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Volume 12, Edition 3

Molefe v. KLM Royal Dutch Airlines

United States District Court,

S.D. New York.

Rakwena MOLEFE, Plaintiff,

v.

KLM ROYAL DUTCH AIRLINES and Northwest Airlines, Defendants.

No. 05 Civ. 4676(LTS)(DFE).

March 6, 2009.

MEMORANDUM ORDER AND OPINION ADOPTING REPORT AND RECOMMENDATION

LAURA TAYLOR SWAIN, District Judge.

The above-captioned action arises out of the alleged mistreatment of pro se Plaintiff Rakwena Molefe (“Plaintiff”) and his baggage by Defendants KLM Royal Dutch Airlines, a Netherlands corporation, and Northwest Airlines, a Minnesota corporation (collectively “Defendants”), during an international flight from Johannesburg to New York City via Amsterdam. The Court has subject matter jurisdiction over the controversy because it arises under a treaty of the United States, the Convention for the Unification of Certain Rules for International Carriage by Air, May 28, 1999, S. Treaty Doc. No. 106-45 (2000), 1999 WL 33292734 (2000) (“Montreal Convention”).28 U.S.C.A. § 1331.

On August 6, 2008, Magistrate Judge Douglas F. Eaton issued a Report and Recommendation (“Report”) recommending that Defendants’ Motion for Judgment on the Pleadings pursuant to Federal Rule of Civil Procedure 12(c) be granted (docket entry no. 32). Plaintiff timely filed objections to the Report (docket entry no. 33). Defendants timely filed a submission that responded to Plaintiff’s objections and did not raise any additional objections (docket entry no. 34). Plaintiff subsequently filed a reply to Defendants’ response (docket entry no. 35).

When reviewing the Report, the Court “may accept, reject, or modify, in whole or in part, the findings or recommendations made by the magistrate judge.”28 U.S.C.A. § 636(b)(1)(C) (West 2008). The Court must make a de novo determination to the extent that a party makes specific objections to a magistrate’s findings. United States v. Male Juvenile, 121 F.3d 34, 38 (2d Cir.1997). When a party makes only conclusory or general objections, or simply reiterates the original arguments, the Court will review the Report strictly for clear error. See Pearson-Fraser v. Bell Atl., No. 01 Civ. 2343, 2003 WL 43367, at(S.D.N.Y. Jan. 6, 2003); Camardo v. Gen. Motors Hourly-Rate Employees Pension Plan, 806 F.Supp. 380, 382 (W.D.N.Y.1992). Similarly, “objections that are merely perfunctory responses argued in an attempt to engage the district court in a rehashing of the same arguments set forth in the original [papers] will not suffice to invoke de novo review.” Vega v. Artuz, No. 97 Civ. 3775, 2002 WL 31174466, at(S.D.N.Y. Sept.30, 2002). Objections to a Report must be specific and clearly aimed at particular findings in the magistrate judge’s proposal. Camardo, 806 F.Supp. at 381-82.

Magistrate Judge Eaton thoroughly analyzed the parties’ submissions, the Montreal Convention, and the case law interpreting the Montreal Convention and its predecessor treaty (Convention for the Unification of Certain Rules Relating to International Transportation by Air, Oct. 12, 1929, 49 Stat. 3000, T.S. No. 876 (1934) (“Warsaw Convention”)). The Report provides an extensive recitation of the procedural history, the facts alleged, and the arguments asserted by the parties, and familiarity with the Report is assumed. The Court has considered thoroughly the record herein, including the parties’ submissions, the Report, and Plaintiff’s objections, and has reviewed de novo all of Plaintiff’s specific objections.

The Report reaches its recommendation to grant Defendant’s motion for judgment on the pleadings based upon four conclusions, each one of which is fatal to one of Plaintiff’s four claims or sets of related claims. The four conclusions are as follows: the $200 penalty assessed by Defendants for rescheduling Plaintiff’s flight is not actionable because Plaintiff has not alleged that the imposition of the fine breaches the term of any contract between the parties (Report at p. 8); Plaintiff’s discrimination claims under federal or state law are precluded as a matter of law, regardless of whether the facts alleged in support of them would be sufficient to survive a motion for judgment on the pleadings, because the Montreal Convention provides the exclusive cause of action for damages arising out of the carriage of passengers and their baggage in international air travel (Report at p. 8); Plaintiff’s claim based upon the nine-day delay Plaintiff endured before receiving his baggage is not actionable because the delay suffered was shorter than the 21-day delay necessary to give rise to a claim under Article 17(3) of the Montreal Convention; and Plaintiff’s baggage damage claim is precluded by his failure to notify Defendants of the claim within the time period set by Article 31 of the Montreal Convention.

Plaintiff concedes the correctness of the Report’s first conclusion and abandons the claim based upon the $200 penalty, but he objects to the Report’s conclusions with respect to his discrimination, baggage delay, and baggage damage claims. The Court liberally construes Plaintiff’s arguments as specific objections to the Report. The Court, based on a de novo review, adopts the Report’s conclusions, which are dispositive of all of Plaintiff’s claims.

Plaintiff argues that Magistrate Judge Eaton erred by failing to conclude that Defendants’ alleged willful conduct constituted an “act or omission … done with intent to cause damage,” Montreal Convention, art. 22(5), and is therefore actionable under the Montreal Convention. Article 22(5) reads in its entirety as follows

The foregoing provisions of paragraphs 1 and 2 of this Article shall not apply if it is proved that the damage resulted from an act or omission of the carrier, its servants or agents, done with intent to cause damage or recklessly and with knowledge that damage would probably result; provided that, in the case of such act or omission of a servant or agent, it is also proved that such servant or agent was acting within the scope of its employment.

Id. This provision of the treaty merely precludes carriers from benefitting from the monetary ceilings on liability imposed by paragraphs 1 and 2 of Article 22 if they intentionally or recklessly cause damage. However, this provision does not independently create a cause of action for damages for any alleged injury borne out of willful or reckless conduct. Rather, as Magistrate Judge Eaton rightly noted, the Montreal Convention only permits a damages remedy in the event of death, bodily injury, damage to baggage or cargo, or delay; any other injury allegedly suffered as a result of a carrier’s willful conduct is not actionable. Montreal Convention, arts. 17-22; In re Air Crash at Belle Harbor, N.Y. on Nov. 21, 2001, No. 02 Civ. 6746, 2003 WL 21023034, at *2-5 (S.D.N.Y. May 5, 2003).

Plaintiff asserts that, because the boarding pass for the first leg of his trip did not have his name on it, he did not have a valid contract with Defendants, and therefore he cannot be bound by the Montreal Convention. He also asserts that Defendants’ failure to properly furnish him with baggage tags violates the Defendants’ obligations under the Montreal Convention and thereby releases Plaintiff from its terms. These arguments are foreclosed by Article 3 of the Montreal Convention. Article 3(5) provides

Non-compliance with the provisions of the foregoing paragraphs shall not affect the existence or the validity of the contract of carriage, which shall, nonetheless, be subject to the rules of this Convention including those relating to limitation of liability.

Montreal Convention, art 3(5). Whereas Article 3(1) of the Convention imposes upon carriers the responsibility to provide passengers with certain documentation, including baggage identification tags, the effect of Article 3(5) is to ensure that passengers and carriers remain bound by the Montreal Convention despite a carrier’s technical failure to provide a passenger with proper documentation.Accordingly, Plaintiff’s objection that he should not be bound by the Montreal Convention due to the alleged irregularities involved in Defendants’ provision of his boarding pass and baggage tags is contradicted by the text of the Montreal Convention itself.

Plaintiff also asserts in his objections to the Report that he should be not bound by the Montreal Convention’s terms because he “was not familiar with the [Montreal] Convention until after initiating research [after the expiration of the Article 31 time limits].” Pl.’s Aff. in Objection to Report, ¶ 7. The Court construes this argument as an equitable request to allow Plaintiff to pursue his claim despite his failure to abide by the requirements of Article 31, which provides time limits within which a passenger must notify a carrier in writing to preserve a complaint for delayed or damaged baggage. Montreal Convention, art. 31. Plaintiff raises this argument for the first time in his objections to the Report. Plaintiff has not proffered that he did not receive from Defendants the standard list of terms of conditions when he purchased his ticket, which, as required by Article 3 of the Montreal Convention, convey the Article 31 requirements. The pleadings and submissions therefore do not indicate that Defendants failed to provide Plaintiff with the requisite notice of the terms to which he would be bound and, furthermore, the Montreal Convention does not provide for equitable variance of its terms. The Court therefore rejects Plaintiff’s assertion that he should be relieved from Article 31’s requirements.

The Court has considered all of Plaintiff’s other objections and concludes that none of them warrants rejection of the Report’s recommendation that judgment on the pleadings be granted in Defendants’ favor.

CONCLUSION

For the foregoing reasons, the Court adopts Magistrate Judge Eaton’s Report and Recommendation and grants Defendants’ Motion for Judgment on the Pleadings in its entirety. Plaintiff’s complaint is dismissed with prejudice. This order resolves docket entry nos. 23 and 27.The Clerk of Court is respectfully requested to enter judgment in Defendant’s favor and close this case.

SO ORDERED.

REPORT AND RECOMMENDATION TO JUDGE SWAIN

DOUGLAS F. EATON, United States Magistrate Judge.

Mr. Rakwena Molefe, proceeding pro se, alleges delay and damage to his baggage during international air travel on defendants’ airplanes from Johannesburg, South Africa to New York City, with a layover in Amsterdam. The two defendants-KLM Royal Dutch Airlines (“KLM”) and Northwest Airlines are code-share partners. (See 1/29/08 Jenkins-Wiener Decl. ¶ 1.)

For the reasons set forth below, I recommend that Judge Swain grant defendants’ motion to dismiss the Amended Complaint in its entirety (Docket Item # 23) and deny plaintiff’s motion for judgment on the pleadings (Docket Item # 27).

FACTUAL AND PROCEDURAL BACKGROUND

The following facts are gleaned from plaintiff’s Amended Complaint. Plaintiff had flown from New York City to Johannesburg. He was scheduled to return to JFK airport in New York City on February 5, 2005, but did not do so. Instead, during the last week of March 2005, he drove to the Jan Smuts Airport in South Africa to reschedule his flight. He alleges that a KLM reservation consultant advised him that KLM’s computer failed to “pull out” his ticket and that he needed to ask his New York travel agent, Pan Express Travel Agency (“Pan Express”), to reactivate his reservation. Subsequently, plaintiff called Pan Express and confirmed a reservation for April 2, 2005. (Am.Compl. pp. 1-2.)

At approximately 8:45 p.m. on April 2, 2005, a KLM reservation consultant at the Jan Smuts Airport told plaintiff that KLM’s computer did not have a reservation under his name. She told him to purchase a new one-way ticket to New York City. Plaintiff called Pan Express, and the travel agent advised him to go back to the KLM consultant and show the used ticket stub from his flight from New York to South Africa. With that stub, the KLM consultant was able to confirm the unused February 5 ticket. She told plaintiff that he would have to pay a $200 penalty for a new ticket to travel on April 2. Plaintiff left the reservation counter, returned with the $200, and paid it to a male consultant, who processed plaintiff’s electronic ticket and typed the luggage tags for plaintiff’s two bags. After printing the tags, the consultant tore them up and asked his colleague to print two new tags. The consultant then issued plaintiff a boarding pass, handed him his passport, and told him to hurry to the gate because the plane had begun boarding. (Am.Compl. p. 3.)

Plaintiff boarded the plane with no luggage tags. The hostess led him to seat 24J (the number printed on the boarding pass) but it was already occupied. Plaintiff and the hostess took a closer look at the pass. They saw that the pass had been issued to “Molemans Veerle” for 24J, but that the KLM consultant had made a handwritten notation of “66H.” The hostess told plaintiff that his assigned seat was 66H. (Am.Compl. p. 3.)

In Amsterdam, plaintiff was issued a boarding pass under his correct name. He was told that his luggage had been recorded on the computer system, and that it would be on his plane to New York. The plane arrived at JFK airport on April 3, 2005; plaintiff was on it, but his luggage was not. At JFK airport, plaintiff spoke to the KLM/Northwest Airlines luggage consultant, who “expressed surprise” that KLM had not given luggage tags to plaintiff. Plaintiff was asked to fax a list of all of the items in his luggage; he alleges that he did so during the week of April 2. However, he has failed to produce any copy or confirmation of his alleged fax; to the contrary, KLM has submitted the affidavit of Annelies Dol, which says:

7…. I have reviewed KLM’s records … and have not located any written notice of plaintiff’s claim regarding the alleged damage or delay to his checked baggage.

8. KLM also does not have a record of having received any timely oral complaint made by plaintiff.

(3/25/08 Dol Decl. ¶¶ 7-8.) On April 11 (nine days after he entrusted his luggage at the Jan Smuts Airport), it was returned to him. He alleges that at least one of the bags was torn, and that his clothes protruded from the bag. (Am. Compl. pp. 3-4, 6; 3/17/08 Molefe Aff. ¶ 3(b).)

On May 13, 2005, plaintiff paid a $250 filing fee and filed his complaint with our Court. On May 26, 2005, he served an Amended Complaint alleging that the defendants’ actions were discriminatory and constituted willful misconduct. Specifically, he claims that this was the second time that KLM discriminated against him because of his active membership in the Pan Africanist Congress and because of his participation in the national liberation struggle against apartheid in South Africa. He says that the first discriminatory incident occurred in the 1990s on a KLM flight to South Africa, when a KLM hostess holding a coffee mug in the aisle “tumbled the mug and spilled coffee on my body and clothing.”(Am.Compl. pp. 5-7.)

On July 8, 2005, defendants served their Answer. On May 31, 2005, Judge Swain referred this case to me for general pretrial supervision and to write a Report and Recommendation on any dispositive motions. On October 21, 2005, defendant Northwest Airlines filed a Notice of Bankruptcy which automatically stayed the action against it. After Northwest Airlines emerged from bankruptcy, I held a status conference on February 11, 2008.

On February 29, 2008, defendants moved to dismiss plaintiff’s Amended Complaint in its entirety, or in the alternative to dismiss it to the extent that it sought damages in excess of the limitation of liability set forth in Article 22 of the Montreal Convention (1,000 SDRs, approximately $1,600 in U.S. dollars). The defendants served the following documents: (1) a Notice of Motion (Docket Item # 23); (2) a “Memorandum of Points and Authorities” (Docket Item # 24); and (3) a 2/29/08 Declaration of Chris Jenkins-Wiener (Docket Item # 25).

On March 17, 2008, plaintiff served three documents: (a) his affirmation in opposition (Docket Item # 28); (b) a cross-motion for judgment on the pleadings (Docket Item # 27); and (c) a motion for leave to file a Second Amended Complaint. (Docket Item # 26.)

On March 26, 2008, defendants served a reply memorandum (Docket Item # 29) and a 3/25/08 Declaration of Annelies Dol (Docket Item # 30).

By Order dated May 1, 2008, I denied leave to file a Second Amended Complaint because its “only apparent purpose [was] to ‘stipulate’ that the Montreal Convention superseded the Warsaw Convention in 1999,” and it was “clear from the defendants’ dismissal motion that they agree that the Montreal Convention applies to the facts in this case.”(Docket Item # 31.)

DISCUSSION

In ruling on a dismissal motion made under Rule 12(b)(6) of the Federal Rules of Civil Procedure, the court “must accept as true all of the factual allegations contained in the complaint.” Erickson v. Pardus, 551 U.S. 89, 127 S.Ct. 2197, 2200, 167 L.Ed.2d 1081 (2007), citing Bell Atlantic Corp. v. Twombly, 550 U.S. 544, 127 S.Ct. 1955, 1965, 167 L.Ed.2d 929 (2007) (internal citations omitted). The “longstanding maxim” that “ ‘a complaint should not be dismissed for failure to state a claim unless it appears beyond doubt that the plaintiff can prove no set of facts in support of his claim which would entitle him to relief’ “ has now been explicitly rejected by the Supreme Court. Boykin v. Keycorp, 521 F.3d 202, 213 (2d Cir.2008), citing Bell Atlantic Corp., 550 U.S. 544, 127 S.Ct. at 1968-69, 167 L.Ed.2d 929. Instead, the Supreme Court is “requiring a flexible ‘plausibility standard,’ which obliges a pleader to amplify a claim with some factual allegations in those contexts where such amplification is needed to render the claim plausible.” Boykin, 521 F.3d at 213,citing Iqbal v. Hasty, 490 F.3d 143, 157-58 (2d Cir.2007) (emphasis in the original).

Under the new guidelines set forth by the Supreme Court and the Second Circuit, when deciding a Rule 12(b)(6) motion to dismiss, the court must evaluate the complaint under the standard set forth in Rule 8(a)(2). Erickson, 551 U.S. 89, 127 S.Ct. at 2200, 167 L.Ed.2d 1081. Rule 8(a)(2) requires that a complaint contain only “a short and plain statement of the claim showing that the pleader is entitled to relief.”“Specific facts are not necessary; the statement need only ‘give the defendant fair notice of what the claim is and the grounds upon which it rests.’ “ Id., quoting Bell Atlantic Corp., 550 U.S. 544, 127 S.Ct. at 1965, 167 L.Ed.2d 929 (internal citations omitted). “A document filed pro se is to be liberally construed and a pro se complaint, however inartfully pleaded, must be held to less stringent standards than formal pleadings drafted by lawyers.” Boykin, 521 F.3d at 213-14,quoting Erickson, 551 U.S. 89, 127 S.Ct. at 2200, 167 L.Ed.2d 1081.

At pages 1-3 of his notice of motion for judgment on the pleadings (Docket # 27), plaintiff alleges that he is entitled to monetary damages under the Montreal Convention and under federal and New York state law, for the following reasons:

A. The defendants were willfully ignorant in timely retrieving the records relating to his February 5, 2005 unused ticket and that such conduct caused him to pay a fee.

B. The defendants issued his boarding pass with the wrong name and seat number printed on it. He claims that such conduct was intentional and/or was willfully negligent and/or was discriminatory.

C. The defendants failed to issue his luggage tags, which delayed the receipt of his luggage. He alleges that the defendants maliciously intended to “to unduly seize and search” his luggage and that they damaged it. He claims that such conduct was also discriminatory.

To further support his discrimination allegations, plaintiff notes that KLM is a Dutch airline and he alleges that the Dutch Government has engaged in actions, since 1652, that have sparked “continual African wars of resistance opposing the Dutch occupation” and apartheid. (Docket # 27 at p. 3.)

The Montreal Convention “is an entirely new treaty that unifies and replaces the system of liability that derives from the Warsaw Convention.” Ehrlich v. American Airlines, Inc., 360 F.3d 366, 371 (2d Cir.2004); Montreal Convention, Art. 1, 1999 WL 33292734.It “applies to all international carriage of persons, baggage or cargo performed by aircraft for reward.” Ehrlich, 360 F.3d at 372. The parties are in agreement that this case is governed by the Montreal Convention.

The following sections of the Montreal Convention are relevant to Mr. Molefe’s lawsuit (with my emphases in bold font):

Article 3 says, in part:

* * *

3. The carrier shall deliver to the passenger a baggage identification tag for each piece of checked baggage.

4. The passenger shall be given written notice to the effect that where this Convention is applicable it governs and may limit the liability of carriers in respect of death or injury and for destruction or loss of, or damage to, baggage, and for delay.

5. Non-compliance with the provisions of the foregoing paragraphs shall not affect the existence or the validity of the contract of carriage, which shall, nonetheless, be subject to the rules of this Convention including those relating to limitation of liability.

Article 17(1) says:

1. The carrier is liable for damage sustained in case of death or bodily injury of a passenger upon condition only that the accident which caused the death or injury took place on board the aircraft or in the course of any of the operations of embarking or disembarking.

Article 17(2) creates the possibility of liability for loss of baggage or damage to baggage, but subject to various conditions, including Articles 19, 22, 29 and 31; Article 17(2) says:

2. The carrier is liable for damage sustained in case of destruction or loss of, or of damage to, checked baggage upon condition only that the event which caused the destruction, loss or damage took place on board the aircraft or during any period within which the checked baggage was in the charge of the carrier. However, the carrier is not liable if and to the extent that the damage resulted from the inherent defect, quality or vice of the baggage….

Article 17(3) creates the possibility of liability for delay in delivering baggage, but only if the delay exceeded 21 days, and only subject to various other conditions, including Articles 19, 22, 29 and 31; Article 17(3) says:

3. If the carrier admits the loss of the checked baggage, or if the checked baggage has not arrived at the expiration of twenty-one days after the date on which it ought to have arrived, the passenger is entitled to enforce against the carrier the rights which flow from the contract of carriage….

Article 19 says:

The carrier is liable for damage occasioned by delay in the carriage by air of passengers, baggage or cargo. Nevertheless, the carrier shall not be liable for damage occasioned by delay if it proves that it and its servants and agents took all measures that could reasonably be required to avoid the damage or that it was impossible for it or them to take such measures.

Article 22 says:

1. In the case of damage caused by delay as specified in Article 19 in the carriage of persons, the liability of the carrier for each passenger is limited to 4 150 Special Drawing Rights.

2. In the carriage of baggage, the liability of the carrier in the case of destruction, loss, damage or delay is limited to 1 000 Special Drawing Rights for each passenger unless the passenger has made, at the time when the checked baggage was handed over to the carrier, a special declaration of interest in delivery at destination and has paid a supplementary sum if the case so requires….

Article 29 says:

In the carriage of passengers, baggage and cargo, any action for damages, however founded, whether under this Convention or in contract or in tort or otherwise, can only be brought subject to the conditions and such limits of liability as are set out in this Convention ….

Article 31 imposes further conditions on any claim concerning baggage; it says:

1. Receipt by the person entitled to delivery of checked baggage or cargo without complaint is prima facie evidence that the same has been delivered in good condition and in accordance with the document of carriage….

2. In the case of damage, the person entitled to delivery must complain to the carrier forthwith after the discovery of the damage, and, at the latest, within seven days from the date of receipt in the case of checked baggage and fourteen days from the date of receipt in the case of cargo. In the case of delay, the complaint must be made at the latest within twenty-one days from the date on which the baggage or cargo have been placed at his or her disposal.

3. Every complaint must be made in writing and given or dispatched within the times aforesaid.

4. If no complaint is made within the times aforesaid, no action shall lie against the carrier, save in the case of fraud on its part.

1999 WL 33292734.Case law regarding the Montreal Convention is extremely limited; hence I will rely on cases that involve similar provisions of the Warsaw Convention.

Plaintiff’s claim relating to the $200 penalty

Plaintiff alleges that KLM charged him a $200 penalty for changing the date of his previously unused ticket. This fails to state a claim for relief. The Amended Complaint (at pp. 1-2) says the original round-trip ticket scheduled a return flight from South Africa to New York for February 5, 2005, and yet he waited until “the week prior [to] 2nd April to reschedule [his] flight.”Neither side has submitted a copy of the defendants’ terms and conditions for changing a flight, but I note that it is a common practice for the airline industry to charge a fee for ticket changes. Moreover, KLM is not liable for damages on the ground that its “consultant instantly and dismissively insisted [that] the stub could not be used and resisted so for 30 seconds, there[by] displaying willful ignorance.”

Plaintiff’s claims of discrimination

[10] Plaintiff’s discrimination claims based on federal and state law must also be dismissed. Article 24 of the Warsaw Convention preempted the application of federal and state law to air transportation cases: “In the carriage of passengers and baggage, any action for damages, however founded, can only be brought subject to the conditions and limits set out in this Convention ….“ The same language, with even more emphatic additions, is set forth in the Montreal Convention (also known as the Montreal Protocol) at Article 29 (which I quoted at page 7 of this Report). The United States Supreme Court has said:

… We conclude that the [Montreal] protocol … clarifies, but does not change, the Convention’s exclusivity domain.

* * *

… [T]he Convention’s preemptive effect is clear: The treaty precludes passengers from bringing actions under local law when they cannot establish air carrier liability under the treaty.

El Al Israel Airlines, Ltd. v. Tsui Yuan Tseng, 525 U.S. 155, 161, 174-75, 119 S.Ct. 662, 668, 674, 142 L.Ed.2d 576 (1999).

Following Tseng, the Second Circuit has held that a “discrimination claim is preempted by the Warsaw Convention if the events giving rise to the claim occurred in the course of the international ‘carriage of passengers and baggage,’ regardless of whether the original or the amended Article 24 controls.” King v. American Airlines, Inc., 284 F.3d 352, 358 (2d Cir.2002).

In the case at bar, the alleged wrongful actions occurred in the course of the international carriage of passengers and baggage, and during the “period within which the checked baggage was in the charge of the carrier.”(Article 17(2).) Accordingly, Mr. Molefe’s claims fall squarely within the “substantive scope” of Article 17 of the Montreal Convention. King, 284 F.3d at 359. As such, he is “not able to maintain an action under Article 17 for non-bodily injuries stemming from the discriminatory” conduct. Ibid (with my emphasis).

Plaintiff’s claims related to his luggage

[11][12][13] Pursuant to Article 3(5) of the Montreal Convention, the defendant’s failure to issue luggage tags does not “affect the existence or the validity of the contract of carriage, which shall, nonetheless, be subject to the rules of this Convention including those relating to limitation of liability.”

Defendants’ 2/29/08 Memorandum, at page 9, stated:

Plaintiff’s [Amended] Complaint states that Defendants delivered his checked baggage to him on April 11, 2005. See “B” at ¶ 2. Despite plaintiff’s apparent familiarity with the Convention, plaintiff did not submit written notice to Defendants pursuant to Article 31(2) of the Montreal Convention regarding the alleged damage to his checked luggage by April 18, 2005 (within seven days from the date of receipt of the checked baggage) nor did plaintiff submit a written [notice] regarding the alleged delay in receipt of his baggage by May 2, 2005 (within twenty-one days after the baggage was placed at his disposal). In fact, Defendants[‘] first notice of plaintiff’s allegations of delay and damage was when plaintiff served a Complaint on May 20, 2005. See Declaration of Jenkins-Wiener at ¶ 6. However, serving a complaint 39 days after the baggage was placed at plaintiff’s disposal does not comply with Article 31(2)-(3) of the Montreal Convention or Defendants’ Tariff. As a result, consistent with Article 31(4) …“[i]f no complaint is made within the times aforesaid, no action shall lie against the carrier …”.See Denby [v. Seaboard World Airlines, 737 F.2d 172, 177 (2d Cir.1984).]

Even if plaintiff had provided oral notice within seven days of receipt of his carry-on baggage, such notice would have been ineffective under Article 31(3) of the Montreal Convention and the defendants’ tariffs, which clearly require notice in writing. See Onyeanusi v. Pan Am, 952 F.2d 788, 795 (3d Cir.1992) (written notification is required “even if an agent of the air carrier has made some affirmative representation that [he or] she is aware of the damage or delay.”) Even actual notice by a defendant airline is not a substitute for the requisite written notice of claim. See Owolabi v. Air France, 2000 WL 1093057 (S.D.N.Y.2000) (“[E]ven assuming that this verbal notification was given, it is insufficient, as a matter of law, to comply with the requirements of the Warsaw Convention.”); see also Khan v. Singapore Airlines, 1995 WL 621835 (N.D.Cal. Oct.16, 1995), aff’d, 107 F.3d 16 (9th Cir.1997).

Plaintiff’s opposing papers fail to refute those two paragraphs. He submitted a 3/17/08 affirmation which asserts, at ¶ 3(b):

As to defendant’s ground to preclude any liability against defendant for baggage delay and damage to baggage for failure to provide timely notice of claim for damage or delay as under Article 31 of the Montreal Convention, plaintiff faxed KLM the week of April 2, 2005 a written descriptive list of clothing and items in baggage as advised by KLM to enable KLM to trace the baggage.

This alleged fax might have been a claim for delay, but it obviously was not a claim for damage (which plaintiff allegedly discovered on April 11). Moreover, plaintiff has not produced any copy or confirmation of such a fax. To the contrary, defendants have submitted two declarations that they have no record of having received any written or oral notice from plaintiff prior to May 20, 2005. KLM’s Manager of Legal Issues, Annelies Dol, says:

7…. I have reviewed KLM’s records … and have not located any written notice of plaintiff’s claim regarding the alleged damage or delay to his checked baggage.

8. KLM also does not have a record of having received any timely oral complaint made by plaintiff.

(3/25/08 Dol Decl. ¶¶ 7-8.) And a Northwest Airlines paralegal, Chris Jenkins-Wiener, says:

After a review and search of defendants’ Concord database … I can confirm that defendants did not locate any written notice of plaintiff’s claim regarding this alleged damage or delay to his checked baggage. The first written notice defendants received regarding the alleged damage and delay to plaintiff’s baggage was the service of plaintiff’s Complaint on May 20, 2005, over one month following the return of plaintiff’s baggage.

(2/29/08 Jenkins-Wiener Decl. ¶ 6.)

Article 31(3) requires: “Every complaint must be made in writing and given or dispatched within the times aforesaid [in Article 31(2) ].” Plaintiff did not comply with those requirements. Hence his luggage claims must be dismissed pursuant to Article 31(4): “If no complaint is made within the times aforesaid, no action shall lie against the carrier, …”See, Lokken v. Federal Express Corp., 2000 WL 193121 (S.D.N.Y. Feb.16, 2000) (Katz, M.J.); Royal Insurance Co. of America v. DHL Worldwide Express, 1999 WL 494118 (S.D.N.Y. July 13, 1999) (Patterson, J.), reconsideration denied by 1999 WL 672557 (S.D.N.Y. Aug.26, 1999), aff’d by 205 F.3d 1324 (2d Cir.2000); Nissan Fire & Marine Ins. Co., Ltd. v. Fritz Companies Inc., 210 F.3d 1099, 1106-07 (9th Cir.2000). On top of this, the delay claim would have to be dismissed on the substantive ground that plaintiff received his luggage well within twenty-one days after his flight. (See Article 17(3).) Accordingly, plaintiff cannot recover damages on his claims of luggage delay and luggage damage.

CONCLUSION AND RECOMMENDATION

I recommend that Judge Swain grant defendants’ motion to dismiss the Amended Complaint in its entirety (Docket Item # 23) and deny plaintiff’s motion for judgment on the pleadings (Docket Item # 27.)

Pursuant to 28 U.S.C. § 636(b)(1) and Rule 72(b) of the Federal Rules of Civil Procedure, any party may object to my recommendations within 10 business days after being served with this Report (i.e. no later than August 25, 2008) by filing written objections with the Clerk of the U.S. District Court and mailing copies (a) to the opposing party, (b) to the Hon. Laura Taylor Swain, U.S.D.J. at Room 755, 500 Pearl Street, New York, N.Y. 10007 and (c) to me at Room 1360, 500 Pearl Street. Failure to file objections within 10 business days will preclude appellate review. Thomas v. Arn, 474 U.S. 140, 106 S.Ct. 466, 88 L.Ed.2d 435 (1985); Small v. Secretary of Health and Human Services, 892 F.2d 15, 16 (2d Cir.1989) (per curiam); 28 U.S.C. § 636(b)(1); Fed.R.Civ.P. 72, 6(a), and 6(d). Any request for an extension of time must be addressed to Judge Swain.

Although Defendants characterized their motion as one to dismiss the complaint pursuant to Federal Rule of Civil Procedure 12(b)(6), the Court construes the motion as a motion for judgment on the pleadings pursuant to Federal Rule of Civil Procedure 12(c) because Defendants had submitted an answer to Plaintiff’s complaint (docket entry no. 9) prior to the time they initiated the instant motion (docket entry no. 23). For the purposes of this Memorandum Opinion and Order, the difference is immaterial, as the Court would apply the same standard of review on either motion. Shaw v. Rolex Watch U.S.A., Inc., 745 F.Supp. 982, 984 (S.D.N.Y.1990).

Plaintiff claims that he complied with the requirements of Article 31 by sending a facsimile to Defendants. At best that facsimile complied with Article 31 for the purposes of Plaintiff’s delay claim, the dismissal of which is supported by independent grounds. The facsimile was allegedly sent before Plaintiff received his baggage, and therefore it could not have provided notice of his damage claim.

Furthermore, Article 3 does not contain any requirement that the passenger’s name be included on his travel document; it only requires that the document state the place of origin and the flight destination. Montreal Convention, art. 3(1).

S.D.N.Y.,2009.

Molefe v. KLM Royal Dutch Airlines

— F.Supp.2d —-, 2009 WL 577711 (S.D.N.Y.)

END OF DOCUMENT

McQuiston v. Helms

United States District Court,

S.D. Indiana,

Indianapolis Division.

Matthew McQUISTON and Joanna McQuiston, Plaintiff,

v.

James K. HELMS and J.B. Hunt Transport, Inc., Defendant.

No. 1:06-cv-1668-LJM-DML.

March 4, 2009.

ORDER

LARRY J. McKINNEY, District Judge.

This matter comes before the Court on several pretrial motions filed by Plaintiffs, Matthew McQuiston (“McQuiston”) and Joanna McQuiston (“Mrs.McQuiston”) (collectively, “Plaintiffs”), and Defendants, James K. Helms (“Helms”) and J.B. Hunt Transport, Inc. (“J.B.Hunt”) (collectively, “Defendants”). Plaintiffs’ lawsuit stems from an automobile accident where McQuiston was involved in a collision with a J.B. Hunt semi-tractor and trailer driven by Helms. Plaintiffs claim that Helms negligently operated the semi-tractor and trailer and that, as a result, McQuiston suffered severe personal injuries. McQuiston seeks to recover the losses attributable to his injuries and his wife seeks to recover on a loss of consortium claim. The parties’ pretrial motions (Dkt. Nos. 75, 78, 84, 90, 92, 93 & 109) have been fully briefed and are now ripe for ruling.

I. PLAINTIFFS’ MOTIONS

A. MOTION TO EXCLUDE EXPERT TESTIMONY OF CLINE YOUNG

Plaintiffs move the Court to exclude the expert testimony of Cline Young, Ph.D (“Dr.Young”) under Federal Rules of Evidence 702 (“Rule 702”) and Daubert v. Merrill Dow Pharmaceuticals, 509 U.S. 579, 592, 113 S.Ct. 2786, 125 L.Ed.2d 469 (1993).

Under Rule 702 and Daubert the Court follows a two-prong framework: (1) the Court must determine whether “the proposed witness would testify to valid scientific, technical, or other specialized knowledge and (2) [the Court must determine whether] his testimony will assist the trier of fact.” Ammons v. Aramark Uniform Servs., Inc., 368 F.3d 809, 816 (7th Cir.2004) (quotations and citations omitted). The first prong “of this framework evaluates the reliability of the testimony.”Id. To determine whether Young’s opinions are reliable the Court “ ‘must determine whether the expert is qualified in the relevant field and whether the methodology underlying the expert’s conclusions is reliable.’”Id. (quoting Zelinski v. Columbia 300, Inc., 335 F.3d 633, 640 (7th Cir.2003)). The Court must “reject “any subjective belief or speculation.’ ” Id. (quoting Chapman v. Maytag Corp., 297 F.3d 682, 687 (7th Cir.2002) (citing Porter v. Whitehall Labs., Inc., 9 F.3d 607, 614 (7th Cir.1993)).

Under the second prong, the Court “evaluates the testimony’s relevance.” Id. The opinion may assist the trier of fact with any issue involved in the case; the expert need not opine about the ultimate issue. See Smith v. Ford Motor Co., 215 F.3d 713, 718 (7th Cir.2000). An expert may opine as to the hypothetical or probable causes of an event if such testimony would aid the jury. Id. at 718-19.However, the hypothetical alternative must itself have an analytically sound basis such that it is more than mere speculation. Id. at 719 (citing DePaepe v. Gen’l Motors Corp., 141 F.3d 715, 720 (7th Cir.1998)). The Court may not decide if the expert’s opinion is correct, rather it must only determine whether the expert’s testimony is pertinent to an issue in the case. Id.

Plaintiffs take issue with the following opinions of Young:

1. Mr. McQuiston parked his car so close to the right travel lane that the door could not be fully opened without taking up 16 inches of that lane.This is an observational opinion based on the position of Mr. McQuiston’s car after the accident as shown in a scene photograph and scaling of that photograph.

2. Mr. McQuiston had available to him a large expanse of shoulder and turf just 36 feet farther west that would have afforded him ample opportunity to exit his vehicle and effect repairs without risk of injury.This is an observational opinion based on the author’s visit to the accident site.

* * *

5. Mr. Helms’ truck did not touch Mr. McQuiston’s car despite the door being open and apparently taking up 16 inches of the right travel lane.This is based on the investigating officer finding no contact damage between the two vehicles.

6. The point of contact between Mr. Helms’ tractor and Mr. McQuiston himself is consistent with and supportive of Mr. Helms’ claim to have swerved left when Mr. McQuiston entered the right travel lane.A highway speed collision avoidance maneuver by a tractor with semi-trailer will generate enough lateral acceleration to cause negative offtracking. Negative offtracking is a turning condition under which the farther aft the axle is the farther outside of the path of travel of the front axle it follows. Hence, an object could be avoided by the front of the tractor and still be struck by the side of the tractor during negative offtracking. See ref. 7d,e.

7. In summary, Mr. McQuiston’s selection of a stopping location was faulty and his method of exit from his vehicle failed to yield the right of way to Mr. Helms.

Defs.’ Ex. 9, Dkt. No. 76(10) (emphasis in original).

Plaintiffs argue that Opinion Nos. 1 and 5 regarding the position of McQuiston’s driver side door are based on inaccurate photographs. According to Plaintiffs, eyewitness Stephen Green (“Green”), testified that the photographs do not “reflect the position of the driver’s door at the time of the collision.”Pls.’ Br. at 7. Green testified that McQuiston had the door pressed up against his body. Id. As a result, Plaintiffs argue that the Court should exclude Young’s testimony regarding Opinion Nos. 1 and 5 because “[e]xpert opinions that are based upon inaccurate photographs cannot be found to possess the ‘reliable basis in the knowledge and experience of [the relevant] discipline’ required for admission.”Pls.’ Br. at 8 (quoting Kumho Tire v. Carmichael, 526 U.S. 137, 149, 119 S.Ct. 1167, 143 L.Ed.2d 238 (1999)).

However, as Defendants note, Plaintiffs have mischaracterized Green’s testimony. Green did not testify about the position of the door when Helms passed by the car. Rather, Green testified about the position of the door when Green passed McQuiston. It is altogether possible that McQuistion completely extended the door after Green passed and, therefore, Plaintiffs’ cannot say for sure that Young’s opinions are based upon “inaccurate photographs.” Plaintiff’s Motion to Exclude Opinion Nos. 1 and 5 is DENIED.

Next, Plaintiffs argue that Dr. Young’s Opinion No. 6 regarding negative offtracking “is contrary to known vehicle dynamics” and therefore “fails to meet the standard that it have ‘reliable basis in the knowledge and experience of [the relevant] discipline.”Pls.’ Br. at 8 (quoting Kumho Tire, 526 U.S. at 149)). In support of this argument, Plaintiffs cite their own expert, Dwayne “Red” Owen (“Owen”), who opines that negative offtracking does not occur.

First, as the Court discusses in more detail below, Owen’s opinions are excluded under Rule 702 and Daubert and, therefore, his opinions regarding the existence of negative offtracking are irrelevant to Dr. Young’s ability to testify as an expert. Second, the Court notes that Dr. Young cited two studies to support his conclusion regarding negative offtracking: Fircke, L.B., Traffic Accident Reconstruction, Northwestern University Traffic Institute, 1990, ISBN 0-912642-07-6, and Christensen, T.C., Blythe, W., “Offtracking: History, Analysis and Simulation,” SAE 2000-01-1465. See Defs.’ Ex. 9, Dkt. No. 76(9). In addition, Dr. Young obtained a Masters degree and Ph.D. degree in mechanical engineering and has performed engineering consultation for twenty-seven years. Based upon the studies on negative offtracking, his experience and educational background, and his personal inspection of the evidence in this case, Dr. Young concluded, “The point of contact between Mr. Helms’ tractor and Mr. McQuiston himself is consistent with and supportive of Mr. Helms’ claim to have swerved left when Mr. McQuiston entered the right travel lane.”The Court concludes that Dr. Young’s opinion regarding negative offtracking is admissible.

Plaintiffs argue that “[D]r. Young’s opinions as to the vehicle dynamics involved at the point of impact between the J.B. Hunt semi-tractor and [McQuiston] are not germane to the issues in this case because H[elms]’ negligence had already occurred prior to impact.” Pls.’ Br. at 9. As a result, Plaintiffs argue that Dr. Young’s opinion regarding the alleged negative offtracking of Helms’ tractor is not relevant and will not assist the trier of fact. The Court disagrees and concludes that any evidence about the efforts Helms made to avoid hitting McQuiston are relevant.

Accordingly, the Court concludes that Dr. Young’s opinions regarding negative offtracking comply with Rule 702 and Daubert.Plaintiffs’ Motion to Exclude Dr. Young’s testimony regarding Opinion No. 6 is DENIED.

Finally, Plaintiffs argue that Dr. Young’s Opinion Nos. 2 and 7 should be excluded from testimony because “there is nothing about being an expert in vehicle dynamics that qualifies [D]r. Young to render opinions about whether [McQuiston] was at fault due to the location of where he stopped his car alongside the interstate.”Moreover, Plaintiffs contend that the jury does not need expert assistance to make such a determination. The Court agrees. Dr. Young’s Opinion No. 2 is essentially just a statement of fact regarding the position of McQuiston’s car. There is no need for an expert to testify as to the position of McQuiston’s car. Rather, a fact witness is more than capable of testifying as to the position of McQuiston’s car, and the jury is capable of drawing its own conclusions about whether or not that stopping location was “faulty.” Dr. Young’s opinions that McQuiston’s stopping location was faulty and that McQuiston’s “method of exit from his vehicle failed to yield the right of way” do not require special knowledge, training or expertise. SeeFed.R.Evid. 702. Therefore, Plaintiffs’ Motion to Exclude Opinion Nos. 2 and 7 is GRANTED.

B. MOTIONS IN LIMINE

Plaintiffs filed two Motions in Limine. See Dkt. Nos. 90, 93.The Court considers each Motion in turn.

First, Plaintiffs argue that Defendants’ violations of several Indiana statutes designed to avoid the precise hazard that occurred to McQuistion preclude Defendants from raising the affirmative defenses of contributory or comparative negligence and incurred risk. Plaintiffs assert that the Supreme Court of Indiana has held that “a tortfeasor who had the duty to prevent a specific harm cannot raise the occurrence of that very harm as contributory negligence.”Pls.’ Br. at 2 (citing Sauders v. County of Steuben, 693 N.E.2d 16 (Ind.1998)). Plaintiffs cite several Indiana statutes that impose certain duties on drivers and argue that, because Helms violated those duties, Helms cannot assert affirmative defenses of contributory or comparative negligence of incurred risk under Indiana law.

Sauders does not apply here. In Sauders, the court began by stating “[t]his case deals with the standard of liability of jailers for the suicide of a person in their custody.” Sauders, 693 N.E.2d at 17. In addition, that Supreme Court decided Sauders under the Indiana Tort Claim Act and not the Indiana Comparative Fault Statute. The Court stated:

[W]e hold that the decedent’s act of suicide cannot be the basis for a finding of contributory negligence or incurred risk that would bar a plaintiff’s claim for wrongful death of an inmate. To permit the suicide (or attempted suicide) to constitute a bar to recovery would eliminate altogether a claim for breach of a custodian’s duty to take reasonable steps to protect an inmate from harm, self-inflicted or otherwise. Because the instructions in this case permitted such a result, we grant transfer and remand for a new trial consistent with this opinion.

Id. Clearly, the Sauders court dealt with a particular type of plaintiff-an inmate who committed suicide-and a particular type of defendant-a jailer that has a specific custodial duty to its inmates. The present case pits a motorist with a general duty of reasonable care against a pedestrian/motorist who also has a general duty of reasonable care. Proof of McQuiston’s alleged negligence would not cause his claims against Defendants’ to “evaporate” as in Sauders.Rather, proof of McQuiston’s negligence would merely lower his damages depending on his degree of fault. In Sauders, the court concluded that any evidence of comparative negligence, namely suicide or attempted suicide, would necessarily “eliminate altogether a claim for breach of a custodian’s duty to take reasonable steps to protect an inmate from harm, self-inflicted or otherwise.”Id. Plaintiffs have cited no case law that extends Sauders to motor vehicle accidents, and this Court declines to do so here. Plaintiffs’ Motion in Limine to prohibit Defendants from raising affirmative defendants based upon Plaintiffs’ alleged negligence is DENIED.

Next, Plaintiffs argue that the Court should bar any lay witness testimony about fault. Defendants contend that the investigating officer, Mark Carnell (“Officer Carnell), will offer lay testimony regarding fault that complies with Rule 701. Rule 701 states:

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.

Fed.R.Evid. 701. The 2000 Amendments added subsection “(c)” to Rule 701“to eliminate the risk that the reliability requirements set forth in Rule 702 will be evaded through the simple expedient of proffering an expert in lay witness clothing.”Fed.R.Evid. 701 cmt. 2000 Amendments.

Defendants contend that Officer Carnell is entitled to draw conclusions based upon his own perception from examining the scene of the accident and the parties’ vehicles, the post-contact location of McQuiston’s body, the location of the damage on the J.B. Hunt tractor trailer unit, and the lack of damage to McQuiston’s car. The Court acknowledges that Officer Carnell may testify to facts that he observed from the scene of the accident. This, of course, is the function of a lay witness. However, Defendants seek to take Officer Carnell’s testimony a step further and allow him to draw an opinion based upon those facts. First, the jury is perfectly capable of drawing its own conclusions based upon the facts presented to it by Officer Carnell. As a result, his opinion would not be “helpful to a clear understanding of the witness’ testimony or the determination of a fact in issue.”Fed.R.Evid. 701. In addition, to the extent Officer Carnell relies on the knowledge he has gained through his work as a police officer to form his opinion, his opinion is necessarily based on “specialized knowledge,” and therefore such testimony would violate Rule 701(c).

Neither Plaintiffs nor Defendants cite to any other potential lay witness that may testify as to fault. The Court limits its ruling to Officer Carnell. Plaintiffs’ Motion in Limine regarding Officer Carnell’s opinion on fault is GRANTED.

Plaintiffs also request that the Court bar Officer Carnell from offering expert testimony. SeeDkt. No. 93.Defendants reply that they have no intention to offer Officer Carnell’s testimony as expert testimony, but that his opinions are nonetheless admissible under Rule 701. The Court has already concluded that Officer Carnell may not opine as to fault under Rule 701. Because Defendants do not intend to ask Officer Carnell to provide expert testimony, Plaintiffs’ Motion in Limine (Dkt. No. 93) is DENIED.

Next, Plaintiffs argue that testimony regarding Officer Carnell’s nonissuance of a traffic citation is not admissible evidence. The Court disagrees. Officer Carnell’s nonissuance of a citation to Helms is merely a fact, and not an opinion, about which Officer Carnell is entitled to testify. Therefore, Plaintiffs Motion in Limine as to testimony regarding the nonissuance of a traffic citation is DENIED.However, he may not testify about why he chose not to issue a citation. Were Officer Carnell to officer such testimony, he would necessarily opine, either implicitly or explicitly, that Helms acted reasonably and was, therefore, not at fault. As stated above, Rules 701 and 702 of the Federal Rules of Evidence bar that testimony.

Finally, Plaintiffs seek an order “requiring any party seeking to impeach a witness by evidence of a prior conviction to notify the Court and opposing counsel prior to attempting such impeachment and outside the presence of the jury so that the convictions in question can be fully addressed under the requirements of [Federal Rule of Evidence] 609.”Pls.’ Br. at 9. The Court notes that Plaintiffs do not cite any specific witness that may have criminal convictions. The Court concludes that the facts as presented do not warrant such an order, although the Court cautions counsel to use common sense. Should Plaintiffs have a specific witness in mind come the date of trial, the Court instructs counsel to re-assert its motion at that time. Plaintiffs’ Motion in Limine regarding this issue is DENIED.

II. DEFENDANTS’ MOTIONS

A. MOTION TO EXCLUDE TESTIMONY OF RED OWEN

Plaintiffs plan to call Dwayne “Red” Owen (“Owen”) to offer expert testimony regarding various aspects of the accident in question. Owen’s initial expert report contains sixteen “conclusions.” Defs.’ Ex. 7, Dkt. No. 76(7). Owen filed a supplemental expert report in which he provided five more “conclusions” based upon his review of the underlying facts of the accident and J.B. Hunt’s training materials. Defs.’ Ex. 11, Dkt. No. 76(11). The Court considers Defendants’ arguments regarding particular subsets of these conclusions below.

1. Conclusion Nos. 1 through 7

The first seven conclusions stem from Owen’s analysis of the engine control module (“ECM”) data from Helms’ tractor. According to Owen, the ECM data shows an approximate time span of sixteen and one half months for the “Trip.” Defs.’ Ex. 7, Dkt. No. 76(7). The “Trip” data indicates the highest speed obtained was 89 MPH. Id.In addition, Owen’s report concludes that the monthly activity reports for March 2006 show 1,232 counts of speed greater than or equal to 66 MPH, and 100 counts greater than or equal to 71 MPH. Id.The monthly activity report for April 2006 shows 895 counts of speech greater than or equal to 66 MPH, and forty counts greater than or equal to 71 MPH. Id.Owen concludes that although J.B. Hunt had the ability to monitor driver performance by downloading the truck’s ECM, “it is unlikely that J.B. Hunt is using the ECM data as an effective tool to monitor driver performance (safe driving strategy).”Id.Defendants argue that the Court should strike Owen’s Conclusion Nos. 1 through 7 because the ECM data upon which Owen relies is not relevant to the subject accident.

First, as to Conclusion Nos. 1 and 6, Defendants argue that Owen admitted he is not an expert in driver training or the management of tractor trailer units and that, therefore, the Court should exclude his conclusions regarding J.B. Hunt’s ability to monitor driver performance and its failure to use the ECM data as an effective tool to monitor driver performance. The Court concludes that J.B. Hunt’s ability to monitor driver performance and its alleged failure to use the ECM data as an effective tool to monitor driver performance is not relevant under Rule 401. Plaintiffs claims against Defendants are predicated only on Helms’ alleged negligence. Plaintiffs have not asserted a claim for negligence based upon any failure to monitor Helms’ performance or for inadequate training. Rather, J.B. Hunt’s potential liability stems exclusively from Helms’ allegedly tortious acts, assuming those acts occurred during the scope of his employment. Therefore, testimony regarding J.B. Hunt’s failure to use the ECM data to train or monitor Helms does not “hav [e] a tendency to make the existence of any fact that is of consequence to the determination of the action more probable or less probable than it would be without evidence.”Fed.R.Evid. 401. Therefore, Defendants’ Motion to Exclude Owen’s testimony regarding Conclusion Nos. 1 and 6 is GRANTED.Fed.R.Evid. 402.

The Court also concludes that Conclusion Nos. 2 through 5 of Owen’s report are barred by Rule 404(b). Owen’s report indicates that the ECM data shows that Helms traveled in speeds that exceeded 66 MPH and 71 MPH in March 2006, and 66 MPH and 71 MPH in April 2006. In addition, the report indicates that Helms’ top speed during a sixteen and one half month time period was 89 MPH. However, Owen cannot testify that the ECM made these recordings the day of the accident while Helms drove the tractor. Defs.’ Ex. 8, Dkt. No. 76(8), at 33.Indeed, Owen testified that he could not be sure whether these speeds were recorded in states that have speed limits up to and exceeding 70 MPH. Id. at 28, 32.The Court concludes that the only use for this evidence is to argue that because Helms had driven in excess of the speed limit in his past, he must have driven in excess of the speed limit on the day in question. Rule 404(b) bars such evidence. Fed.R.Evid. 404(b) (“Evidence of other … acts is not admissible to prove the character of a person in order to show action in conformity therewith.”). Defendants’ Motion to Exclude Opinion Nos. 2 through 5 is GRANTED.

Next, Defendants attack Owen’s Conclusion No. 7 that states: “The investigating officer had the opportunity, but failed to download the ECM data in order to obtain “Hard Brake” (quick stop) information that may have been present at the time of the crash. This data (if present) would have documented such items as the truck’s speed, brake, clutch, throttle, [and] cruise control status.”Defendants assert that this opinion, which relies upon “information that may have been present,” is too speculative and therefore unreliable under Rule 702 and Daubert.

In response, Plaintiffs accuse Defendants of intentionally destroying the evidence that would have been available to Owen for analysis. Pls. Br. at 17. Plaintiffs argue “it is undisputed that the vehicle remained under the direct control and authority of J.B. Hunt at all time[s] following the April 21, 2006, incident and it was J.B. H[unt’s] failure to preserve this critical evidence regarding the data created immediately preceding and contemporaneously with the collision in question.”Id. Therefore, Plaintiffs assert that they should at least be able to explain to the jury what evidence would have been available but for the Defendants’ destruction of that evidence so “that the jury can draw an adverse inference” against Defendants.

Conclusion No. 7 is about Officer Carnell’s failure to record certain ECM data that may have been available and not about what the ECM data says about Helms’ negligence. Officer Carnell’s failure to record the ECM data is not relevant to the issue of whether or not Helms acted negligently. Further, to the extent Plaintiffs argue that Defendants failed to preserve the ECM data, the Court notes that Plaintiffs have not demonstrated that Owen has personal knowledge of the efforts taken by Defendants to preserve the ECM data and, therefore, he cannot opine about Defendants’ alleged destruction of this evidence. The Court concludes that Owen’s testimony should be limited to the type of “Hard Brake” evidence that is generally present on an ECM at the time of a crash. Owen may not testify about the fact that such information is not available in the present case, nor the reason why the information is unavailable.

The Court concludes that the parties should address the issue of whether or not the Court should allow Plaintiffs to offer testimony about Defendants’ alleged failure to preserve the ECM data to allow the jury to draw an adverse inference in a separate motion. Were Plaintiffs allowed to present evidence that “Hard Brake” evidence would aid the jury in its decision regarding fault; that this evidence was likely produced by the ECM; that after the accident in question Defendants retained control of the ECM; and that now the ECM data is unavailable, the jury would naturally infer that Defendants destroyed the evidence. Yet, Plaintiffs have not established to the Court that: (1) J.B. Hunt had a duty to preserve the ECM data; or (2) that J.B. Hunt intentionally destroyed the ECM data. Without this showing, the Court questions whether or not any testimony regarding why the ECM data is unavailable would survive a Rule 403 attack.

Accordingly, Defendants’ Motion to Exclude Owen’s Conclusion No. 7 is GRANTED.

2. Conclusion No. 9

Conclusion No. 9 of Owen’s report states: “The contact damage to the side of the truck tractor does not support the investigating officer’s opinion of the truck tractor having swerved left prior to impact. The basis of his opinions is contrary to known vehicle dynamics.”Defs.’ Ex. 7, Dkt. No. 76(7). In the “Discussion” section of his report, Owen reasserts this conclusion and continues:

A vehicle turning to the left will off-track to the inside of the turn, i.e. pedestrian contact damages was on the left side of the truck. If the right front of the left turning truck tractor misses the pedestrian, the remaining right side of the truck will also miss the pedestrian.

Id. Owen essentially opines that negative offtracking does not occur. Owen does not cite any research papers or data to support his conclusion that the right side of the truck would miss the pedestrian if the right front of the truck missed the pedestrian. Additionally, the Court notes that Owen does not have a bachelors, masters, or Ph.D. degree in any discipline. Rather, Plaintiffs contend that Owen’s experience as an accident reconstruction ist satisfies Rule 702 and Daubert with respect to this opinion.

The Court acknowledges that Rule 702 allows an expert to be qualified by experience. However, the opinion must be the product of reliable principles and methods. Fed.R.Evid. 702; Ammons, 368 F.3d at 816. Here, Owen does not explain the methodology he used to conclude that regular, as opposed to negative, offtracking occurred in the present case, nor does he rely upon any studies regarding offtracking. He essentially points to his experience and states: “That is enough.” The Court disagrees. The party that proffers expert testimony bears the burden of proving that the opinion testimony satisfies Rule 702. See, e.g., U.S. v. Allen, 207 F.Supp.2d 856, 869 (N.D.Ind.2002). If Owen wants to rely exclusively upon his own experience to form an opinion in this case, as opposed to Dr. Young who relies upon scholarship, his experience, and his technical educational background, Plaintiffs need to provide the specific knowledge that Owen gained from his experience that relates to offtracking. Further, Plaintiffs need to explain how Owen’s applied that knowledge to the facts of this case to form his opinion. Owen’s current report provides no connection between his knowledge and the underlying facts that would enable him to draw the conclusion that Officer Carnell’s opinion, and the opinion of Dr. Young, “is contrary to known vehicle dynamics.”Defs. Ex. 7, Dkt. No. 76(7). Therefore, Defendants’ Motion to Exclude Conclusion No. 9 is GRANTED.

3. Conclusion No. 13

Conclusion No. 13 of Owen’s report states:

There is no evidence to support the pedestrian stepping beyond the perimeter of the open door as depicted in the crash scene photographs. An unlatched door can easily be blown open by a passing truck tractor/semi-trailer at highway speeds. Testing performed at Ruhl Forensic, Inc. has documented wind gusts as high as 20 MPH in close proximity to a passing semi.

Defs.’ Ex. 7, Dkt. No. 76(7).

The Court concludes that Owen’s Conclusion No. 13 does not satisfy Rule 702 and Daubert.In his deposition, Owen states that, in formulating this opinion, he relied upon tests performed by Dr. Strauss at Ruhl. He later made the following admissions:

•That none of the tests that Dr. Struass performed resulted in a car door being blown open;

• that none of Dr. Strauss’ studies involved a disabled vehicle on the side of the road being passed by a tractor trailer in the adjacent travel lane;

• that Owen had not personally performed any tests to see what happens to an open car door when a tractor trailer passes by in an adjacent travel lane;

• that Owen is not aware of any tests that have been performed using that scenario;

• that Owen has never personally seen an unlatched door blown open by a passing semi.

Defs. Ex. 8, Dkt. No. 76(8). Based upon these admissions, the Court concludes that Owen’s opinion that “[a]n unlatched door can easily be blown open by a passing truck tractor/semi-trailer at highway speeds” is not “based upon sufficient facts or data” and is therefore speculative and unreliable.Fed.R.Evid. 702; Ammons, 368 F.3d at 816. Because Owen cannot explain how the door became fully extended, his opinion that there is “no evidence to support the pedestrian stepping beyond the perimeter of the open door as depicted in the crash scene photographs” is speculative at best. Therefore, Defendants’ Motion to Exclude Owen’s Conclusion No. 13 is GRANTED.

4. Conclusion Nos. 1 through 5 of Owen’s Supplemental Report

In his supplemental report, Owen concludes that “James Helms failed to follow J.B. Hunt Transport’s safety training[,]” and then proceeds to list five separate training rules or policies that Helms allegedly failed to follow. Defendants argue the Court should exclude these opinions because Owen admitted he is not an expert in driver training or in the management of tractor trailer drivers by trucking companies. Plaintiffs assert that Owen will not testify that J.B. Hunt’s training program was deficient or negligent. Rather, Plaintiffs intend to call Owen to explain what J.B. Hunt’s safety training instructed Helms to do when faced with a situation similar to what occurred in the underlying accident; the purposes of the safety training; and how the procedures contained within that training, if followed, could have prevented the collision that forms the basis of this litigation. Pls.’ Br. at 15-16. Plaintiffs argue that Owen’s experience and training qualify him to testify to these issues.

The Court concludes that Owen’s opinion regarding whether or not Helms’ actions violated J.B. Hunt’s training policies will not “assist the trier of fact to understand the evidence or to determine a fact in issue [.]”Fed.R.Evid. 702; see Ammons v. 368 F.3d at 816. The jury is quite capable, after hearing testimony about Helms’ actions and J.B. Hunt’s training materials, of drawing its own conclusion about whether or not Helms contradicted the training policies. Further, Owen’s opinion about whether or not Helms’ “could have” avoided collision with McQuiston had he followed the training policies is not properly before the Court in Defendants’ Motion to Exclude. Therefore, Defendants’ Motion to Exclude Owen’s Opinions in his supplemental expert report is GRANTED.

B. MOTION TO STRIKE EXPERT REPORT OF DR. BROKAW

Defendants contend that Plaintiffs failed to comply with of the Federal Rules of Civil Procedure Rule 26(a)(2)(B) (“Rule 26(a) (2)(B)”), which requires an adverse party to disclose a written expert report, when they filed a “purported expert report” of Dr. David Brokaw (“Dr.Brokaw”), after the filing deadline of March 20, 2008. See Dkt. Nos. 78; 112(2). Other than Dr. Brokaw’s observations, the report contains impairment ratings based upon Dr. Brokaw’s observations and the American Medical Association’s Guide to Evaluation of Permanent Impairment, 5th Edition, Chapters 15 and 17. Dr. Brokaw also concludes that McQuiston may need some long term care. Defendants request that the Court strike the report and exclude Dr. Brokaw’s testimony as an expert witness.

Plaintiffs argue that the document to which Defendants object was created in the normal course of business through Dr. Brokaw’s treatment of McQuiston as his treating physician and that, therefore, it is not an expert report. Additionally, Plaintiffs cite an order written by Magistrate Judge Baker, in which he concluded that a Rule 26(a)(2)(B) report is not required for an injured parties’ treating physician where the nature of the physician’s opinion derives specifically from personal knowledge acquired through the course of treatment. Martin v. CSX Transportation, Inc., 215 F.R.D. 554, 557 (S.D.Ind.2003). Magistrate Judge Baker opined:

It is within the normal range of duties for a health care provider to develop opinions regarding causation and prognosis during the ordinary course of an examination. To assume otherwise is a limiting perspective, which narrows the role of a treating physician. Instead, to properly treat and diagnose a patent, the doctor needs to understand the cause of a patient’s injuries. As such, a physician ‘whose proposed opinion testimony will come from his knowledge acquired as a treating physician[ ] is not someone from whom a Rule 26(a)(2)(B) report is required.’ Sircher v. City of Chicago, 1999 WL 569568,(N.D.Ill.1999) (emphasis in original).

Id.(citations omitted).

The Court agrees with Magistrate Judge Baker’s reasoning and concludes that Plaintiffs did not violate Rule 26(a)(2)(B) in the instant case. The Court notes that the parties do not dispute that Plaintiffs disclosed Dr. Brokaw as an expert witness and that Dr. Brokaw was McQuiston’s treating physician for the injuries incurred in the accident at issue. In addition, Dr. Brokaw based his opinions about permanent impairment ratings and the potential need for long term care on information gathered and observations made during his treatment of McQuiston. Therefore, this is not a situation where a treating physician relies upon information gathered ex parte from the expert’s treatment of the patent. See Leaf v. Cottey, Cause No. 1:02-cv-1433, 2006 WL 91354, at *2n.1 (S.D. Ind., Jan. 12, 2006). Although Dr. Brokaw consulted the AMA Guidelines, a patient would expect his or her doctor to consult such documents and relay that type of information as a part of that doctor’s treatment of the patient. Accordingly, Defendants’ Motion to Strike Expert Report of Dr. Brokaw is DENIED.

C. MOTION IN LIMINE

Defendants’ Motion in Limine address multiple subject matters. First, Defendants seek an order that prohibits Plaintiffs from “introducing into evidence or conveying to the jury in any manner the relative economic or financial status of the Defendants.”Defs.’ Br. at 1. In addition, Defendants request that the Court bar any testimony regarding its liability insurance coverage. Plaintiffs do not respond to this issue in their brief. The Court concludes that any testimony regarding Defendants’ worth would not provide the jury with evidence relevant to its task of determining whether a duty was breached. See, e.g. Igo v. Coachman Indust., Inc. (Sportscoach), 938 F.2d 650, 652-53 (6th Cir.1991). The Court also concludes that Plaintiffs are barred from mentioning Defendants’ liability insurance coverage. SeeFed.R.Evid. 411. Defendants’ Motion in Limine as to these issues is GRANTED.

Next, Defendants argue that Plaintiffs should be prohibited from suggesting to the jury that this litigation is their only opportunity for compensation because such a suggestion would be “irrelevant to the issues the jury must decide in this case and may unfairly arouse the jury’s sympathy for the Plaintiffs.”Defs. Br. at 2. The Court disagrees and concludes that Plaintiffs are entitled to mention the fact that this litigation constitutes McQuiston’s only opportunity for reimbursement for his injuries. Defendants’ Motion in Limine as to this issue is DENIED.

Next, Defendants argue that the Court should bar testimony from McQuiston’s surgeon regarding McQuiston’s work life expectancy or life expectancy and that McQuiston lost wages or will lose wages in the future because of his injuries. The Court agrees and concludes that Plaintiffs have not demonstrated that Dr. Brokaw has the requisite expertise in order to form an opinion on McQuiston’s future earning capacity. Defendants’ Motion in Limine as to this issue is GRANTED.

Defendants also argue that the Court should bar Plaintiffs from “offering testimony that involves speculation as to medical issues [because] Plaintiffs are not physicians and do not have the requisite knowledge to discuss medical causation or the impact of a medical diagnosis on McQuiston’s ability to work in the future.”Defs.’ Br. at 5. Initially, the Court notes that “[a] witness does not need to be a doctor to discuss his or her health in general terms.” Collins v. Kibort, 143 F.3d 331, 337 (7th Cir.1998). However, McQuiston cannot opine on medical causation or the impact of Dr Brokaw’s medical diagnosis on his ability to work in the future because those opinions would necessarily have to be “based on scientific, technical, or other specialized knowledge.”Fed.R.Evid. 701. Therefore, Defendants’ Motion in Limine related to Plaintiffs’ testimony about “medical causation or the impact of a medical diagnosis on Matthew McQuiston’s ability to work in the future or on Matthew McQuiston’s potential disability” is GRANTED.

In their Motion in Limine, Defendants reassert the arguments they made in their Motion to Exclude Testimony of Red Owen. For the reasons stated above, Defendants’ Motion in Limine regarding Owen’s testimony is GRANTED.

Next, Defendants argue that the Court should exclude J.B. Hunt’s and Helms’ employment and training files from evidence as irrelevant to the claims asserted by Plaintiffs. However, the training files are not entirely irrelevant. Plaintiffs seeks to demonstrate that Helms was negligent in the manner in which he operated the semi-tractor trailer on the day of the incident by, in part, showing that Helms failed to follow J.B. Hunt’s instructions to avoid collisions provided in its training materials. Therefore, the Court concludes that these materials are relevant and that any potential prejudice to the Defendants based upon this evidence does not substantially outweigh its probative value. SeeFed.R.Evid. 403. Defendants’ Motion in Limine as to this issue is DENIED.

Next, Defendants seek an order that bars “any testimony or evidence regarding any attempts to negotiate a settlement of this matter.”Defs.’ Br. at 10. Defendants’ Motion in Limine as to this issue is GRANTED.SeeFed.R.Evid. 408.

Finally, Defendants seek an order that excludes the following four groups of evidence:

1. Any testimony, evidence or reference to the fact that Defendants made an objection to certain discovery or asserted a claim of privilege during pre-trial proceedings in this case.

2. Any testimony, evidence or reference to the fact that Defendants failed to call any witness equally available to all parties in this case.

3. Any testimony, evidence or reference to the existence or filing of this motion in limine, or to the fact that Defendants sought to exclude evidence, or to any ruling on the motion in limine by the Court.

4. Any testimony, evidence or reference to any prior or subsequent accidents or incidents, criminal, criminal traffic, traffic charges, arrests or other prior “bad acts” that might arguably be attributed to the Defendants.

Defendants’ Motion in Limine as to this evidence is GRANTED.

D. MOTION FOR SEPARATION OF WITNESSES

Plaintiff having filed no objection, Defendants’ Motion for Separation of Witnesses is GRANTED.

IV. CONCLUSION

For the foregoing reasons, the Court rules on Plaintiffs’, Matthew McQuiston and Joanna McQuiston, and Defendants, James K. Helms and J.B. Hunt Transport, Inc., pretrial motions as follows:

1. Plaintiffs’ Motion in Limine (Dkt. No. 90) is GRANTED in part and DENIED in part.

2. Plaintiffs’ Motion to Exclude Expert Testimony of Cline Young (Dkt. No. 92) is GRANTED in part and DENIED in part.

3. Plaintiffs’ Motion in Limine to Exclude Opinion Testimony of Carnell (Dkt. No. 93) is DENIED.

4. Defendants’ Motion to Exclude Testimony of Plaintiffs’ Expert (Dkt. No. 75) is GRANTED.

5. Defendants’ Motion to Strike Expert Report of Dr. Brokaw (Dkt. No. 78) is DENIED.

6. Defendants’ Motion in Limine (Dkt. No. 84) is GRANTED in part and DENIED in part.

7. Defendants’ Motion for Separation of Witnesses (Dkt. No. 109) is GRANTED.

IT IS SO ORDERED.

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