-->
Menu

Bits & Pieces

Stabler v. Florida Van Lines, Inc.

United States District Court,

S.D. Alabama,

Southern Division.

Rose STABLER, Plaintiff,

v.

FLORIDA VAN LINES, INC., Defendant.

 

Civil Action No. 11–0103–WS–N

Jan. 6, 2012.

 

Michael E. Mark, Mobile, AL, for Plaintiff.

 

Ashley Powell Griffin, Chad Marchand, W. Pemble Delashmet, Delashment & Marchand, P.C., Mobile, AL, David Kirby Howard, Jr., Mobile, AL, for Defendant.

 

ORDER

WILLIAM H. STEELE, Chief Judge.

This matter comes before the Court on the Motion for Summary Judgment (doc. 28) filed by defendant, Florida Van Lines, Inc. The Motion has been briefed and is now ripe for disposition.

 

The Rule 16(b) Scheduling Order entered by Magistrate Judge Nelson provides, in part, that “[i]f a party’s exhibits in support of or in opposition to a motion exceed 50 pages in the aggregate, then that party must deliver a courtesy hard copy of those exhibits to the Judge’s chambers by mail or hand delivery.” (Doc. 6, ¶ 13(c).) Here, each side has submitted in excess of 50 pages of exhibits in support of its legal memorandum, yet neither side has complied with the courtesy-copy requirement. The Court in its discretion will consider these filings at this time, despite the omission.

 

I. Background.

 

A. Nature of the Case.

 

This action arises from the loss of and/or damage to certain household goods during an interstate residential move. In particular, plaintiff, Rose Stabler, relocated from Ono Island, Alabama, to New Orleans, Louisiana in or about February 2009. Defendant, Florida Van Lines, Inc., allegedly provided services to her in connection with that move. Stabler was dissatisfied with those services, so she filed suit against Florida Van Lines in state court.

 

Defendant’s summary judgment brief alleges that the subject events took place in February 2010; however, the pleadings and defendant’s own exhibits leave no doubt that the actual time frame of Stabler’s move was February 2009. For example, Florida Van Lines’ invoice to Pack & Load Services in connection with the Stabler job was dated February 6, 2009. (Doc. 29, Exh. D.) And the estimate/order paperwork for the moving job reflected a pack date of “2/5/2009” and a deliver date of “2/6/2009.” (Id. at Exh. E.) Thus, defendant’s references to February 2010 appear to be typographical errors.

 

In her Second Amended Complaint, Stabler alleges causes of action against Florida Van Lines for breach of contract, negligence, wantonness, negligent supervision, wanton supervision, conversion and a claim under the Carmack Amendment, 49 U.S.C. § 14706. The well-pleaded facts upon which such causes of action rest include allegations that Florida Van Lines and another entity (Pack & Load Services, Inc.) failed properly to tag and inventory her household goods; used insufficient padding or packaging on various items; handled plaintiff’s goods in a manner resulting in loss, theft or damage to many items; packed certain “wrong items” for delivery; and rendered PODS units overloaded or inaccessible.

 

Inasmuch as the Carmack Amendment claim plainly arises under federal law, presents a federal question, and involves a matter in controversy exceeding $10,000, Florida Van Lines’ removal of this action to federal court on February 24, 2011 was jurisdictionally sound pursuant to 28 U.S.C. §§ 1331 and 1337. Federal jurisdiction would also be proper under 28 U.S.C. § 1332, inasmuch as Stabler and Florida Van Lines are of diverse citizenship and the amount in controversy (as pleaded in the Second Amended Complaint) plainly exceeds $75,000 because plaintiff claims $100,000 in damages on the Carmack Amendment claim alone.

 

Of potential significance to the issues presented on summary judgment, the Second Amended Complaint named Pack & Load Services, Inc. (“Pack & Load”) as a defendant in this matter, along with Florida Van Lines. In an Order (doc. 2) entered on March 21, 2011, however, this Court recognized that Stabler had settled her claims against Pack & Load, that all of her claims against that entity had been dismissed, and that Pack & Load was no longer a defendant to this action. As such, this case now proceeds solely as between Stabler and Florida Van Lines.

 

The summary judgment record reflects that Pack & Load paid Stabler approximately $2,000 in exchange for her executing a settlement agreement that may have contained a release. (Stabler Dep., at 128.) Plaintiff indicates that she viewed this settlement as “a slap in the face after what I had been through.” (Id.) Nonetheless, she does not contest the existence of an enforceable settlement agreement terminating her claims against Pack & Load. The remaining defendant, Florida Van Lines, insinuates that the Pack & Load settlement requires dismissal of Stabler’s claims against it as well; however, Florida Van Lines has made no showing that plaintiff’s claims against it were encompassed by any release she may have signed in favor of Pack & Load. Neither the settlement agreement nor any release contained therein is part of the record at this time; therefore, the Court expresses no opinions and makes no findings as to the scope of that release and defendant’s unsupported allusion that the Pack & Load settlement may be dispositive of Stabler’s claims against Florida Van Lines.

 

B. Relevant Facts.

 

The Court is mindful of its obligation under Rule 56 to construe the record, including all evidence and factual inferences, in the light most favorable to the nonmoving party, resolving all reasonable doubts about the facts in favor of the non-movant. See Skop v. City of Atlanta, GA, 485 F.3d 1130, 1136 (11th Cir.2007). Thus, plaintiff’s evidence is taken as true and all justifiable inferences from the record are drawn in her favor.

 

1. The Packing, Loading and Moving of Plaintif’s Household Goods.

In the light most favorable to plaintiff, the record reflects that in January 2009 she contacted Pack & Load and subsequently made arrangements to hire that company “to pack [her] personal belongings and load them onto PODs units for storage and to move other items to [her] new home in New Orleans, Louisiana,” from her then-residence in Ono Island, Alabama. (Stabler Aff. (doc. 36, Exh. 1), at 1.)  More specifically, certain of Stabler’s household goods at the Ono Island location were to be packed and loaded into portable storage units for transportation to a storage facility at Brookley Field in Mobile, Alabama, while others were to be packed and transported to her apartment in New Orleans. (Stabler Dep., at 26.) Stabler leased the PODS units from a third-party vendor; however, she directed Pack & Load / Florida Van Lines to load designated items from the Ono Island home into those units. (Id. at 34–35.) This move was “very important” to Stabler, so she devoted a great deal of time and attention to the advance planning of same. (Id. at 45.)

 

In selecting Pack & Load to perform the job, Stabler was persuaded by the company’s assurances “that anything that was upholstered would be shrink wrapped, anything glass and collectable would be shrink wrapped,” which was important to her because of various collectable possessions that she wanted “delicately handled .” (Id. at 35.) Also important to Stabler in her selection decision was Pack & Load’s assurance that it would “take very good care of [her] collectables.” (Id. at 38.)

 

From the outset, there was considerable ambiguity as to whether Stabler was dealing with Pack & Load or Florida Van Lines or both. Her testimony is that when she called Pack & Load’s offices, the person answering the phone “would say Florida Van Lines.” (Stabler Dep., at 36.) Stabler contends that in making the arrangements with Pack & Load to have her things moved, its representatives would sometimes identify themselves as “Florida Van Lines.” (Stabler Aff., at 1.) And the moving truck that arrived at the Ono Island residence on move-out day to collect Stabler’s belongings was clearly labeled a “Florida Van Lines truck,” and not a Pack & Load truck. (Stabler Dep., at 36.) From these and other circumstances, Stabler professed uncertainty as to which company she was dealing with at particular times because “it was like they were interchangeable.” (Id.)

 

Further facts concerning the relationship between Pack & Load and Florida Van Lines will be set forth infra.

 

Be that as it may, Stabler’s understanding was that Pack & Load / Florida Van Lines “were to come and pack up everything, put them in the PODS, deliver the PODS to Brookley Field and bring the rest of the items to New Orleans.” (Id. at 39.) To that end, at approximately 8:00 a.m. on February 3, 2009, a crew of two men arrived at Stabler’s Ono Island home in a large Florida Van Lines moving truck. (Id. at 45–46.) One of these workers was Fred Williams, who was wearing a Florida Van Lines uniform. (Stabler Aff., at 2.) The PODS units into which certain goods were to be loaded had been dropped off at Stabler’s home earlier that morning. (Stabler Dep., at 46.) For the next two days, the crew (along with Stabler herself) set to work on the move-out process.

 

To differentiate between goods bound for the PODS units and those to be taken to New Orleans, Stabler tagged the New Orleans items, provided written lists to the movers documenting which items should go to New Orleans, and “supervised these workers telling them to do this, do that.” (Stabler Dep., at 27–29.)  Stabler acknowledges that she “was with them working really closely every day” during the packing and loading process. (Id. at 28.) As the work crew reached each new area of the house, Stabler would describe to them in detail what she wanted them to do with her belongings in that location. (Id. at 52.) She acknowledges that she was “very involved in the moving process.” (Id.) In Stabler’s words, “I did pretty much everything an individual could do that was in my situation.” (Id. at 54.) However, she did not oversee or direct the work crew’s every movement and act in her home; rather, frequently the crew would be working in one area while Stabler was packaging up certain of her belongings in boxes elsewhere. (Id. at 52–53.) Thus, Stabler did not hover over the movers, directly monitoring their activities all day long. The record is clear that Stabler packed certain items into boxes, closed and labeled the boxes, and asked the movers to place them onto the truck. (Id. at 53.) In her words, she was “really busy packing things downstairs” while the movers were working in other parts of the home. (Id. at 56.) Nonetheless, Stabler had no concerns at the time, and believed that the movers were following her directions. (Id. at 65.) Stabler’s testimony is that all of her personal items were in “good condition” when the movers packed and loaded them. (Stabler Aff., at 2.)

 

Stabler adorned the items to be shipped to New Orleans with tags bearing the words “New Orleans.” (Id. at 28.) PODS items were not tagged. (Id. at 29.) As for the written lists Stabler provided the movers documenting which items were going where, Stabler prepared those “pretty detailed” lists the week before the movers arrived. (Id. at 31.) Stabler “walked them through with these lists” during the process. (Id.)

 

The packing and loading process took two full days, being February 3 and 4, 2009. (Stabler Dep., at 55–56.) Late in the second day, Stabler realized that she was going to have to “leave a lot of things behind that [she] did not plan on leaving behind” because the movers had not packed them. (Id. at 88–89.) The two PODS units were apparently full, and additional items that she wanted placed into storage would not fit into them. Stabler faults the movers for not notifying her of this problem in time to have another PODS unit delivered to that location. (Id. at 89.) In any event, the two PODS units were locked by the movers and picked up by the PODS vendor (which is not a party to these proceedings) on the evening of the second day, when the house was finished being packed. (Id. at 39, 99–100.) That third party then transported the PODS units to Brookley Field for storage purposes. (Id. at 39, 99.) Stabler retained custody and control of the only key to the locks on the PODS units. (Id. at 101.)

 

Many items from Stabler’s Ono Island home were neither loaded into the PODS units nor placed on the Florida Van Lines truck. Those household goods were disposed of in various ways. In particular, Stabler alerted a charity and a preschool that they “could have whatever was left in the house … said whoever gets here first you can have it, because there was a lot of things.” (Stabler Dep., at 88.) “[T]he charities came down there fairly quickly.” (Id. at 95.) In addition to the charity and the preschool, Stabler told her housekeeper and the housekeeper’s boyfriend (both of whom she had hired to clean the house) that “they could have anything that they saw that was left behind.” (Id.) Furthermore, Stabler unilaterally conveyed many of her unwanted household belongings to the movers themselves. So the end result was that some of Stabler’s items were placed in PODS units for storage at Brookley Field, others were loaded onto the Florida Van Lines truck for transport to her New Orleans, still others she gave to the movers to keep, and anything left behind was made available for the taking, first-come first-served, as offered to a charity, a preschool, and Stabler’s personal cleaning crew. No comprehensive itemized lists appear to exist showing which items ended up where.

 

In fact, Stabler was quite generous in giving the movers personal belongings that she did not want either loaded in the PODS units or transported to New Orleans. As Stabler summarized these gifts, “I gave them enough clothes to dress … young women, teenage girls, very well for a long, long time. I gave them electronics. I gave them artwork. I gave them televisions. I gave them so many things…. I thought I was being generous with these guys.” (Id. at 66.) Although she did not maintain an inventory of the items she gave to the movers, she testified at length to those items in her deposition. (Id. at 66–77, 81–82, 94.)

 

Ultimately, as to Stabler’s household goods that were transported to her Louisiana apartment, “[a] Florida Van Lines truck brought them to New Orleans, with one of the guys that packed.” (Stabler Dep., at 39.) Fred Williams was the mover who drove the Florida Van Lines truck to New Orleans and proceeded to unload Stabler’s goods there. It is undisputed that Williams was an employee of Florida Van Lines, and that he reported directly to Florida Van Lines’ vice president of operations, Doug Prescott. (J. Prescott Dep., at 16.) 0 Stabler also hired a second, local person to help the Florida Van Lines driver unload the truck at her New Orleans apartment. (Stabler Dep., at 105–06.)

 

0. Defendant’s position, which will be explored in greater detail infra, is that even though he was nominally a Florida Van Lines employee at all relevant times, Williams “was borrowed by and worked for Pack and Load to pack and transport plaintiff’s belongings.” (Defendant’s Interrog. Responses (doc. 36–5), at # 2.)

 

When Stabler unpacked her belongings in New Orleans, she was dissatisfied in many respects. For instance, rather than using the packing blankets to protect her goods, the movers had simply shipped the blankets by themselves in a separate box delivered to New Orleans. (Stabler Dep., at 44.) Thus, her household items were deprived of necessary (and available) padding and protection. Stabler also noticed that various items were missing, and requested of Florida Van Lines / Pack & Load that they be returned to her; however, no such items were returned. (Id. at 85–86.) For example, Stabler soon realized that her fur coats and linens were missing. (Id. at 114, 116.) She also noticed property damage to her household goods that were delivered to the New Orleans apartment, including substantial damage to various parts of a three-tiered marble table. (Id. at 110.) The critical point is that, according to Stabler, “[m]any items arrived in a damaged condition or were lost and/or stolen.” (Stabler Aff., at 2.)

 

Within a month after the move, Stabler went to Brookley Field to examine the contents of the PODS units. (Stabler Dep., at 116–17.) She found them in disarray or, in her words, “a nightmare.” (Id. at 119.) One unit was jammed full of outdoor furniture, mattresses and beds, with the sheets still on them, all jumbled together, with associated damage to various items. (Id. at 116.) For example, in perusing the contents of the PODS units, Stabler observed a damaged ball and clawfoot table that was “just thrown up in there.” (Id.)

 

By Stabler’s tally, the loss she has incurred as a result of damaged and missing items in connection with her February 2009 move is “a minimum of approximately $100,000.00.” (Stabler Aff., at 2.)

 

2. The Relationship Between Pack & Load and Florida Van Lines.

The parties’ briefs devote substantial attention to questions such as whether Pack & Load or Florida Van Lines performed the subject moving services, whether the Florida Van Lines worker was a “borrowed servant” for whose acts and omissions Pack & Load bore sole legal responsibility, and whether one company acted as the agent of the other. As such, some background information concerning the two companies is germane to the analysis.

 

Nominally, at least, Pack & Load and Florida Van Lines are distinct companies with distinct functions. (J. Prescott Dep., at 23.) 1 Pack & Load provides packing and loading services, while Florida Van Lines is a moving business. (Id. at 24.) More precisely, Florida Van Lines is “a transportation company,” while Pack & Load “is a company that provides laborers to pack and load goods.” (J. Prescott Aff., ¶¶ 3–4.) Defendant maintains that the two businesses are not related. (J. Prescott Dep., at 23.) Defendant further shows that each company has its own corporate form, shareholders and bank accounts, and no funds are intermingled. (J. Prescott Aff., ¶ 5.) Nonetheless, there is considerable overlap between them. Both entities are headquartered in the same facility in Clearwater, Florida. (J. Prescott Dep., at 6.) They share officers, as Jerry Prescott is the president of Florida Van Lines and the vice president of Pack & Load. (Id. at 5–6.) Prescott’s son, Doug Prescott, is the president of Pack & Load. (Id. at 6.) 2 Jerry Prescott and his wife both own Florida Van Lines and are part owners of Pack & Load. (Id. at 25.) Certain employees regularly provide services for both companies, but receive paychecks from Florida Van Lines, although Florida Van Lines classifies this arrangement as the leasing of its employees to Pack & Load. (Id. at 10–15, 25.) As further evidence of overlapping operations, plaintiff shows that she would call Pack & Load, only to have the person answering the phone identify the office as Florida Van Lines, and that the company’s representatives appeared to use the two names interchangeably in her dealings with them.

 

1. The name “Mid–State Services” also surfaces occasionally in the summary judgment record. It is undisputed that Mid–State Services and Florida Van Lines are one and the same entity. (Id. at 15.)

 

2. Although he presently holds no position in Florida Van Lines, until the summer of 2010, Doug Prescott served as the vice president of operations for that entity. (Id. at 6, 8.) As such, at the time of Stabler’s move, the president and vice president, respectively, of Florida Van Lines were also the vice president and president of Pack & Load.

 

By defendant’s admission, both Florida Van Lines and Pack & Load were involved in the events giving rise to this lawsuit. To be sure, defendant’s litigation position is that “Florida Van Lines was not hired by Plaintiff and did not contract to provide any services to Plaintiff.” (Defendant’s Interrog. Responses (doc. 36–5), at # 2.) But even defendant acknowledges that each company played a role in the Stabler job as follows: (i) “Florida Van Lines simply transported Plaintiff’s goods to New Orleans;” and (ii) “[t]he goods were loaded onto the truck by and at the direction of Pack and Load.” (Id. at # 4.) Thus, according to defendant, “Florida Van Lines was responsible for locking the container to be transported and driving the truck” (id. at # 10), but nothing further.

 

When Stabler made arrangements with Florida Van Lines / Pack & Load concerning her move, she received an “Estimate/Order” form agreement listing “Pack & Load Services, Inc.” as the “Agent” and not referencing Florida Van Lines at all. (Doc. 29, Exh. E, at 3.) That agreement specified that Pack & Load “is providing packing and loading services only. We are not a transportation company nor assume any liability during transportation.” (Id.) Likewise, the ensuing “Work Order” bears the name “Pack & Load Services” and makes no reference to Florida Van Lines. (Id. at 10.) Evidently, Pack & Load Services then contracted directly with Florida Van Lines for employee leasing and transportation services for the Stabler job. After the work was completed, Florida Van Lines sent invoices to Pack & Load for services labeled “Load/Unload PODS” and “Stabler # 20545.” (Doc. 29, Exh. D.) Pack & Load issued checks to “Mid–State Moving & Storage” (which everyone agrees is another name for Florida Van Lines) in full payment of those invoices. (Id.) Again, it is undisputed that Fred Williams is a Florida Van Lines general employee, that he appeared at Stabler’s home in a Florida Van Lines truck and wearing a Florida Van Lines uniform on moving day, and that he was heavily involved in the loading, transport and unloading of Stabler’s household goods.

 

II. Summary Judgment Standard.

Summary judgment should be granted only “if the movant shows that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Rule 56(a), Fed.R.Civ.P. The party seeking summary judgment bears “the initial burden to show the district court, by reference to materials on file, that there are no genuine issues of material fact that should be decided at trial.” Clark v. Coats & Clark, Inc., 929 F.2d 604, 608 (11th Cir.1991). Once the moving party has satisfied its responsibility, the burden shifts to the non-movant to show the existence of a genuine issue of material fact. Id. “If the nonmoving party fails to make ‘a sufficient showing on an essential element of her case with respect to which she has the burden of proof,’ the moving party is entitled to summary judgment.” Id. (quoting Celotex Corp. v. Catrett, 477 U.S. 317 (1986)) (footnote omitted). “In reviewing whether the nonmoving party has met its burden, the court must stop short of weighing the evidence and making credibility determinations of the truth of the matter. Instead, the evidence of the non-movant is to be believed, and all justifiable inferences are to be drawn in his favor.”   Tipton v. Bergrohr GMBH–Siegen, 965 F.2d 994, 999 (11th Cir.1992) (internal citations and quotations omitted). “Summary judgment is justified only for those cases devoid of any need for factual determinations.” Offshore Aviation v. Transcon Lines, Inc., 831 F.2d 1013, 1016 (11th Cir.1987) (citation omitted).

 

III. Analysis.

 

A. Florida Van Lines and the Borrowed Servant Doctrine.

 

As its first basis for seeking summary judgment, defendant argues that all packing and loading of Stabler’s household goods was performed by Pack & Load, such that Florida Van Lines cannot be held liable for any errors, omissions or problems as to those functions.3 In support of this contention, defendant relies on evidence that plaintiff’s contract was with Pack & Load, her paperwork was with Pack & Load, her payment was to Pack & Load, and her post-move claims process was with Pack & Load. Plaintiff’s obvious rejoinder is that the packing and loading services were performed to a large extent by Fred Williams, a Florida Van Lines employee who was wearing a Florida Van Lines uniform when he packed and loaded Stabler’s household goods onto a Florida Van Lines truck.

 

3. Of course, this argument does not and could not apply to Stabler’s claims concerning the transport and delivery of her household goods to the New Orleans apartment. Florida Van Lines readily concedes that it (and not Pack & Load) “transport[ed] Plaintiff’s belongings from Ono Island, Alabama, to New Orleans, Louisiana.” (Doc. 29, at 5; see also doc. 29, at 8 (“[t]here is no dispute that FVL was responsible for the transportation of Plaintiff’s belongings”).) Defendant must yield on this point, given its admission that Pack & Load “owns no trucks or drivers and is not capable or licensed to transport any goods.” (J. Prescott Aff., ¶ 7.) Because Pack & Load could not have transported Stabler’s goods to Louisiana and no third-party entities were involved, Florida Van Lines must have done so. Accordingly, the “borrowed servant” defense has no bearing on Stabler’s claims relating to Florida Van Lines’ transport of her household goods (as opposed to the packing and loading of same).

 

Even though its general employee was plainly a direct, active participant in the events giving rise to this litigation, defendant insists that it cannot be held liable for his packing and loading of Stabler’s household goods because Williams was a “borrowed servant” under Pack & Load’s control at that time. Pursuant to the so-called “borrowed servant” or “loaned servant” doctrine, “[w]hen one person puts his servant at the disposal of another for the performance of a particular service for the latter, the servant, in respect of his acts in that service, is to be dealt with as the servant of the latter and not of the former.” Ware v. Timmons, 954 So.2d 545, 551 n. 7 (Ala.2006) (citation omitted); see also Proctor v. Fluor Enterprises, Inc., 494 F.3d 1337, 1344 (11th Cir.2007) (describing Alabama’s borrowed servant doctrine as providing that employee in general service of one employer may be transferred for particular work assignment to third-party employer, in which case “the third-party employer that borrowed the employee accepts liability for the employee’s work on that particular assignment, and the general employer is not liable.”).4 This common-law principle has been embraced by Alabama courts as “an affirmative defense for which the defendant bears the burden of pleading and proof.” Proctor, 494 F.3d at 1350.

 

4. See also Langfitt v. Federal Marine Terminals, Inc., 647 F .3d 1116, 1122 (11th Cir.2011) (“an employee directed or permitted by his employer to perform services for another principal may become the employee—i.e., the ‘borrowed servant’—of the borrowing principal in performing those services,” in which case “the borrowing principal is considered the ‘borrowing employer’ and it is he, and not the employee’s general employer, that is held vicariously liable to third parties injured on account of the borrowed servant’s negligence in the scope of the borrowed-employment relationship”) (citations and footnote omitted).

 

“The ultimate test in determining whether an employee has become a loaned servant is a determination of whose work the employee was doing and under whose control he was doing it.” Id. at 1344 (citation omitted). “It is not the actual exercise of control which is determinative but rather the reserved right to control the employee.” Hauseman v. University of Alabama Health Services Foundation, 793 So.2d 730, 736 (Ala.2000) (citations omitted); see also United States Steel Corp. v. Mathews, 73 So.2d 239, 242 (Ala.1954) (“He is master who has the supreme choice, control and direction of the servant and whose will the servant represents in the ultimate result and in all its details.”). Further, “it is the entity’s right to control the manner and means of the employee’s work” that is relevant, “not the mere right to set general guidelines.” Defoor v. Evesque, 694 So.2d 1302, 1304 (Ala.1997) (citations omitted). In assessing whether the borrowing principal enjoys the requisite right of control over another’s employee, courts consider such factors as whether there was an express transfer of control, whether the borrowing principal exercised control, whether the borrowing principal paid the employee, whether the borrowing principal furnished necessary equipment, and whether the borrowing principal could terminate the relationship with the employee. See Langfitt v. Federal Marine Terminals, Inc., 647 F.3d 1116, 1123 (11th Cir.2011) (“Probative considerations of the borrowing principal’s right to control might therefore include: (1) direct evidence that the general employer expressly transferred control to the borrowing principal or that the borrowing principal exercised control; (2) evidence that the borrowing principal was responsible for paying the employee; (3) evidence that the borrowing principal furnished equipment necessary for performance of the work; and (4) evidence that the borrowing principal had the right to terminate its relationship with the employee”).

 

“Whether one who is usually and normally the servant of one master has become specially and temporarily the servant of another … is ordinarily a question of fact.” Hauseman, 793 So.2d at 736 (citations omitted); see also Coleman v. Steel City Crane Rentals, Inc., 475 So.2d 498, 501 (Ala.1985) ( “If reasonable persons can reach different conclusions on the question of whether a servant of one employee has temporarily become the servant of another, it is a question of fact for the jury.”). Moreover, “[i]n the absence of evidence to the contrary, there is an inference that the servant remains in his general employment so long as, by the service rendered another, he is performing the business entrusted to him by the general employer.” Defoor, 694 So.2d at 1304 n. 2 (citations omitted).

 

The summary judgment record does not establish that Florida Van Lines has conclusively, unambiguously met its burden of proof as to this affirmative defense. As stated above, the right of control is the crucial determinant of an employee’s “borrowed servant” status. Defendant’s only showing on this point is a generic, conclusory statement in an affidavit that Pack & Load “borrows laborers from other companies to perform packing and loading for its clients” and that “[t]he borrowed employees work for and under the control of Pack and Load Services.” (J. Prescott Aff., ¶ 5.) 5 On this record, defendant presents no information as to what arrangements were made between Florida Van Lines and Pack & Load vis a vis directing Williams’ activities on the dates in question, whether Pack & Load in fact exercised control over Williams at that time, who paid Williams for his efforts, who furnished Williams with the equipment he used (evidently the moving truck and uniform were supplied by Florida Van Lines, not Pack & Load), or whether Pack & Load had the ability to terminate its relationship with Williams in favor of someone else. We do not know who told Williams to appear at Stabler’s home on moving day, to which supervisors and which company he reported for instructions and progress updates as the packing and loading processes unfolded, or to what extent Florida Van Lines was calling the shots with regard to Williams’ activities.6 In short, the record reveals unanswered fact questions as to whose work the Florida Van Lines employee was performing during the Stabler job and under whose control he was doing it. Thus, Florida Van Lines has not satisfied its burden of proof at this time.

 

5. In its summary judgment brief, defendant seeks to augment this bare-bones showing via representations of counsel that Fred Williams “was hired by Pack and Load Services at a rate determined by Pack and Load Services, for a duration determined by Pack and Load Services, and was later paid by Pack and Load Services.” (Doc. 29, at 9.) The cited record materials do not prop up these specific factual propositions. The Jerry Prescott Affidavit (the lone exhibit cited by defendant for these facts) says nothing about who hired Williams, how he came to work the Stabler job, who directed his activities on-site, or who compensated him for his labors. Of course, unsupported statements of fact in a Rule 56 brief are not evidence, and cannot properly be considered. See, e.g., Ellis v. England, 432 F.3d 1321, 1326 (11th Cir.2005) (“mere conclusions and unsupported factual allegations are legally insufficient” on summary judgment); Sharpe v. Global Sec. Int’l, 766 F.Supp.2d 1272, 1282 n. 9 (S.D.Ala.2011) (where statements of fact in a brief are accompanied by record citations that do not support them, “the Court cannot accept counsel’s representations of fact and will not independently examine uncited portions of the record in search of support for a particular proposition”). And defendant’s suggestion that “the only job that was performed by [Williams] was packing and loading” (doc. 29, at 9) appears counterfactual, given (i) the paucity of record evidence to support it, and (ii) the reasonable inference from the record that Williams in fact transported those household goods to New Orleans, such that he did far more than mere packing and loading, and that he performed those transport services for Florida Van Lines, not Pack & Load.

 

6. At best, Florida Van Lines makes a generic citation to the collection of documents found at Exhibit E to its summary judgment submission, and states with a sweep of the hand that those documents “clearly support that … on the days the packing and loading took place, the FVL driver was an employee under the control of Pack and Load Services.” (Doc. 29, at 10.) Exhibit E is a composite exhibit consisting of correspondence, estimates and work orders for the Stabler job, some containing semi-legible handwritten notes by an unidentified person working for an unidentified company at unspecified times. Given the perfunctory argument on this point, the Court cannot discern from the face of this exhibit how these documents support Florida Van Lines’ position that Williams was working under Pack & Load’s control. Of course, the undersigned will not speculate or guess as to facts outside the record, and cannot fill in the blanks in the record with explanations never provided, in order to resolve the Rule 56 Motion in movant’s favor. See, e.g., Pears v. Mobile County, 645 F.Supp.2d 1062, 1081 n. 27 (S.D.Ala.2009) ( “The parties … cannot be heard to balk if the undersigned does not perform their research and develop their arguments for them.”); York v. Day Transfer Co., 525 F.Supp.2d 289, 301 n. 10 (D.R.I.2007) (“It is not enough merely to mention a possible argument in the most skeletal way, leaving the court to do counsel’s work, create the ossature for the argument, and put flesh on its bones.”) (citation omitted).

 

Insofar as Florida Van Lines maintains that the borrowed servant doctrine entitles it to summary judgment on the packing and loading claims, the Motion for Summary Judgment is denied because, given the underdeveloped record in critical respects, defendant has not met its burden of proof on this affirmative defense.

 

B. Carmack Amendment Preemption.

In the alternative, Florida Van Lines argues that all of plaintiff’s state-law causes of action are preempted by the Carmack Amendment, 49 U.S.C. § 14706. For her part, plaintiff contests the breadth of Carmack Amendment preemption, and insists that at least certain of her state-law claims are not preempted. Plaintiff has the upper hand on this issue.

 

Enacted in 1906, the Carmack Amendment creates a comprehensive “national scheme of carrier liability for goods damaged or lost during interstate shipment under a valid bill of lading.” 5K Logistics, Inc. v. Daily Exp., Inc., 659 F.3d 331, 335 (4th Cir.2011) (citation omitted); see also Smallwood v. Allied Van Lines, Inc., 660 F.3d 1115, 1121 (9th Cir.2011) ( “The Carmack Amendment governs the terms of interstate shipment by domestic rail and motor carriers.”). “The princip[al] purpose of the Carmack Amendment was to achieve national uniformity in the liability assigned to carriers.”   York v. Day Transfer Co., 525 F.Supp.2d 289, 297 (D.R.I.2007) (citation and internal quotation marks omitted).

 

“To accomplish the goal of uniformity, the Carmack Amendment preempts state law claims arising from failures in the transportation and delivery of goods.”   Smith v. United Parcel Service, 296 F.3d 1244, 1246 (11th Cir.2002); see also 5K Logistics, 659 F.3d at 335 (describing Carmack Amendment as “a comprehensive exercise of Congress’s power to regulate interstate commerce,” and opining that “there can be no rational doubt but that Congress intended to take possession of the subject and supersede all state regulation with reference to it”) (citation omitted); REI Transport, Inc. v. C.H. Robinson Worldwide, Inc., 519 F.3d 693, 697 (7th Cir.2008) (“The Carmack Amendment generally preempts separate state-law causes of action that a shipper might pursue against a carrier for lost or damaged goods.”).7 “The Supreme Court of the United States has described the preemptive effect of the Carmack Amendment very broadly…. The Carmack Amendment embraces all losses resulting from any failure to discharge a carrier’s duty as to any part of the agreed transportation.” Smith, 296 F.3d at 1249 (citations and internal quotation marks omitted).

 

7. The complete preemptive effect of the Carmack Amendment is well settled in the case law. See, e.g., U.S. Aviation Underwriters, Inc. v. Yellow Freight System, Inc., 296 F.Supp.2d 1322, 1339 (S.D.Ala.2003) ( “Congress intended the Carmack Amendment to provide the exclusive cause of action for damage to goods in interstate transportation by a common carrier.”); Chatelaine, Inc. v. Twin Modal, Inc., 737 F.Supp.2d 638, 641 (N.D.Tex.2010) (“The Carmack Amendment preempts state law claims against interstate motor carriers and provides the exclusive cause of action for loss or damages to goods arising from interstate transportation…. Further, the Carmack Amendment preempts all state claims that seek to recover damages to, or for loss of, goods during shipment, and for misdelivery or untimely delivery of goods.”); Certain Underwriters at Lloyd’s London v. BE Logistics, Inc., 736 F.Supp.2d 1311, 1314 (S.D.Fla.2010) ( Carmack Amendment “establishes a national liability policy for interstate carriers, and preempts all state and federal common law claims”); Custom Rubber Corp. v. ATS Specialized, Inc., 633 F.Supp.2d 495, 515 (N.D.Ohio 2009) (“the Carmack Amendment was intended to preempt causes of action against an interstate motor carrier for fraud, tort, and intentional and negligent infliction of emotional distress in addition to action for breach of contract”) (citation and internal marks omitted); Solectron USA, Inc. ex rel. Fidelity & Deposit Co. of Maryland v. FedEx Ground Package Systems, Inc., 520 F.Supp.2d 904, 908 (W.D.Tenn.2007) (“the Carmack Amendment, when it applies, converts a state common-law claim into a federal question claim” by virtue of the complete preemption doctrine).

 

Plaintiff apparently concedes that her state-law claims relating to household goods that were packed, loaded and transported to New Orleans are preempted by the Carmack Amendment. There being no dispute on this point, the Court will grant the Motion for Summary Judgment insofar as it seeks dismissal (on Carmack Amendment preemption grounds) of all state-law claims for loss or damage of Stabler’s household goods that were packed, loaded and transported to New Orleans. The Carmack Amendment provides Stabler’s exclusive remedy for those claims.8

 

8. As to all of plaintiff’s claims preempted by the Carmack Amendment, the preemption effectively transforms them into federal claims. See U.S. Aviation, 296 F.Supp.2d at 1339 (where state-law claims are preempted by the Carmack Amendment, “through the magic of jurisdictional alchemy” those “claims morph into a federal Carmack Amendment claim”) (citation and internal quotation marks omitted). Because Stabler has already asserted a separate Carmack Amendment cause of action against Florida Van Lines, those morphed state-law claims are redundant and retain no distinct, independent identity of their own.

 

Notwithstanding the existence of expansive Carmack Amendment preemption, plaintiff maintains that “[a]s to any items not placed in interstate commerce (not shipped) but simply packed and loaded, valid state law claims have been pled.” (Doc. 35, at 8.) 9 She elaborates that the claims she contends are not preempted are those relating to the “packing and loading onto PODS units [of] certain of the Plaintiff’s belongings which were not placed in interstate commerce but rather … [were] transported by a separate company to the Brookley facility.” (Id. at 9.) Plaintiff identifies no case authority in which a court has deemed Carmack Amendment preemption inapplicable in analogous circumstances .0 Nonetheless, it is abundantly clear that the Carmack Amendment does not apply to claims for loss of or damage to household goods in an intrastate move. See, e.g., Farrah v. Monterey Transfer & Storage, Inc., 555 F.Supp.2d 1066, 1068 (N.D.Cal.2008) ( Carmack Amendment does not apply where “Plaintiff alleges that she arranged for Defendant to package and transfer her personal property from her home in Pebble Beach, California, to Defendant’s storage facility in Salinas, California.”);   Burkett v. Fox Moving and Storage of Tennessee, LLC, 2010 WL 5184828,(M.D.Tenn. Dec. 15, 2010) (“the Carmack Amendment has no application—and thus does not preempt state-law claims—if the plaintiff’s claims concern a carrier who has merely transported property within a state”); Starling v. Grosse Pointe Moving Co., 2010 WL 457114,(E.D.Mich. Feb. 3, 2010) (“the Carmack Amendment does not apply when goods are shipped entirely within a state, that is, shipped in intrastate commerce”) (citation and internal marks omitted); Green v. All Star Moving and Storage, Inc ., 2000 WL 422339,(D.Kan. Mar. 31, 2000) (“The Carmack Amendment applies to interstate commerce, and has no application to purely intrastate commerce.”). Indeed, the Carmack Amendment only provides “the exclusive cause of action for loss or damages to goods arising from the interstate transportation of those goods by a common carrier.” Hoskins v. Bekins Van Lines, 343 F.3d 769, 778 (5th Cir.2003) (emphasis added).

 

9. To be clear, the Court does not understand plaintiff to be arguing that packing and loading activities are, by their very nature, inherently beyond the ambit of the Carmack Amendment. Such an assertion would be incorrect, as a matter of law, given the statute’s broad definition of covered transportation services. See York, 525 F.Supp.2d at 301 (transportation services covered by the Carmack Amendment include activities relating to movement of goods, “including arranging for, receipt, delivery, elevation, transfer in transit, … storage, handling, packing, [and] unpacking”) (citations omitted); 49 U.S.C. § 13102(23)(B) (defining “transportation” for Carmack Amendment purposes as including services related to the movement of property, such as “storage, handling, packing, unpacking” and the like). Rather, the Court understands Stabler’s position to be that the “interstate commerce” requirement is not satisfied as to those goods that defendant packed and loaded into the PODS units, inasmuch as those storage containers were never intended to leave—and never in fact left—the State of Alabama.

 

0. Such an omission is at plaintiff’s peril. See generally Minemyer v. B–Roc Representatives, Inc., 695 F.Supp.2d 797, 809 (N.D.Ill.2009) (“this is an adversarial system. It is not a court’s task to research legal arguments on a party’s behalf…. Arguments made without any citation to pertinent authority need not be considered.”).

 

As to the household goods that Florida Van Lines packed and loaded into the PODS units, the summary judgment record unequivocally shows that those storage units were never intended to be transported to Stabler’s apartment in New Orleans. Rather, it was always contemplated and agreed by the parties that the PODS units, once filled with household goods at Stabler’s Ono Island, Alabama residence, were to be transported on an intrastate basis to a storage facility at Brookley Field in Alabama. This was a purely intrastate transaction, then, and would appear on its face to be beyond the reach of the Carmack Amendment, which applies exclusively to goods shipped or transported in interstate commerce. Notably, defendant offers no response to this argument, and advances no theory or rationale for how the interstate commerce requirement might be satisfied as to plaintiff’s state-law claims related to lost or damaged goods in the packing and loading of the PODS units.1 Accordingly, those claims arising from loss or damage to goods packed, loaded and shipped exclusively on an intrastate basis are not completely preempted by the Carmack Amendment. Defendant’s Motion for Summary Judgment is properly denied insofar as it relates to those specific causes of action.

 

1. At most, Florida Van Lines theorizes that even if the packing and loading of the PODS units were activities beyond the reach of the Carmack Amendment, “FVL is not the proper party to assert those claims against as it was not responsible for that activity.” (Doc. 38, at 3.) This statement collapses into defendant’s “borrowed servant” theory, which has already been considered and rejected for summary judgment purposes. Again, there is evidence in the record that a Florida Van Lines general employee packed and loaded these goods. Unless the “borrowed servant” affirmative defense applies, Florida Van Lines is responsible for its employee’s conduct to the extent that he improperly packed and loaded goods into those containers. As discussed supra, genuine issues of fact remain as to whether the Florida Van Lines employee does or does not fall within the narrow confines of the “borrowed servant” defense in this instance; therefore, summary judgment is not appropriate.

 

C. The “Acts of Shipper” Defense under the Carmack Amendment.

Finally, Florida Van Lines maintains that all of plaintiff’s claims under the Carmack Amendment are barred by that statute’s “Acts of Shipper” defense.

 

The undersigned has previously set forth the burden-shifting analysis applicable to Carmack Amendment claims in the following terms:

 

“A plaintiff must first establish a prima facie case, proving by a preponderance of the evidence that (1) the goods were delivered to the carrier in good condition, (2) the goods arrived at the destination in damaged condition, and (3) a specified amount of damages resulted…. If the plaintiff makes a sufficient showing at the prima facie level, the burden shifts to the defendant to prove both that it was not negligent and that the damage was caused by one of five excusable factors, including: (i) an act of God, (ii) public enemy, (iii) act of the sender of the goods, (iv) public authority, or (v) the inherent vice or nature of the goods…. If the carrier/defendant fails to meet its burden, then liability is established, leaving only the question of damages.”

 

U.S. Aviation Underwriters, Inc. v. Yellow Freight System, Inc., 296 F.Supp.2d 1322, 1339 (S.D.Ala.2003) (internal citations and quotation marks omitted); see also REI Transport, 519 F.3d at 699 (prima facie case under Carmack Amendment requires showing of delivery in good condition, arrival in damaged condition, and damages, after which defendant must show both that it was free from negligence and that damage to cargo was due to an excepted cause relieving it of liability); Pacific Indem. Co. v. Pickens Kane Moving & Storage Co., 655 F.Supp.2d 1023, 1026 (D.Ariz.2009) (“A shipper establishes its prima facie case under the Carmack Amendment when it shows delivery of the goods to the carrier in good condition, arrival in damaged condition, and the amount of damages.”); Custom Rubber Corp. v. ATS Specialized, Inc., 633 F.Supp.2d 495, 509 (N.D.Ohio 2009) (adopting like standards for prima facie showing and defense under Carmack Amendment).

 

For summary judgment purposes, Florida Van Lines has not challenged Stabler’s ability to make out a prima facie case under the Carmack Amendment. Instead, it invokes the “acts of shipper” defense. Its sole argument in support of that defense is that Stabler admitted in her deposition that she had actively participated in packaging certain items and had monitored the workers as they packed and loaded her goods. This evidence, by itself, is wholly inadequate to establish Florida Van Lines’ entitlement to that defense, as a matter of law. Again, the carrier’s burden after a prima facie case is made is “to prove that it was not negligent and that the damage was caused by an event excepted by the common law.” 5K Logistics, 659 F.3d at 335. These are conjunctive, not disjunctive, requirements. See, e.g., REI Transport, 519 F.3d at 699 (defendant’s burden in Carmack Amendment action is “to show both that it was free from negligence and that the damage to the cargo was due to one of the excepted causes”) (emphasis added); Man Roland, Inc. v. Kreitz Motor Exp., Inc., 438 F.3d 476, 479 (5th Cir.2006) (to overcome presumption of negligence in Carmack Amendment case after plaintiff makes prima facie showing, carrier must show “that it was free from negligence and that the damage was … attributable to … the shipper”) (citation omitted). Defendant does not assert, much less show, that there are no genuine issues of fact as to whether it was negligent. Nor does defendant identify any evidence that Stabler’s participation in the packing of certain boxes, and her oversight of certain of the packers’ actions, caused the loss or damage of which she complains herein. In other words, Florida Van Lines does not even suggest, much less prove, that the damaged or lost household items sustained damage or loss because Stabler packaged them poorly, or because of errors or defects in Stabler’s instructions to the packers. Instead, defendant goes no further than to point to Stabler’s testimony that she packed some boxes herself and was otherwise involved in the moving process. There is no record evidence, for example, that Stabler actually packed any of the damaged goods, much less that deficiencies in her packing efforts caused the damage to those items. To state that Stabler participated in the packing of her goods cannot be equated, without more, to a showing that Stabler’s acts caused the damage to her cargo. Defendant has identified no evidence of any such causal nexus, and offers no factual basis that might support such a vast logical leap.

 

Because defendant has not established as a matter of law that it was free from negligence or that Stabler’s own acts caused the loss and damage of which she complains herein, summary judgment is not properly granted to defendant on its “acts of shipper” defense.

 

IV. Conclusion.

For all of the foregoing reasons, the Motion for Summary Judgment (doc. 28) is granted in part, and denied in part. The Motion is granted as to plaintiff’s state-law claims (other than those relating to the packing and loading of the PODS units for intrastate transport) on the ground of Carmack Amendment preemption. In all other respects, the Motion is denied.

Adams v. Logan Contractors Supply, Inc.

Court of Appeals of Nebraska.

Dana M. ADAMS, appellant,

v.

LOGAN CONTRACTORS SUPPLY, INC., and Matthew Melichar, appellees.

 

No. A–10–1063.

Dec. 29, 2011.

 

Appeal from the District Court for Douglas County: Leigh Ann Retelsdorf, Judge. Affirmed.

Robert F. Bartle and Jeffry D. Patterson, of Bartle & Geier Law Firm, for appellant.

 

Gregory G. Barntsen and Marvin O. Kieckhafer, of Smith Peterson Law Firm, L.L.P., for appellees.

 

INBODY, Chief Judge, and SEVERS and PIRTLE, Judges.

 

MEMORANDUM OPINION AND JUDGMENT ON APPEAL

SIEVERS, Judge.

Dana M. Adams appeals from a judgment on a jury verdict in the district court for Douglas County in favor of Logan Contractors Supply, Inc. (Logan Contractors) and Matthew Melichar on the issue of whether Melichar was negligent when, in the course of his employment with Logan Contractors, he collided with Adams’ vehicle after it went out of control on Interstate 80 near Omaha, Nebraska. On appeal, Adams alleges various errors by the trial court, none of which we find meritorious. Accordingly, after our review, we affirm.

 

FACTUAL BACKGROUND

On the morning of December 8, 2005, Adams was driving her white Ford Explorer westbound on I–80 in the right traffic lane. Adams was followed in the right lane by a semi-truck (semi) driven by Michael Randolph, an over-the-road trucker. Melichar was traveling in the left lane, and Randolph’s semi was ahead of him in the right lane. Melichar was driving a tractor-trailer owned by Logan Contractors, and he was in the course of his employment for Logan Contractors at that time.

 

Near the Interstate 680 interchange, Adams lost control of her vehicle. Adams’ vehicle moved from the right lane of travel across the left lane, collided into the concrete barrier separating the eastbound and westbound traffic lanes on I–80, rebounded about halfway back into the left lane of westbound traffic, and came to a stop. Melichar, who was traveling west in the left lane at approximately 50 to 55 m.p.h., collided with Adams’ vehicle. It is unclear why Adams lost control of her vehicle, because she has no recollection of the collision or of the events immediately beforehand.

 

Adams suffered serious injuries as a result of the accident. She sustained a head injury, a torn aorta, six broken ribs, several broken vertebrae, and fractures of both collarbones. Adams’ head injury caused a loss of bloodflow to the back of her eyes, resulting in a permanent loss of vision. She was placed in a medically induced coma for 9 days so that her aorta could heal. Additionally, Adams required an implant for one of her vocal cords, as it was thought she sustained a nerve injury resulting in partial vocal cord paralysis.

 

PROCEDURAL HISTORY

Adams filed a complaint in the district court for Douglas County on June 25, 2008, in which she alleged that Melichar was negligent for (1) attempting a passing maneuver in conditions which resulted in him driving too fast under the circumstances, (2) following too closely to another vehicle, (3) failing to stop or slow his vehicle in such a manner as to avoid the traffic accident, (4) failing to maintain control of his vehicle, and (5) failing to yield the right-of-way. Adams alleged that Logan Contractors, as Melichar’s employer and the owner of the vehicle he was driving at the time of the collision, was vicariously responsible for Melichar’s alleged negligence. Adams sought judgment against Logan Contractors and Melichar for $402,000 in special damages, plus additional general damages allowed under Nebraska law.

 

In their answer, Melichar and Logan Contractors denied the material allegations in Adams’ complaint. While Logan Contractors initially counterclaimed for damages to its equipment, the counterclaim was eventually dismissed without prejudice, and is not part of this appeal.

 

Melichar and Logan Contractors filed a pretrial motion in limine which, in pertinent part, sought to exclude the expected deposition testimony of Erick Stark, who arrived at the scene after the accident. This testimony was that if asked, Stark would say that he saw Randolph get out of his semi and yell at Melichar, “[Y]ou should have slowed down.” The motion asserts that this is “clearly hearsay,” is unreliable, and is inadmissible under the Nebraska Evidence Rules. The motion argues that such testimony should be excluded prior to trial because objections and rulings by the court at the time of trial would merely emphasize the matter and increase the prejudice. A hearing was held on the motion in limine and other pretrial matters on July 30, 2010. With respect to Adams’ objection to the admission of Stark’s testimony, the trial judge stated on the record, “I’m sustaining it at this point, but we can revisit that.”

 

Trial occurred September 1 through 3, 2010. According to Melichar’s trial testimony, the surface of I–80 was damp on the morning of the accident, but it was not icy. The Omaha police officer who completed the investigation report after the collision, Officer Shane Farrow, testified that it was a snowy day, and in his accident report, he marked the box “wet, icy, snow, slush, etc.” for circumstances contributing to the accident. Photographs of the area of the collision depict moisture, slush, and snow on the roadway and shoulder of the road. Melichar testified that he was traveling 50 to 55 m.p.h. when he hit Adams. His testimony was that he felt it was safe to travel at that speed under the then-existing weather conditions.

 

Melichar testified that he first saw Adams’ vehicle when she was directly in front of him, mere “seconds” before he hit her. He testified that he remembered seeing Randolph’s semi in the right lane beforehand, but that he was not attempting to pass the semi. He testified that Randolph’s semi kept him from seeing Adams’ vehicle until she was in his lane. He testified that when he saw Adams’ vehicle, it appeared to be standing still in the left lane, and that as soon as he saw it, he hit his brakes. He then ran into Adams’ vehicle, after which he hit the center median and came to a stop. Melichar testified that once he came to a stop, he climbed out the back of his tractor-trailer and went to where Adams was located. She had been ejected from her vehicle and was lying on the ground with people surrounding her. Melichar testified that he remembered Randolph yelling at him, but that because he was in a state of shock, he had no recollection of what Randolph said or his tone.

 

There was testimony from an accident reconstruction expert, Tony Kavan, that the westbound lanes curved left at the accident site, such that Randolph’s semi could not have obstructed Melichar’s view of Adams’ vehicle when she lost control. The photographs in evidence of I–80 at the accident site depict a curvature to the left of the westbound lanes. Kavan testified that the time it takes for a driver to perceive danger and then react to it is on average 1 seconds. He testified that at 50 m.p.h., a vehicle is traveling 73.3 feet per second, and that at 55 m.p.h., a vehicle is traveling about 80 feet per second. Kavan responded affirmatively when asked on cross-examination whether Melichar would have traveled 120 feet before he would have been able to react to Adams’ vehicle if he were traveling at 55 m.p.h. Depending on the trajectory of Adams’ vehicle across the left lane, Kavan’s testimony was that it was possible Melichar would not have had time to avoid the collision. The record is inconclusive regarding the distance between Melichar’s vehicle and Adams’ vehicle at any point before the collision, and the police report does not locate any skid marks.

 

Stark testified that he did not witness the accident. He had been traveling west on I–80 near the I–680 split. When he arrived at the accident scene, he pulled onto the right shoulder and stopped behind a semi that had pulled off the road to the right. Stark got out of his pickup to see if he could help. In an offer of proof outside the presence of the jury, Stark testified that he observed Randolph get out of the semi and yell, “You should have fucking slowed down!” to Melichar, who was on the opposite side of the roadway. Stark testified that Randolph appeared to be excited and upset when he yelled at Melichar. Importantly, we note that Randolph did not testify.

 

During Stark’s testimony, Adams’ counsel asked on direct examination whether Stark recalled anything Randolph said with respect to the way Melichar was driving leading up to the collision, “Just a yes or no.” Stark replied, “Yes, I believe so.” Adams’ counsel then said, “And I will ask for you to wait for the Court’s ruling for you to repeat to the jury what he said with respect to … Melichar’s driving.” At that point, opposing counsel, Gregory Barnsten, interposed an objection on relevancy and foundation, and asked to voir dire the witness. The court sustained the objection and gave Barnsten leave to voir dire Stark, and Adams’ counsel also made inquiry of the witness. The following voir dire examination then took place:

 

BY MR. BARNSTEN:

 

Q. Mr. Stark, you didn’t see the accident happen; right?

 

A. No, sir.

 

Q. When you pulled upon the scene, all of the vehicles were in place?

 

A. That’s correct.

 

Q. And so you didn’t observe what had gone on or the position of the vehicles at the time the collision took place, did you?

 

A. No, sir.

 

Q. You don’t know what Mr. Randol[ph], who I believe, was the truck driver what he saw or didn’t see?

 

A. No, sir.

 

MR. BARNSTEN: Renew my objection, relevancy and lack of foundation.

 

THE COURT: Sustained.

 

(Whereupon, the following proceeding was had in low tones at the bench.)

 

MR. PATTERSON: Can we inquire as to what is lacking?

 

THE COURT: I still think—he’s upset. That’s a conclusion. I want to know what makes him think he’s upset. Is he yelling, shaking, running? Is he—and I’m also not certain if the statement is relevant. Is the statement, why didn’t you slow down, he testified to, is—that’s his paraphrase. I don’t think he’s quoting—is that Randol[ph]? Is that an opinion?

 

MR. PATTERSON: I don’t think it’s an opinion. It’s—he’s asking a question, why didn’t you slow down.

 

THE COURT: I just don’t know that that’s relevant. I don’t think it tends to prove—I’m not sure it’s relevant. Lay some more foundation as—he doesn’t know this guy. How does he know he’s upset? … And lay a little more foundation for me at the time—I think—well, I think we’re there. I’m really concerned about those two things, he’s upset and it’s not relevant. What he had said already, there was yelling and profanity. What does it tend to prove?

 

MR. PATTERSON: The statement is excited.

 

THE COURT: What does his statement—what does this statement, why didn’t you slow down, tend to prove?

 

MR. PATTERSON: It shows that if you perceived losing control and didn’t slow down—

 

THE COURT: But what does that tend to prove? What does that tend to prove[?]

 

MR. PATTERSON: It proves he was going too fast under the circumstances existing, which is the issue of why it’s certainly relevant.

 

THE COURT: I’m going to sustain that. I don’t think it is relevant. Because right now, all of the evidence you have in is that he was behind him.

 

The foundational examination continued for a brief period longer, and the trial judge continued to sustain the objection to Stark’s testimony. After Adams’ offer of proof, the trial judge clarified her ruling on the above-mentioned objection to Stark’s testimony, stating:

And I just want to articulate for the record, in terms of excited utterance, it’s the Court’s feeling on the offer of proof, and I think I articulated this, but I wanted to make sure it’s clear, although the plaintiff may have laid foundation for that to be an excited utterance, the Court believes that it was not. And I believe I identified that after asking counsel for the purpose it was to be admitted which was basically it was the opinion of Mr. Randol[ph] as a lay witness that the defendant, Mr. Melichar, was going too fast. And the Court believes that as a lay opinion under those circumstances, it wasn’t relevant. There was not sufficient foundation of the witnesses[‘] personal knowledge, nor was there sufficient foundation that could lead the Court to conclude his conclusion was rationally based on his perception of the incident, because we don’t know whether he, in fact, observed the actual collision. There’s at least some evidence to suggest it occurred behind him. And, I guess, based on the fact we cannot know if he observed the collision or the speed of the defendant, it would not be admissible as an opinion of a lay witness. The Court finds that it wouldn’t be clear to the understanding of any of the issues. So, therefore, it’s not admissible.

 

At the close of Adams’ evidence, Adams’ counsel made an oral motion to amend her complaint to allege that Melichar violated the range of vision rule, that he failed to see things that would have been perceived by a reasonably careful driver in the same situation, and that he failed to operate his vehicle reasonably carefully considering the weather conditions on the road and the presence of other vehicles. Opposing counsel resisted that motion, arguing that all of the proof that had come forth was known leading up to the pretrial conference. The court reserved ruling on the motion. The next morning, prior to the jury instruction conference which will be discussed below, the court overruled Adams’ motion to amend without elaboration.

 

At the close of all the evidence, Adams moved for a directed verdict as to Melichar’s negligence. Specifically, Adams’ counsel argued that Melichar violated the range of vision rule as a matter of law. Adams’ counsel asserted that Kavan, the accident reconstruction expert, testified that Melichar had an unobstructed view of the road ahead of him and that thus, he failed to observe what was plainly obvious. “It is not a logical inference that Adams was invisible as she crossed the left lane, contacted the median, and came back into the left lane,” Adams’ counsel asserted. The court overruled the motion stating that there was an issue of fact for the jury as to what Melichar could or could not see immediately before the collision. The court ordered that the issue would be submitted to the jury. We note that the court found that the issue of Adams’ contributory negligence would not be submitted to the jury due to a lack of proof.

 

A jury instruction conference was held on September 3, 2010. At the conference, Adams’ counsel submitted requested jury instruction No. 3, which the court denied. Adams’ requested jury instruction No. 3 differs from the jury instruction actually given, jury instruction No. 2, mainly because it contains a section which states that the court has determined as a matter of law that certain facts exist, “and you must accept them as true.” Those facts are that (1) the cause of Adams losing control of her vehicle was not her own negligence, (2) Adams was injured in the collision with the vehicle Melichar was driving, and (3) there was no evidence that Adams was injured in the initial collision with the median barrier before colliding with the vehicle driven by Melichar. In denying the requested instruction, the court found that not submitting the issue of Adams’ negligence to the jury was sufficient with respect to fact number one listed in the proposed instruction. As for facts two and three, the court found that those were issues for the jury.

 

After less than an hour of deliberations, the jury unanimously found in favor of Melichar. The court accepted the jury’s verdict and entered the judgment accordingly. Adams now timely appeals.

 

ASSIGNMENTS OF ERROR

Adams alleges that the trial court erred in (1) sustaining the objection to Stark’s testimony regarding Randolph’s statement to Melichar, (2) overruling her motion for directed verdict on the issue of Melichar’s negligence, (3) refusing to allow her to amend her complaint at the close of evidence, and (4) failing to instruct the jury consistent with her proposed jury instruction No. 3.

 

STANDARD OF REVIEW

A jury verdict will not be disturbed on appeal unless it is so clearly against the weight and reasonableness of the evidence and so disproportionate as to indicate that it was the result of passion, prejudice, mistake, or some means not apparent in the record, or that the jury disregarded the evidence or rules of law. Mahoney v. Nebraska Methodist Hosp., 251 Neb. 841, 560 N.W.2d 451 (1997). Other standards of review applicable to Adams’ specific assignments of error will be set forth in the analysis section immediately below.

 

ANALYSIS

Was Objection to Stark’s Testimony Properly Sustained?

Adams argues that the trial court should have overruled the objection to Stark’s testimony regarding what he heard Randolph say to Melichar after the collision—“You should have fucking slowed down”—because that statement meets the requirements for the excited utterance exception to the hearsay rule and is relevant because it “make[s] it more probable for the jury that … Melichar could have slowed down and avoided the collision.” Brief for appellant at 16. She claims the court’s failure to overrule the objection amounts to prejudicial error.

 

In proceedings where the Nebraska Evidence Rules apply, the admissibility of evidence is controlled by the Nebraska Evidence Rules; judicial discretion is involved only when the rules make discretion a factor in determining admissibility. State v. Hembertt, 269 Neb. 840, 696 N.W.2d 473 (2005). A statement relating to a startling event or condition, an excited utterance, made while the declarant was under the stress of excitement caused by the event or condition is not excluded by the hearsay rule. Neb.Rev.Stat. § 27–803(1) (Reissue 2008). For a statement to qualify as an excited utterance, the following criteria must be met: (1) there must have been a startling event, (2) the statement must relate to the event, and (3) the statement must have been made by the declarant while under the stress of the event. State v. Hembertt, supra. We assume for purposes of discussion that Randolph’s statement meets the requirements for an excited utterance, but conclude that the trial court properly refused to allow the jury to hear the testimony.

 

Because the exercise of judicial discretion is implicit in determinations of relevancy, an appellate court will not reverse the trial court’s decision absent an abuse of discretion. Japp v. Papio–Missouri River NRD, 273 Neb. 779, 733 N.W.2d 551 (2007). An abuse of discretion in a ruling on the admissibility of evidence occurs when the trial judge’s reasons or rulings are clearly untenable, unfairly depriving a litigant of a substantial right and denying just results in matters submitted for disposition. Worth v. Kolbeck, 273 Neb. 163, 728 N.W.2d 282 (2007).

 

Adams argues that “[t]he trial court’s conclusion that … Randolph’s statement must also [in addition to being an excited utterance] qualify as a lay opinion is not supported by any case law known to [Adams].” Brief for appellant at 13. As we quoted above, after Adams’ counsel’s offer of proof, the trial judge said “the plaintiff may have laid foundation for that to be an excited utterance,” and as said above, we have assumed that it was indeed an excited utterance. However, the trial court additionally said:

 

And the Court believes that as a lay opinion under those circumstances, it wasn’t relevant. There was not sufficient foundation of the witnesses [‘] personal knowledge, nor was there sufficient foundation that could lead the Court to conclude his conclusion was rationally based on his perception of the incident, because we don’t know whether he, in fact, observed the actual collision. There’s at least some evidence to suggest it occurred behind him.

 

Under Neb.Rev.Stat. § 27–602 (Reissue 2008), a lay witness may not testify to a matter unless evidence is introduced sufficient to support a finding that he or she has personal knowledge of the matter. “The foundational requirement of firsthand knowledge applies whether the declarant is in court and available for cross-examination or out of court and the statement is being offered under a hearsay exception.” R. Collin Mangrum, Mangrum on Nebraska Evidence 384 (2010). See, also, State v. Jacob, 242 Neb. 176, 494 N.W.2d 109 (1993) (statements made under residual exception to hearsay rule inadmissible where there was no evidence declarant saw event in question). An excited utterance is, of course, offered as an exception to the hearsay rule.

 

In State v. Jacob, supra, the Supreme Court cited favorably to the following instructive passage from 1 McCormick on Evidence § 10 at 37–40 (John W. Strong 4th ed.1992):

 

“The common law system of proof is exacting in its insistence upon the most reliable sources of information. This policy is apparent in the Opinion rule, the Hearsay rule and the Documentary Originals rule. One of the earliest and most pervasive manifestations of this attitude is the rule requiring that a witness who testifies to a fact which can be perceived by the senses must have had an opportunity to observe, and must have actually observed the fact. The same requirement, in general, is imposed upon declarations coming in under exceptions to the hearsay rule, that is, the declarant must so far as appears have had an opportunity to observe the fact declared.

 

 

“The burden of laying a foundation by showing that the witness had an adequate opportunity to observe is upon the party offering the testimony….

 

 

“One who has no knowledge of a fact except what another has told him cannot, of course, satisfy the present requirement of knowledge from observation.”

 

State v. Jacob, 242 Neb. at 197, 494 N.W.2d at 123.

 

Here, the trial judge ruled that there was insufficient foundation that Randolph’s opinion, as overheard by Stark, that Melichar should have “slowed down” was rationally based on Randolph’s perception of the incident. The court stated in this regard, “[W]e don’t know whether he, in fact, observed the actual collision. There’s at least some evidence to suggest it occurred behind him.” Accordingly, the court’s implicit conclusion is that Randolph’s statement to Melichar would not be admissible as a lay opinion under § 27–602 due to a lack of evidence that Randolph had personal knowledge of the accident. The court also appears to have concluded that the statement was irrelevant because, without the required foundation for a lay witness, it does not tend to make the purpose for which it was offered—that Melichar was going too fast-any more or less likely.

 

Even if the criteria for the excited utterance exception to the hearsay rule were met, we agree that there was insufficient foundation that Randolph actually saw the collision so as to give him a rational basis for what is obviously a lay opinion. Randolph did not testify, and the only evidence that he actually witnessed the collision is the circumstantial possibility that, because Adams was driving in front of him prior to the accident, he saw the collision. And, equally important, that he made the observations required to render a lay opinion concerning Melichar’s speed immediately before impact. Additionally, as the trial court pointed out, there was evidence that the accident occurred behind Randolph’s semi.

 

Hence, we agree with the trial court that there was insufficient foundation laid to admit Stark’s testimony, even if such was an excited utterance, of Randolph’s lay opinion of Melichar’s speed. And it naturally follows that a lay opinion without the requisite foundation is irrelevant because it does not tend to prove the proposition it is offered to prove. This assignment of error is therefore meritless.

 

Should Motion for Directed Verdict Have Been Sustained?

Adams next asserts that the trial court erred in overruling her motion for directed verdict because Melichar was negligent as a matter of law “based solely on his testimony.” Brief for appellant at 16. At trial, Adams’ counsel argued in support of the motion that Melichar violated the range of vision rule. Her claim on appeal is essentially that there is no reasonable justification for Melichar’s not seeing Adams’ vehicle until the moment right before he hit it, except that he was not paying attention. Thus, she contends, her motion for directed verdict should have been granted.

 

With regard to the overruling of a motion for a directed verdict made at the close of all the evidence, appellate review is controlled by the rule that a directed verdict is proper only where reasonable minds can draw but one conclusion from the evidence, where an issue should be decided as a matter of law. Gagne v. Severn, 259 Neb. 884, 612 N.W.2d 500 (2000). In reviewing the trial court’s action, an appellate court must treat a motion for directed verdict as an admission of truth of all competent evidence submitted on behalf of the party against whom the motion is directed; such being the case, the party against whom the motion is lodged is entitled to have every controverted fact resolved in its favor and to have the benefit of every inference which can reasonably be deduced from the evidence. Floyd v. Worobec, 248 Neb. 605, 537 N.W.2d 512 (1995).

 

The range of vision rule provides that negligence generally arises as a matter of law if one operates a motor vehicle on a public street or highway and, on account of the manner of such operation, is unable to stop the vehicle or turn it aside without colliding with an object or obstruction on the street or highway within the operator’s range of vision. McFadden v. Winters & Merchant, Inc., 8 Neb.App. 870, 603 N.W.2d 31 (1999). The range of vision rule is applicable, notwithstanding that a motorist’s vision is impaired by atmospheric or weather conditions, such as falling or blowing snow, rain, mist, or fog; such factors are conditions and not intervening causes, and require drivers to exercise a degree of care commensurate with the attendant circumstances. See id. Strict application of the range of vision rule as a matter of law is inappropriate where a reasonable dispute exists on the question of whether the operator of a vehicle exercised the requisite care and prudence under the circumstances. Stinson v. City of Lincoln, 9 Neb.App. 642, 617 N.W.2d 456 (2000).

 

Upon overruling Adams’ motion for directed verdict at the close of evidence, the trial court said that there was an issue of fact as to what Melichar could or could not see immediately before the collision. Melichar’s testimony was that his view of Adams’ vehicle was obstructed by Randolph’s semi, which was behind Adams’ vehicle and ahead of Melichar’s tractor-trailer. There was also testimony from the accident reconstruction expert, Kavan, using the relative positions of the vehicles pre-collision as well as the direction that the roadway curved, that arguably disputed Melichar’s testimony that he could not see Adams’ vehicle in time to avoid the collision. Clearly, a dispute of fact existed on that question and, ultimately, on the issue of whether Melichar exercised the requisite care and prudence under the circumstances.

 

However, because our standard of review requires us to resolve every controverted fact in Melichar’s favor and to give him the benefit of every reasonable inference deducible from the evidence, we assume that he could not possibly see Adams until she was immediately in front of him and that he did not have sufficient time to swerve or brake to avoid her. Consequently, there is no merit to Adams’ argument that the trial court erred in overruling her motion for directed verdict. Whether Melichar violated the range of vision rule by failing to exercise the requisite care and prudence under the circumstances was clearly an issue of fact for the jury, and it was proper for the trial court to refuse to resolve that issue as a matter of law. We find no merit to this claim.

 

Did Trial Court Err by Refusing to Allow Adams to Amend Her Complaint and by Rejecting Her Requested Jury Instruction?

Adams’ third and fourth assignments of error are intertwined, and we discuss them together. In the context of Adams’ oral motion to amend, which she asserted at the close of her evidence, Adams’ counsel specifically asked to amend the complaint to include allegations that Melichar (1) violated the range of vision rule, (2) failed to see things that would have been perceived by a reasonably careful driver in the same situation, and (3) failed to operate his vehicle reasonably carefully considering the weather conditions and the presence of other vehicles. Permission to amend a pleading is addressed to the discretion of the trial court, and an appellate court will not disturb the trial court’s decision absent an abuse of discretion. Roos v. KFS BD, Inc., 280 Neb. 930, 799 N.W.2d 43 (2010).

 

In her brief, Adams does not specifically argue that the trial court’s failure to grant her motion to amend was an abuse of its discretion. Rather, she claims that the three issues she sought to add to the complaint, listed above, were tried by express or implied consent and that thus, they “ ‘shall be treated in all respects as if they had been raised in the pleadings.’ “ Brief for appellant at 20, quoting Neb. Ct. R. Pldg. § 6–1115(b). Accordingly, we read her contention to be that, pursuant to § 6–1115(b), the jury instructions should have been drafted to reflect those additional issues. Adams’ proposed jury instruction No. 3, which she claims the court should have used, contains these issues. And the court did instruct the jury that one of Adams’ claims was that Melichar was negligent in failing to stop or slow his vehicle in such a manner as to avoid the collision. Thus, whether expressly pleaded or not, the issue was submitted to the jury and no error is present on this basis.

 

Additionally, Adams asserts in her brief that the court’s decision not to submit the issue of Adams’ contributory negligence to the jury is the equivalent of directing a verdict in Adams’ favor on that issue. She argues that the jury instructions should have clarified the court’s finding that Adams’ negligence was not the cause of her losing control of her vehicle. Her brief recites, “Without a specific instruction that … Adams was not negligent, the trial court assisted defendants with their quest to confuse the jury about what was, and was not, the negligent act that caused the collision.” Brief for appellant at 22. She implicitly argues that she was prejudiced by the court’s refusal to accept her requested jury instruction No. 3 instead of the jury instruction actually used-jury instruction No. 2.

 

Whether a jury instruction is correct is a question of law, which an appellate court independently decides. Gary’s Implement v. Bridgeport Tractor Parts, 281 Neb. 281, 799 N.W.2d 249 (2011). To establish reversible error from a court’s failure to give a requested jury instruction, an appellant has the burden to show that (1) the tendered instruction is a correct statement of the law, (2) the tendered instruction was warranted by the evidence, and (3) the appellant was prejudiced by the court’s failure to give the requested instruction. Sturzenegger v. Father Flanagan’s Boys’ Home, 276 Neb. 327, 754 N.W.2d 406 (2008). All the jury instructions must be read together, and if, taken as a whole, they correctly state the law, are not misleading, and adequately cover the issues supported by the pleadings and the evidence, there is no prejudicial error necessitating a reversal. Kent v. Crocker, 252 Neb. 462, 562 N.W.2d 833 (1997). It is not error for the court to refuse to give a requested jury instruction if the substance of the requested instruction is contained in those instructions actually given. Id.

 

Jury instruction No. 2, which was given to the jurors in this case, relates that Adams alleges Melichar was negligent in one or more of the following ways: (1) driving too fast for the circumstances then existing, (2) following too closely to another vehicle, and (3) failing to stop or slow his vehicle in such a manner as to avoid said motor vehicle accident. Jury instruction No. 6, which was also given to the jurors in this case, recites:

 

Drivers are negligent if they do something a reasonably careful driver in the same situation would not have done or fail to do something a reasonably careful driver in the same situation would have done.

 

For example, drivers are negligent if they fail to see or hear those things that would have been seen or heard by a reasonably careful driver in the same situation. They are also negligent if they fail to keep their vehicles under such control as a reasonably careful driver would have, in the same situation.

 

Reasonably careful drivers take into consideration such facts as their own speed, the condition of their vehicles, the condition of the road, the presence of (snow, ice, slush, dampness, et cetera), the presence of other vehicles, and any other factors that affect driving conditions.

 

Drivers must use reasonable care even when they have the right of way.

 

We agree with Melichar and Logan Contractors that when the jury instructions are considered as a whole, in particular instructions Nos. 2 and 6, it is clear that the substance of Adams’ requested instruction No. 3 is contained therein. There is no merit to Adams’ claim to the contrary.

 

As for Adams’ contention that the court should have provided a specific instruction that Adams’ contributory negligence was not before the jury, the court found that its refusal to submit that issue to the jury was sufficient. However, given the law applicable to a driver’s duty to maintain proper control, we have serious doubts that the trial court’s apparent conclusion that, as a matter of law, Adams was not contributorily negligent was correct. See Huntwork v. Voss, 247 Neb. 184, 525 N.W.2d 632 (1995) (motorist is required to maintain reasonable control of vehicle commensurate with road conditions then and there existing at time of occurrence). Thus, under the applicable law, and a record which fails to reveal a nonnegligent cause of sudden loss of control such as a blown out tire or a seizure, it is difficult to see how the court could properly conclude that Adams was not negligent in losing control. But, even if such determination was error, it was to Adams’ benefit—although there is no cross-appeal on this issue. We note that Adams’ counsel remarked on the issue during closing arguments, stating, “As you heard in the closing arguments, there is no contribut[ory] negligence found. You will not have that issue before you because the Court ruled there’s no evidence of contributory negligence on behalf of … Adams.” Opposing counsel mentioned the issue again during his closing argument. Therefore, whether the court’s ruling on contributory negligence was proper or not, it is clear that Adams’ counsel made the jury aware of the court’s findings, without objection from defense counsel. Thus, there was no error prejudicial to Adams in the court’s instructions to the jury.

 

CONCLUSION

For the foregoing reasons, we find that the trial court properly (1) sustained the objection to Stark’s testimony regarding Randolph’s statement to Melichar, (2) overruled Adams’ motion for directed verdict on the issue of Melichar’s negligence, (3) refused to allow Adams to amend her complaint, and (4) declined to instruct the jury consistent with Adams’ proposed jury instruction No. 3. Accordingly, we affirm the judgment of the trial court in all respects.

 

AFFIRMED.

© 2024 Central Analysis Bureau