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Bits & Pieces

Brown v. QBE Ins. Corp.

Court of Appeals of Georgia.

BROWN

v.

QBE INSURANCE CORPORATION.

QBE Insurance Corporation.

v.

Brown.

Nos. A08A2416, A08A2417.

 

March 26, 2009.

 

ELLINGTON, Judge.

 

Jeremiah Brown was seriously injured in a collision involving his automobile and a tractor-trailer owned by Browning Trucking Company. Brown sued the trucking company and others for damages and, during the course of that litigation, the Superior Court of Laurens County ruled that an insurance policy issued by the trucking company’s insurer, QBE Insurance Corporation, was in effect at the time of the collision. The court ruled that the policy was still in effect because the collision occurred after the trucking company’s insurance had expired but before QBE properly notified the appropriate state agency of the policy’s expiration. Following the court’s ruling, QBE filed a counterclaim seeking a declaratory judgment, asking the court to determine whether it would be responsible to its insured for $1,000,000 in coverage, the amount of coverage provided by the policy, or for only the statutory minimum amount of coverage. The court granted summary judgment to QBE and ruled that QBE would only be responsible for the statutory limits of coverage.

 

In Case No. A08A2416, Brown appeals from the trial court’s grant of summary judgment to QBE on its counterclaim for a declaratory judgment. In Case No. A08A2417, QBE cross-appeals from the trial court’s ruling that the insurance policy was in effect at the time of the collision. Because we conclude that the court erred in finding that the insurance policy was in effect at the time of the collision, we reverse the court’s order in Case No. A08A2417.Thus, pursuant to our decision, it is unnecessary for us to reach the issues in Case No. A08A2416, because the question regarding the limits of coverage for which QBE would be responsible is moot.

 

Case No. A08A2417.

 

1. QBE contends that the court erred in finding that the insurance policy was still in effect at the time of the collision, arguing that the evidence showed it had complied with the requirements for notifying the agency that it no longer insured the trucking company. Specifically, QBE contends that the court erred in finding that the document originally filed by QBE to notify the agency that the policy was about to expire was not in an “acceptable form” when the agency originally received it in 2002 and that, consequently, the actual receipt date of the form was not until March 29, 2005, when QBE resubmitted the form to the agency. For the following reasons, we agree with QBE’s contentions.

 

Applicable statutes and regulations.In order to properly address QBE’s arguments, we must first look at the relevant statutes and regulations. The Motor Carrier Act of 1931, OCGA § 46-7-1 et seq., gave the Georgia Public Service Commission (“PSC”) “the power to regulate the business of persons engaged in the transportation of persons and property for hire on any public highway” in Georgia.In July 2001, the Georgia General Assembly passed legislation that transferred responsibility for the regulation of motor carriers from the PSC to the Department of Motor Vehicle Safety (“DMVS”). Following the transfer, a motor carrier had to either file a bond or have a certificate of liability insurance, designated as “Form E,” on file with the DMVS before the DMVS was authorized to issue the carrier a certificate that allowed it to operate in the state.Once the Form E was on file, the motor carrier’s liability insurance remained in effect until 30 days after the DMVS received a separate form, designated as “Form K,” from the insurer notifying the DMVS that the insurance policy had been cancelled or was about to expire.Therefore, until the DMVS received a completed Form K from the insurer, the insured’s policy remained in effect, even if the insured failed to renew the policy or pay premiums on it. See DeHart v. Liberty Mutual Ins. Co., 270 Ga. 381, 385-386, 509 S.E.2d 913 (1998) (discussing the commission’s “continuing coverage” provision and stating that, until the insurer gives proper notice to the commission, “the policy is effective for the benefit of the public.”) (punctuation and footnote omitted).

 

QBE’s insurance policy and its filing of the Form K with the DMVS. Turning to the record in this case, it shows the following undisputed facts. On May 14, 2001, QBE issued a motor carrier insurance policy to Browning Trucking Company; the policy’s expiration date was May 14, 2002. On May 21, 2001, QBE filed a form (“Form E”) certifying the coverage with the DMVS, so that Browning could legally operate its trucking business in Georgia. On March 25, 2002, QBE filed a Form K with the DMVS which notified the agency that the policy was going to expire on May 14, 2002. The form complied with the PSC’s Transportation Rule 7-2.6(b) and (c)(3) and identified the trucking company, insurance company, policy number and cancellation date of the policy, although QBE had written in a space near the top that it was filed with the “Georgia Public Service Commission” instead of the “DMVS.”  A DMVS employee stamped the form as having been filed in the DMVS office on March 25, 2002. The DMVS did not enter the filing of the Form K in its computer database, though, or put a copy of the form in its file on Browning Trucking Company.

 

DMVS procedures for handling a Form K in 2002.Betty Dewberry, who worked as the lead operator in registration at the PSC from 1993 until 2000 and at the DMVS from 2000 until May 2005, testified about how she handled Form K’s in 2002. According to Dewberry, after the DMVS took over the responsibility for administering Forms E and K, if an insurance company filed a Form K that referred to the “PSC” instead of the “DMVS,” the agency would send the Form K back to the insurance company with directions to change the “PSC” to read “DMVS” and to refile the form. Then, when the insurance company returned the Form K to the DMVS, the agency would enter the form into its database and would use the original stamped date as the date the form was filed. Dewberry testified that it was “state policy” to honor the date the Form K was first filed with the DMVS. Dewberry also testified that the critical information on the Form K was the expiration date of the insurance policy; everything else could be changed and the DMVS would still honor the original date it had received the form. There was no evidence that the reference to the “PSC,” or a later amendment marking through the “PSC” and writing in “DMVS,” invalidated the Form K. Dewberry and other former DMVS employees who were deposed admitted that they were unaware of any written policies or procedures as to whether the agency should accept or reject Form K’s that complied with the PSC’s rules but which contained a reference to the “PSC” instead of the “DMVS” and that they did not receive any specific training on how to handle this situation.

 

As to the Form K at issue in this case, none of the former DMVS employees remembered seeing or handling the form in March 2002, nor did they know what happened to the form after March 2002. Dewberry admitted that she was just assuming that a DMVS employee had sent the Form K back to QBE in March 2002. There are no notes in the DMVS’s file for Browning Trucking Company nor any other evidence showing that the DMVS actually sent the form back to QBE or otherwise demonstrating what happened to the Form K after QBE filed it with the DMVS in March 2002.

 

The collision and the resulting personal injury suit.On June 11, 2003, almost fifteen months after QBE had filed the Form K notifying the DMVS that its insurance policy covering Browning Trucking Company was going to expire on May 14, 2002, a Browning Trucking Company tractor-trailer collided with Jeremiah Brown’s car, resulting in serious injuries to Brown. On February 11, 2005, Brown filed a personal injury suit against Browning Trucking Company and the truck driver, as well as QBE and two other insurance companies. QBE answered and denied that it was a proper party to the suit, averring that it did not have a policy of insurance in effect for the trucking company or driver on the date of the collision. QBE contacted the DMVS about the Form K it had filed in 2002 and provided the agency with a stamped copy of the form, which showed the March 2002 filing date. Dewberry instructed QBE to cross out the reference to the “PSC” on the form and to write in “DMVS.” After QBE complied, Dewberry entered the Form K into its computer system reflecting a “received on” date of March 25, 2002.

 

Relying upon this evidence, QBE filed a motion for summary judgment, and the trial court granted the motion on February 28, 2006. According to the court’s order, the undisputed evidence showed that QBE timely submitted the Form K before it discontinued insurance coverage for Browning Trucking and, even though there was an amendable error on the form that QBE fixed after Brown filed suit, state policy required the effective date of such notice to be the date of QBE’s initial submission of the Form K. Thus, the court concluded that QBE did not cover Browning Trucking at the time of the collision and could not be held responsible for any resulting damages.

 

The Georgia Department of Revenue’s alteration of the agency database and its effect on the trial court’s rulings.Between the time Brown filed his suit and the court granted summary judgment to QBE, the Georgia General Assembly amended the Code to eliminate the DMVS and to substitute the Department of Revenue (“DOR”) as the successor agency that was responsible for certifying motor carriers.The amendment became effective on July 1, 2005.On April 5, 2006, after the trial court had granted summary judgment to QBE, Brown’s counsel contacted the DOR and asked it to revise its records concerning Browning Trucking to reflect that QBE’s Form K was formally filed in March 2005, after the collision at issue, instead of in March 2002, as shown on the form itself. According to a letter by Douglas Hooper, the Director of the DOR’s Motor Vehicle Division, Hooper agreed to alter the agency’s records to show the March 2005 filing date “because the evidence is that [QBE] failed to return a form that [had] been incorrectly completed and, therefore, failed to file the required [Form K] when the policy was cancelled in 2002.”Even though Hooper admitted in his letter that QBE’s Form K complied with the specific language of PSC Transportation Rule 7-2.6 when QBE filed it in March 2002, he still concluded that the DOR had “a duty to revise its record to reflect the actual date of receipt of the correct Form K” in March 2005. During his deposition, Hooper again admitted that QBE’s Form K complied with PSC Transportation Rule 7-2.6 when QBE filed the form in 2002. He also admitted that, although he had previously worked at the DMVS, he had no personal knowledge of the March 2002 filing of QBE’s Form K, could not remember if he had consulted with any agency employees who had handled the form in 2002 before he wrote the letter and altered the agency’s records, and did not keep a record of any investigation he may have conducted regarding the filing of the form. In addition, Hooper admitted that he did not think that the agency had any written policies in place in 2002 regarding which Form K’s to accept and which to reject. Moreover, Hooper admitted that he was not aware of any agency policy which prohibited Dewberry from backdating the agency’s computer records in 2005 to show that QBE had filed the form in 2002.

 

Relying upon Hooper’s letter and Hooper’s alteration of the DOR’s records, however, Brown filed a motion to reconsider or vacate the court’s grant of summary judgment to QBE, and the court granted Brown’s motion and set aside its order. The court then conducted a bench trial on the issue of when QBE had filed the Form K with the DMVS. On March 27, 2008, the court entered an order finding that the Form K had not been in an “acceptable form” when QBE originally filed it with the DMVS and that, consequently, “the effective date of the Form K filed with the DMVS was March 29, 2005.”Thus, under the continuing coverage provision of PSC Transportation Rule 7-2.6(b), QBE’s policy covering Browning Trucking was still effective on June 11, 2003, the day Brown was injured in the collision.

 

(a) The trial court erred in concluding that QBE’s Form K was not in “acceptable form” when originally filed with the DMVS. It is undisputed that QBE’s Form K complied with the PSC’s Transportation Rule 7-2.6 and that QBE timely filed it with the proper agency, the DMVS, in 2002, even though QBE referenced the “PSC” at the top of the form. Dewberry testified that the only critical information on the Form K was the date the policy was to expire; as long as that was correct and the form was stamped as received by the agency, all other information could be altered and the agency would still honor the original date it had been received. Given the undisputed evidence that QBE’s Form K complied with the applicable agency rules and that a reference to the “PSC” instead of the “DMVS” was something that could be changed without affecting the original filing date of the form, the evidence demands a finding that QBE’s single reference to the “PSC” (made just months after the DMVS took over the functions of the PSC and while the applicable rules still directed insurers to file the Form K with the PSC) did not affect the validity of the form. Therefore, the court erred in finding that QBE’s Form K was not in acceptable form when filed in 2002.

 

(b) The trial court’s ruling that the effective date of QBE’s Form K was March 29, 2005, which was based upon a finding as a matter of fact that the DMVS had sent the Form K back to QBE in March 2002 to be corrected and that QBE failed to timely resubmit the amended form, was unsupported by any evidence and, therefore, was clearly erroneous.

 

In Georgia, “a document is considered filed when it is delivered to and received by the proper official to be kept on file…. Once received, it [is] the [agency’s] responsibility to ensure that the form [is] properly processed.”(Punctuation and footnotes omitted.) Thompson v. Gen. Security Ins. Co., 286 Ga.App. at 587(1), 649 S.E.2d 736.See also Valentine v. Hammill, 258 Ga. 582, 582-583, 372 S.E.2d 435 (1988) (“It is a well established rule in Georgia that a paper is said to be filed, when it is delivered to the proper officer, and by him received to be kept on file.”) (citation and punctuation omitted). Thus, the fact that the Form K does not appear in the agency’s files or in its computer records does not negate the fact that the undisputed direct evidence shows that QBE filed the form with the DMVS in March 2002. See Thompson v. Gen. Security Ins. Co., 286 Ga.App. at 587(1), 649 S.E.2d 736 (because the insurance company which had covered the motor carrier presented direct evidence that it filed a Form K with the PSC in 2001, prior to the collision which caused the plaintiff’s injuries, it was entitled to summary judgment on the plaintiff’s claims, even though the PSC had no record in its files or computer that it had received the form).

 

Once the DMVS received the form from QBE in March 2002, it became responsible for ensuring that it properly processed the form. Id. Brown, as the plaintiff claiming that the insurance was still in effect at the time of the collision under the continuing coverage doctrine, had the burden of proving what he claims happened to the form after QBE filed it in March 2002: that the DMVS rejected the form and sent it back to QBE and that QBE failed to resubmit the form in a timely manner. Brown failed to present any competent evidence to support such a finding.

 

The undisputed evidence in this case showed that there were no written policies or procedures in place at the DMVS in 2002 to deal with a Form K that fully complied with the applicable rules and was stamped as filed in the DMVS office, but which contained a single reference to the “PSC” instead of the “DMVS.” Even assuming without deciding, however, that the DMVS was authorized to reject QBE’s Form K under these circumstances after it assumed control over the document, there is no competent evidence to show that the DMVS, in fact, rejected the form and sent it back to QBE for correction. There are no notations in the agency’s file on the trucking company or the agency’s computer system, nor any records of any correspondence between the DMVS and QBE, concerning the agency’s handling of the Form K between March 2002 and March 2005.Further, former DMVS employee Dewberry admitted that she did not have any actual knowledge about QBE’s Form K and only “assumed” that another, unidentified DMVS employee returned the form to QBE in March 2002. Given the lack of any documentation in the agency’s files regarding the handling of the form after the agency assumed control over it in March 2002, however, there is nothing to prove that it is more likely that the agency mailed the form back to QBE to be amended than that the agency lost or misfiled the form.

 

Thus, the court’s finding that the DMVS sent the Form K back to QBE and that QBE failed to timely correct and resubmit it to the agency is based solely upon mere conjecture by an employee who admittedly had no memory of handling the form in 2002 and who only assumed that another, unidentified employee acted in accord with her understanding of unwritten policies and procedures. Therefore, the court’s finding cannot stand. See State v. Rackoff, 264 Ga.App. 506, 508, n. 2, 591 S.E.2d 379 (2003) (there was no evidence that officers took a breathalyzer out of service after the defendant’s breath test because it was giving faulty breath alcohol test results; thus, the court’s assumption that the machine had been malfunctioning was entirely speculative); S.A. Lynch Corp. v. Stone, 211 Ga. 516, 520(1), 87 S.E.2d 57 (1955) (an affiant’s conclusion that certain parties had reached an oral agreement was inadmissible when the affiant was not present when they reached the agreement and had no reason to know that they had reached an agreement “other than by his own guess work or deduction”).

 

Consequently, given the undisputed direct evidence that QBE timely filed the Form K with the DMVS in March 2002, the court erred in concluding that the insurance policy issued by QBE to Browning Trucking Company was still in effect at the time of Brown’s collision.

 

2. Given our decision in Division 1, supra, QBE’s remaining enumeration of error is moot.

 

Case No. A08A2416.

 

3. Brown contends that the trial court erred in concluding that, if QBE’s coverage of Browning Trucking was extended under the continuing coverage doctrine due to its failure to timely file a Form K, but Browning Trucking was not in compliance with the terms of the policy at the time of the collision, QBE’s liability would be limited to the statutory minimum requirements for coverage, rather than the policy limits. Given our ruling in Division 1, supra, this alleged error is moot.

 

Judgment in Case No. A08A2417 reversed. Case No. A08A2416 dismissed as moot.

 

MILLER, C.J., and BLACKBURN, P.J. concur.

 

(Footnote omitted.) Thompson v. Gen. Security Ins. Co., 286 Ga.App. 583, 584, 649 S.E.2d 736 (2007).

 

See Ga. Laws 2000, p. 951, § 9.4; former OCGA § 46-7-1 (references in chapter to “Commissioner” or to the “Department” referred to the DMVS; statute was amended in 2005 to state that the references again referred to the PSC).

 

See former OCGA §§ 46-7-3; 46-7-12 (amended in 2005); former Transportation Rules of Georgia PSC, Rule 7-2.6(a) (requirements for the certificate of insurance), (c)(1) (“Uniform motor carrier bodily injury and property damage liability certificate of insurance shall be in ‘Form E’ prescribed by the [PSC].”).

 

Under the former Transportation Rules of Georgia PSC, Rule 7-2.6(b), Certificates of insurance evidencing coverage shall be continuous and shall not be canceled or withdrawn until after thirty (30) days’ notice in writing by the insurance company … has first been given to the Commission at its offices in Atlanta, Georgia, which period of thirty days shall commence to run from the date such notice is actually received at the office of the Commission. Upon receipt of the notice, [the] original stamped copy will be retained in the files of the Commission as evidence of the date of cancellation thereof and attached to the certificate of insurance[.]

 

See also former Transportation Rules of Georgia PSC, Rule 7-2.6(c)(3) ( “Uniform notice of cancellation of motor carrier insurance policies shall be in ‘Form K’ prescribed by the [PSC].”).

 

Although the DMVS, not the PSC, was responsible for the regulation of motor carriers in 2002, former PSC Transportation Rule 7-2.6(b), which was in effect at that time, still stated that insurance coverage is continuous until the insurance company gives 30-days notice in writing to “the Commission at its offices in Atlanta, Georgia,” and that the “Commission ” will retain the form in its files as evidence of the date of cancellation. (Emphasis supplied.) See Footnote 4, supra; see also current Transportation Rules of Georgia PSC, Rule 515-16-11-.08(2) (which still contains the same language, even though the legislature transferred the responsibility for regulating motor carriers to a different agency, the Georgia Department of Revenue, in 2005); Footnotes 6 and 7, infra.

 

Ga. L.2005, p. 334, §§ 1-1 (eliminating the DMVS), 28-2.

 

Ga. L.2005, p. 334, § 32-1.

 

Brown argues that Thompson does not apply to this case because the Form K in Thompson did not have any mistakes, whereas the Form K in this case referenced the “PSC” instead of the “DMVS.” Thompson v. Gen. Security Ins. Co., 286 Ga.App. at 587(1), 649 S.E.2d 736. As established in subdivision (a), supra, however, it is undisputed that the form in this case fully complied with the requirements of the PSC Transportation Rules.

 

See Thompson v. Gen. Security Ins. Co., 286 Ga.App. at 585, 649 S.E.2d 736 (discussing PSC procedures for handling Form K’s in 2001 and noting that, if the agency rejected a Form K, it notified the insurance company by mail and put a copy of the rejection letter in the trucking company’s file).

Bowie v. American Home Assur. Co.

United States District Court,

M.D. Louisiana.

Darren BOWIE

v.

AMERICAN HOME ASSURANCE COMPANY.

Civil Action No. 05-1381-JJB.

 

April 7, 2009.

 

RULING ON MOTIONS IN LIMINE

 

JAMES J. BRADY, District Judge.

 

Plaintiff brings a motion in limine to exclude and/or strike the employment records from his previous employer, Faust Distributor (doc. 47). Defendants have submitted a memorandum in opposition (doc. 48). Defendants bring a motion in limine to exclude the causation testimony of Officer Michael Hill (doc. 46). Plaintiffs have submitted an opposition (doc. 49). Jury trial in this matter is set for April 27, 2009.

 

Background

 

This suit arises out of an accident involving two 18-wheel motor carrier vehicles. Plaintiff, Mr. Bowie, was driving the vehicle in front for his employer, Knight Transportation. Defendant, Ryan Fulton, was driving the vehicle behind plaintiff for Landstar Ranger .Plaintiff asserts he was injured in the accident and is unable to return to work as a truck driver.

 

The parties have stipulated that Landstar Ranger is vicariously liable for any fault assessed to Fulton for his operation of his vehicle.

 

Exclusion of Faust Employment Records

 

Prior to working as a driver for Knight Transportation, Plaintiff worked as a driver for Faust Distributors. Defendant now seeks to admit the employment records of Faust. Plaintiff argues that the Faust employment records should be excluded because they (1) were not timely provided; (2) are intended to be used by defendants to impermissibly show “prior bad acts” in violation of Federal Rule of Evidence 608; and (3) are irrelevant or alternatively highly prejudicial.

 

Plaintiff asserts that the Faust employment records were not timely provided and thus should be excluded under Federal Rule of Procedure 37.To determine whether evidence should be excluded for a party’s failure to disclose that evidence, this Court will consider: “(1) the importance of the evidence; (2) the prejudice to the opposing party of including the evidence; (3) the possibility of curing such prejudice by granting a continuance; and (4) the explanation for the party’s failure to disclose.”Here, because we find no prejudice to plaintiff, we decline to exclude the employment records under Rule 37.

 

Federal Rule of Civil Procedure 37(c)(1) provides in part: “If a party fails to provide information or identify a witness as required by Rule 26(a) or (e), the party is not allowed to use that information or witness to supply evidence on a motion, at a hearing, or at a trial, unless the failure was substantially justified or is harmless.”

 

Texas A & M Research Foundation v. Magna Transp., Inc., 338 F .3d 394, 402 (5th Cir.2003).

 

Defendant asked for plaintiff’s authorization to seek his employment records on August 29, 2006, October 17, 2006, November 9, 2007, February 11, 2008, and April 23, 2008. On May 5, 2008, plaintiff sent these employment authorizations to defendant. We note that plaintiff sent these authorizations after the close of fact discovery on March 3, 2008. Plaintiff sent these authorizations with the express request that all documents obtained by defendant would be forwarded on to plaintiff. Defendant received the Faust employment records on June 9, 2008; however, during an August 28, 2008 deposition, the parties realized that the Faust employment records had not been forwarded on to plaintiff. Defendant provided plaintiff with the records on September 23, 2008, before this Court set the trial date of April 27, 2009. Based on this timeline, this Court finds that although the records were not provided by the close of fact discovery on March 3, 2008, this lateness was due in part to plaintiff’s failure to complete and send the employment authorizations until May 5, 2008. Further, plaintiff cannot now assert that he was prejudiced by the untimely disclosure of employment records made available to him more than seven months prior to trial-especially when the records were made available prior to this Court setting a trial date.

 

Defendant “concedes it inadvertently failed to forward the Faust records to plaintiff for two months.”Defendant’s opposition, doc. 48, page 9.

 

Plaintiff also asserts that the employment records are inadmissible under Federal Rule of Evidence 608(b), which provides:

 

Specific instances of the conduct of a witness, for the purpose of attacking or supporting the witness’ character for truthfulness, other than conviction of crime as provided in rule 609, may not be proved by extrinsic evidence. They may, however, in the discretion of the court, if probative of truthfulness or untruthfulness, be inquired into on cross-examination of the witness (1) concerning the witness’ character for truthfulness or untruthfulness….

 

Plaintiff argues that the reason defendant seeks to submit the Faust employment records is to cast him in a bad light in front of the jury. The Faust employment records include a notation that Mr. Bowie was terminated for “theft.” This notation is contrary to his employment application with Knight as well as his deposition testimony in which he indicated he voluntarily left his employment with Faust.Defendant argues that it intends to use the Faust employment records to impeach Mr. Bowie’s testimony. Defendant asserts that it is not important to it “the reason why Mr. Bowie was terminated from Faust; yet, it is of great importance to show the reason why he was terminated contradicts the reason why Mr. Bowie himself twice claimed his employment ended.”

 

 

Defendant cites the following deposition testimony. However, this testimony is not included as an exhibit with either parties’ memoranda.

 

A: … So, you know, I gave them notice, and I went over there and started working over there.

 

Q: Okay. So you-you quit Faust-

 

A: Right.

 

Q:-on your own?

 

A: Right.

 

Opposition, doc. 48, page 12 (emphasis in original).

 

Although potentially admissible under FRE 608(b), the court finds that the relevance of the Faust records is outweighed by the potential prejudice to Mr. Bowie. Defendant argues that the records are relevant to Mr. Bowie’s wage claims, because Mr. Bowie’s loss of earning capacity depends on his “ability to work in the same industry from which he was terminated.” Despite this assertion, Plaintiff’s vocational expert stated in her deposition that while the reason for termination from Faust noted in the employment records was something she would have liked to have known when doing her vocational evaluation, it would not have affected her end opinion.Thus, the relevancy of the Faust records in relation to Plaintiff’s wage claim is questionable. This Court agrees with Plaintiff that the records have little relevance and that introducing the notation of “theft” to the jury would serve to prejudice them against Mr. Bowie unnecessarily.

 

Opposition, doc. 48, page 13. (emphasis in original).

 

Deposition of Stephanie Chalfin, doc. 48-7, page 7.

 

Exclusion of Officer Hill’s Causation Testimony

 

Officer Michael Hill is the Jennings Police Officer who responded to the accident from which this lawsuit arises. Upon arrival at the scene, the two 18-wheelers had already been removed from the roadway. In his deposition, Officer Hill states he has worked patrols for “about 11 years;”  however, he admits that he does not have any accident reconstruction training, that he does not know how far the vehicles travelled after impact, or where exactly on I-10 the accident occurred.0Officer Hill noted in his deposition that defendant Fulton’s failure to yield was a primary factor in the collision.1 Defendant seeks to exclude Officer Hill’s testimony that defendant’s failure to yield and striking Mr. Bowie’s vehicle was a factor of the collision “and any and all other Officer Hill testimony regarding the cause of the accident.”2Defendants note that “Officer Hill is free to testify about what he perceived when he arrived at the accident scene, such as where the vehicles were parked at that time and damage to the vehicles.”3

 

Doc. 49-2, page 17. In this same portion of Officer Hill’s deposition, he agreed that he had investigated hundreds if not thousands of automobile accidents. Id.

 

0. Doc. 46-3, pages 2 and 5.

 

1. Doc. 46-3, page 9.

 

2. Doc. 46-2, page 5.

 

3. Doc. 46-2, page 5 (emphasis in original).

 

In opposition, the plaintiff states that while he “does not intend to ask Officer Hill about whom he found at fault … Officer Hill is qualified to testify as to any factual conclusion he made based on his investigation.”4Officer Hill’s deposition testimony was based upon the accident report he completed at the time of the accident.5The accident report includes a page of fill-in-the-blank boxes. These boxes indicate that the primary factor of the accident was a “failure to yield.” 6Plaintiff cites a number of cases in which investigative reports (such as the accident report Officer Hill completed in this case) were admissible as an exception to the hearsay rule under Federal Rule of Evidence 803(8)(C).7 Plaintiff is correct that under Rule 803(8)(C) and Beech Aircraft, the accident report itself may not constitute inadmissible hearsay.8However, the Court finds the issue of admissibility of the accident report separate and distinct from the issue of the proper scope of Officer Hill’s testimony.9

 

4. Doc. 49, page 2.

 

5. During his deposition, Officer Hill agreed that he had no independent recollection of the accident and had to basically rely on the report. Doc. 49-2, page 7.

 

6. Doc. 49-3, page 3.

 

7.FRE 803(8)(c) sets forth:

 

Records, reports, statements, or data compilations, in any form, of public offices or agencies, setting forth … (C) in civil actions and proceedings and against the Government in criminal cases, factual findings resulting from an investigation made pursuant to authority granted by law, unless the sources of information or other circumstances indicate a lack of trustworthiness.

 

Plaintiff cites Beech Aircraft Corporation v. Raney, in which the Supreme Court held admissible an investigative report prepared by a Navy Lieutenant which included the Lieutenant’s opinion as to the most probable cause of an aircraft accident. 488 U .S. 153 (1988). The Court held that portions of the report stating conclusions or opinions were admissible as long as they met 803(8)’s requirements of being trustworthy. Id. at 170.

 

8. The defendant has not challenged the trustworthiness of the report, and this Court finds no reason to independently do so at this time. Further, “evaluative reports are presumed not to be excluded under the hearsay rule unless there are indications of untrustworthiness.” Moss v. Ole South Real Estate, Inc., 933 F.2d 1300, 1305 (5th Cir.1991).

 

9. The court notes that it fails to see the need to submit the accident report itself because Officer Hill will be available to testify.

 

Because Officer Hill has not been trained in accident reconstruction, and no party has asserted he be qualified as an expert, this Court considers the admissibility of Officer Hill’s testimony under Federal Rule of Evidence 701.0In Duhon v. Marceaux,1 the court affirmed the exclusion of causation testimony from the highway patrolman who had investigated the scene of a traffic accident, explaining that the officer “was not qualified to testify as an expert in accident reconstruction and that he did not witness the accident. As a general rule, police officers’ lay ‘opinions as to the cause of an automobile accident formed by viewing subsequent evidence at the scene’ are excluded under Rule 701.”2

 

0.FRE 701 provides:

 

If the witness is not testifying as an expert, the witness’ testimony in the form of opinions or inferences is limited to those opinions or inferences which are (a) rationally based on the perception of the witness, (b) helpful to a clear understanding of the witness’ testimony or the determination of a fact in issue, and (c) not based on scientific, technical, or other specialized knowledge within the scope of Rule 702.

 

1. 33 Fed.Appx. 703, 2002 WL 432383 (5th Cir.2002) (unpublished).

 

2.Id. at *4.

 

Although Officer Hill is not trained in accident reconstruction and has not been qualified as an expert, he does have many years of experience responding to traffic accidents. However, the basis for his statement regarding defendant’s failure to yield has not been explained by either party. As no foundation has been laid for Officer Hill’s testimony, this Court cannot determine the basis for Officer Hill’s opinion. This Court will therefore defer ruling on the admissibility of Officer Hill’s testimony as to any causation. At trial, the plaintiff should be prepared to lay an adequate foundation for the admission of Officer Hill’s opinion testimony as to his belief that “failure to yield” was a cause of the accident.

 

Conclusion

 

Based on the above analysis, the Court GRANTS Plaintiff’s motion in limine to exclude the employment records of Faust Distributors. The Court DEFERS Defendant’s motion in limine to exclude causation testimony of Officer Hill.

 

M.D.La.,2009.

Bowie v. American Home Assur. Co.

Slip Copy, 2009 WL 960202 (M.D.La.)

 

END OF DOCUMENT

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