to give expert testimony. The Court, however, finds Traharne distinguishable. In that case, the decedent had been electrocuted when he attempted to use a sump pump to drain water from a swimming pool. Id. at 719. The plaintiff, the decedent’s sister, asserted that the pump should have had a supplemental restraint to “protect against the possibility that the pump’s strain relief clamp would fail and allow water to enter the pump, become electrified, and expose the [user] to electric shock.” Id. The plaintiff hired an expert to design a supplemental restraint system for the pump and estimate the cost for manufacturing and shipping the part. Id. at 720. This Court agreed with the magistrate judge’s ruling that the expert was not qualified to offer the opinion he was giving, stating:

 

[The expert] does not have any engineering design or physics degrees and has had no training in mechanical or electrical engineering. [The expert], in fact, is not even a college graduate. He completed two years of general studies at the University of Illinois. [The expert] has not published or lectured on any subject involving sump pump design or safety. [The expert] also has no experience or familiarity with the sump pump manufacturing industry. He has never before designed a sump pump or a sump pump strain relief system.

 

Id. at 721.

 

Here, however, Norton is not designing or engineering an alternative mechanism as the expert in Traharne did. Thus, the concern with specific knowledge of engineering principles is not present here. Norton has been hired to testify as to load securement and the cause of the tip over due to load shift. He has worked in the commercial trucking industry for over 37 years, received training regarding the North American Standards of Load Securement and has taught load securement. Moreover, he has experience driving a hostler truck. The Court concludes that Norton is qualified to testify to the relevant issues.   Spearman Indus. Inc. v. St. Paul Fire and Marine Ins. Co., 138 F.Supp.2d 1088, 1096 (N.D.Ill.2001) (rejecting challenge to qualifications of roofing expert, finding that proposed expert’s “practical experience [was] extensive,” he “grew up in the roofing business” and “worked in various phases of the roofing industry his entire life”). GP may cross-examine Norton to highlight any perceived weaknesses in his experience and qualifications.

 

2. Is his opinion reliable?

*4 Rule 702 requires that the expert explain the “methodologies and principles” that support his opinion, and he cannot simply assert a “bottom line.” Minix v. Canarecci, 597 F.3d 824, 835 (7th Cir.2010); see also United States v. Noel, 581 F.3d 490, 497 (7th Cir.2009) (rejecting expert testimony where expert “in essence, told the jury nothing more than, ‘I am familiar with the definition of child pornography, and this meets that definition because I said so’ ”). Nevertheless, the Committee Advisory notes for Rule 702 state that “[i]n certain fields, experience is the predominate, if not sole, basis for a great deal of reliable testimony.” Fed.R.Evid. 702 advisory committee’s note.

 

GP argues that Norton’s causation testimony is not reliable because it has no scientific basis and is premised on assumptions rather than an underlying methodology. GP notes that in his deposition, when asked if there was physical evidence to support his opinion of a load shift, Norton responded, “It’s based on my experience with loads and with the blocking and bracing, I think that would be a good assumption.” (Norton Dep., Pl.’s Ex. 13, Dkt. # 172–6, at 89:5–7.) Norton also offered the following testimony:

 

Q: Can you tell me to a reasonable degree of scientific and engineering certainty what the cause or causes were of why this hostler and container tipped over?

 

A: Engineering certainty, I don’t have an engineering degree. I can’t give you an opinion on that….

 

 

A: The—all the depositions that I read describing the way the load was loaded point me to the fact that yes, it was off balance, unbalanced and it was not properly blocked and braced. Those two things combined lead me to believe that that was the cause of that tip over.

 

Q: Have you done any kind of an engineering or scientific analysis as far as weight distribution, centers of gravity, centripetal forces, degree of radius of turns or any of alike in support of any opinion as to the cause or causes of why this tipped over?

 

A: No.

 

Q: And that is something that would be outside your expertise; correct?

 

A: Yes.

 

(Id. at 89:19–90:19.) Upon questioning by his own attorney, when asked if he had experience securing loads into containers, Norton stated that he had experience with load securement on flatbeds and vans, but not containers. (Id. at 100:10–101:4.)

 

In his report, Norton indicates that he formed his opinion by reviewing the following documents, among others:

 

• Equipment Accident Report

 

• All incident reports

 

• Report of CN police officer investigating the incident

 

• Bill of Lading

 

• Photographs of the container and materials inside

 

• CAD drawings prepared by John Green depicting load patterns

 

• Association of American Railroads Intermodal Loading Guide

 

(Norton Expert Opinion, GP Ex. 5, Dkt. # 156–3, at 1.) He also reviewed the depositions of several individuals including, among others: (1) Plaintiff; (2) John Green, Senior Manager of Damage Prevention and Freight Claims for ICR; (3) Eric Graf, Special Agent with the ICR Police Department; and (4) Robert Jordan, ITS’s Terminal Manager for the Harvey Yard. Green, Graf and Jordan all participated in the investigation and/or reporting of the accident at issue. (Id.)

 

*5 While Norton may not have used a scientific method in arriving at his conclusion, his opinion is based on his experience in load securement and his review of the relevant documents and testimony about the accident. Traharne, 156 F.Supp.2d at 724 (denying motion to exclude expert testimony on ground that expert did not examine pump, stating that expert’s opinion was “based on documents given to him, his experience, specialized knowledge, academic training, and observations and research he has previously conducted” and any flaws in expert’s analysis were to be raised on cross-examination). Again, GP can fully explore any perceived weaknesses or unreliability in Norton’s opinion during cross-examination.

 

3. Will Norton’s testimony assist the jury?

Finally, GP asserts that Norton’s testimony will not assist the jury because he is not qualified and his conclusions are based on assumptions. Because the Court has already discussed these grounds for exclusion, it does not address them again here. Moreover, while GP touts the qualifications of its expert relative to Plaintiff’s, it is not this Court’s job to make credibility determinations regarding the expert’s opinions on summary judgment.   Chamberlain Grp., Inc. v. Lear Corp., 756 F.Supp.2d 938, 951 (N.D.Ill.2010) (“It is indeed true that a ‘battle of the experts’ can preclude summary judgment”).

 

Plaintiff, while asserting that his expert’s testimony is admissible, also argues that expert testimony is unnecessary in this case and even without such testimony, summary judgment should be denied since a genuine issue of material fact exists as to causation. The Court need not cover this argument because it has concluded that Norton’s testimony is admissible.

 

Conclusion

For the reasons stated above, the Court does not exclude Norton’s testimony. Accordingly, GP’s motion for summary judgment on the ground that Plaintiff has no admissible expert testimony causally connecting the alleged negligence of GP to his purported injuries is denied.

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