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Volume 19 (2016)

Remond Desir, Plaintiff, v. Wendell I. Austin, Logan Lynn Wray and Lynn Trucking, Defendants. Wendell I. Austin, Logan Lynn Wray and Lynn Trucking

United States District Court,

E.D. New York.

Remond Desir, Plaintiff,

v.

Wendell I. Austin, Logan Lynn Wray and Lynn Trucking, Defendants.

Wendell I. Austin, Logan Lynn Wray and Lynn Trucking, Third-party Plaintiffs,

v.

Ray’s Rapid Transporting LLC and Remusat Claude Thebaud, Third-party Defendants.

13 CV 912 (VMS)1

|

Signed 12/21/2015

 

 

MEMORANDUM AND ORDER

VERA M. SCANLON, United States Magistrate Judge.

*1 This is a personal injury action arising out of a motor vehicle accident and is before this Court on the basis of diversity jurisdiction. Before the Court is Third-party Defendants Ray’s Rapid Transporting, LLC (“Ray’s Rapid”) and Remusat Claude Thebaud’s (“Thebaud”) (collectively, “Third-party Defendants” or “TPDs”) motion for summary judgment pursuant to Federal Rule of Civil Procedure 56. For the reasons stated herein, Third-party Defendants’ motion for summary judgment is denied; however, Florida’s loss allocating law will apply.

 

 

  1. BACKGROUND
  2. Procedural History2

The instant action arises from a motor vehicle collision in Florida involving Plaintiff Remond Desir (“Plaintiff”) and Defendant Wendell I. Austin (“Austin”), who at the time of the accident was operating a vehicle and trailer owned, respectively, by Defendants Logan Lynn Wray (“Wray”) and Lynn Trucking. See Complaint, ECF No. 1. On August 22, 2013, Austin, Wray and Lynn Trucking (collectively, “Defendants,” “Third-party Plaintiffs” or “TPPs”) filed a Third-party Complaint against Rapid Ray’s, Plaintiff’s employer, and Thebaud, who was operating the vehicle in which plaintiff was a passenger when the accident occurred, alleging comparative negligence and seeking common law contribution and indemnification. See generally Third-party Complaint, ECF. No. 7.

 

Discovery between the parties subsequently commenced, and a discovery schedule was set. See November 21, 2013 Order, Un-numbered ECF Entry. Following several extensions of the discovery and dispositive motion-practice deadlines, I directed that any motions for summary judgment be initiated by May 1, 2015, in accordance with the Individual Rules of the Honorable Dora L. Irizarry, who –at the time – presided over all dispositive matters. See February 3, 2015 Order, un-numbered ECF entry. Due to subsequent extensions to the expert-discovery schedule, on April 24, 2015, I issued a revised scheduling order that set a deadline of June 8, 2015 for the parties to initiate any summary judgment motion practice. See April 24, 2015 Order, un-numbered ECF entry. This revised scheduling order granted the parties their “4th or 5th request for an extension” of the pretrial deadlines. See ECF No. 28.

 

After the June 8, 2015 deadline expired without any party initiating dispositive motion practice, Third-party Defendants sought to modify the scheduling order to extend the deadlines to move for summary judgment. See ECF No. 31. On June 29, 2015, District Judge Irizarry granted Third-party Defendants’ motion insofar as the deadline to initiate dispositive motion practice was extended to July 6, 2015. See June 29, 2015 Order, un-numbered ECF entry. On July 6, 2015, rather than initiating dispositive motion practice, Third-party Defendants filed another extension request. See ECF No. 31. Finding that Third-party Defendants did not establish good cause for their failure to comply with the June 8, 2015 and July 6, 2015 deadlines, District Judge Irizarry denied their request to modify the original schedule order, thus foreclosing their opportunity to move for summary judgment. See generally ECF No. 33.

 

*2 On August 26, 2015, the parties consented to my jurisdiction for all purposes. See ECF No. 38. On August 27, 2015, a conference was held, during which a trial date and briefing schedule for the parties’ motions in limine were set. See ECF No. 39. The motions in limine schedule specifically included dates by which the parties would brief whether New York or Florida’s loss allocating laws should apply at trial. Id. No party raised the prospect of moving for summary judgment. Id.

 

Pursuant to the briefing schedule set during the August 27, 2015 conference, Third-party Defendants served a motion for summary judgment, not a motion in limine, on October 2, 2015. See ECF No. 41. Plaintiff and Third-party Plaintiffs served their opposition papers on October 22, 2015, and October 23, 2015, respectively, see ECF Nos. 42-44, and Third-party Defendants served their reply papers on November 6, 2015. See ECF No. 45.

 

In sum, Third-party Defendants seek a declaration from the Court that Florida’s loss-allocating statute, Fla. Stat. § 768.31 (2015), applies to the contribution and indemnification claims made by Third-party Plaintiffs and that summary judgment be granted in their favor as a result.

 

 

  1. The Parties’ 56.1 Statements

Rule 56.1(a) of the Local Civil Rules of the Eastern District of New York requires a party moving for summary judgment to submit a “short and concise statement, in numbered paragraphs, of the material facts as to which the moving party contends there is no genuine issue to be tried.” The non-moving party, in turn, must submit “a correspondingly numbered paragraph responding to each numbered paragraph in the statement of the moving party, and if necessary, additional paragraphs containing a separate, short, and concise statement of additional material facts as to which it is contended that there exists a genuine issue to be tried.” Local Civ. R. 56.1(b). The responses by the non-moving party which attempt to “controvert any statement of material fact” asserted by the moving party must be supported by “citation to evidence which would be admissible” as required by Federal Rule of Civil Procedure 56(c). Local Rule 56.1(d). “If the opposing party [ ] fails to controvert a fact so set forth in the moving party’s Rule 56.1 statement, that fact will be deemed admitted.” Giannullo v. City of New York, 322 F.3d 139, 140 (2d Cir. 2003). Here, Third-party Defendants failed to properly file a statement in compliance with Local Rules 56.1(a) and (b), respectively.

 

Third-party Defendants submitted a 56.1 Statement containing fourteen paragraphs. See ECF No. 41, Attachment #4. The crucial “facts” which they use to support their argument that Florida law should apply (i.e., the domiciles of Plaintiff and Thebaud), though, are not found within their 56.1 Statement. Rather, Third-party Defendants describe the “facts” underlying these claims in their counsel’s “Affirmation in Support,” which, inter alia, describes this matter’s procedural history and recounts the substance of several depositions. See TPDs’ Affirmation in Support (“TPDs’ Aff.”), ECF No. 41, Attachment #1.3

 

*3 Third-party Plaintiffs properly responded to Third-party Defendants’ 56.1 Statement, and they also submitted their own statement of additional facts pursuant to Local Rule 56.1(b). See ECF No. 44, Attachment #4. Third-party Defendants, in turn, failed to respond to Third-party Plaintiffs’ statement of additional facts. See generally TPDs’ Reply Memorandum of Law, ECF No. 45.

 

“The purpose of Local Rule 56.1 is to streamline the consideration of summary judgment motions by freeing district courts from the need to hunt through voluminous records without guidance from the parties.” Holtz v. Rockefeller & Co., 258 F.3d 62, 74 (2d Cir. 2001). Altogether, counsel filed more than one thousand pages of documents, including exhibits, in support of their respective arguments. It is not this Court’s responsibility (although it undertook it as necessary), particularly when all parties are represented by counsel, to sift through the motion papers in an attempt to determine which material facts are undisputed and what evidence exists to support each parties’ claim. See Baity v. Kralik, 51 F. Supp. 3d 414, 418 (S.D.N.Y. 2014) (“The purpose of [Local Rule 56.1], and counsel’s compliance with the same, is to assist the Court by narrowing the scope of the issues to be adjudicated and identifying the facts relevant and admissible to that determination.”).

 

Typically, “[f]ailure to provide a responsive 56.1 statement usually means that the material facts in the [opposing] party’s 56.1(a) statement are deemed admitted as a matter of law.” Booth v. Melville, 14 Civ. 7022 (CM), 15 WL 7730931, at *1 (S.D.N.Y. Nov. 24, 2015) (citing Local Rule 56.1(c)); see T.Y. v. N.Y.C. Dep’t of Educ., 584 F.3d 412, 418 (2d Cir. 2009) (“A nonmoving party’s failure to respond to a Rule 56.1 statement permits the court to conclude that the facts asserted in the statement are uncontested and admissible.”). In this case, this general rule is complicated by the inclusion of the third-party action, such that two parties, rather than one, opposed Third-party Defendants’ motion, with only one party (Third-party Plaintiffs) filing a 56.1 counter-statement.

 

In Lopez v. Echebia, 693 F. Supp. 2d 381, 386 (S.D.N.Y. 2010), the Court found that because the mistakes made by one party in filing a Rule 56.1 statement did not “create[ ] a difficulty for the court,” it would not hold the party to the strict requirements of the rule. Although Third-party Defendants’ errors are formalistic in nature, they have certainly created difficulty for this Court, particularly because there are three parties and thus, three sets of motion papers. Nonetheless, “[a] district court has broad discretion to determine whether to overlook a party’s failure to comply with local court rules.” Holtz v. Rockefeller & Co., 258 F.3d 62, 73 (2d Cir. 2001). In my discretion, I will “look past such filing failures,” Derienzo v. Metro. Transp. Auth., 404 F. Supp. 2d 555, 557 n. 3 (S.D.N.Y. 2005), and review all of the parties’ arguments, the facts on which they rely, and the evidence supporting same.

 

 

  1. March 2, 2011 Motor Vehicle Accident

According to Plaintiff, at the time of the motor vehicle accident, Plaintiff owned Ray’s Rapid, a company which transported vehicles to and from car dealerships. See TPPs’ 56.1 ¶¶ 2-3. In line with his business, Plaintiff hired Thebaud to drive a freightliner truck to transport vehicles from Georgia to Florida. See TPPs’ 56.1 ¶ 5. During the drive, Plaintiff – who was a passenger in the freightliner – became tired and went to the sleeper section of the vehicle. See TPPs’ 56.1 ¶¶ 6-7. With Plaintiff in the rear, the freightliner truck collided with Austin, who was operating a Mack dump truck owned by his employer, Lynn Trucking, on Interstate 75 in Florida. See TPPs’ 56.1 ¶¶ 10-11, 12, 15. In essence, the parties blame one another for the accident. Third-party Defendants and Plaintiff claim that Austin negligently pulled on to the interstate from the shoulder and made contact with the front right corner of Plaintiff and Thebaud’s freightliner. See TPDs’ Affirmation in Support, ECF No. 41, Attachment #1 ¶ 23; Plaintiff’s Affirmation in Opposition, ECF No. 42 ¶ 7. According to Defendant/Third-party Plaintiffs, the collision was the result of Thebaud rear-ending Austin’s vehicle. See TPPs’ 56.1 ¶¶ 13-20.

 

 

  1. LEGAL STANDARD

*4 Summary judgment is proper only when, construing the evidence in the light most favorable to the non-movant, “there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a); see Kwong v. Bloomberg, 723 F.3d 160, 164-65 (2d Cir. 2013); Redd v. N.Y. Div. of Parole, 678 F.3d 166, 174 (2d Cir. 2012). The role of the court is not “to weigh the evidence and determine the truth of the matter but to determine whether there is a genuine issue for trial.” Cioffi v. Averill Park Cent. Sch. Dist. Bd. of Educ., 444 F.3d 158, 162 (2d Cir. 2006) (quoting Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249 (1986)). The “mere existence of a scintilla of evidence” is not enough to defeat summary judgment; “there must be evidence on which the jury could reasonably find for the [non-moving party].” Jeffreys v. City of New York, 426 F.3d 549, 554 (2d Cir. 2005) (internal quotations omitted); see Anderson, 477 U.S. at 252. The court’s function is to decide “whether, after resolving all ambiguities and drawing all inferences in favor of the non-moving party, a rational juror could find in favor of that party.” Pinto v. Allstate Ins. Co., 221 F.3d 394, 398 (2d Cir. 2000).

 

 

III. DISCUSSION

  1. Summary Judgment is Denied

Both Plaintiff and Third-party Plaintiffs argue that Third-party Defendants should not be permitted to move for summary judgment because their request to do so was denied by District Judge Irizarry. See July 28, 2015 Order, ECF No. 33. Third-party Defendants assert that even if they are not permitted to move for summary judgment, their motion should be considered as one for judgment on the pleadings pursuant to Fed. R. Civ. P. 12(c), as District Judge Irizarry never addressed the propriety of such a motion in her ruling.4

 

Pursuant to Fed. R. Civ. P. 56(b), a party may file a motion for summary judgment at any time until thirty (30) days after the close of discovery, “[u]nless … the court orders otherwise.” Here, Third-party Defendants failed to adhere to the Court’s scheduling orders, even after being granted numerous extensions of time in which to do so. Although the parties subsequently consented to my jurisdiction for all purposes, I will not disturb District Judge Irizarry’s prior ruling that Third-party Defendants failed to establish good cause for their failure to comply with the Court’s deadlines and thus are not permitted to move summary judgment. See Fry v. Hartford Ins. Co., 09 CV 6669 (CJS), 2011 WL 1672474, at *3 (W.D.N.Y. May 3, 2011) (striking summary judgment motion filed beyond the deadline set by scheduling order where no good cause was shown); Jackson v. Goord, 06 CV 6172 (CJS), 2013 WL 1560204, at *5-6 (W.D.N.Y. Apr. 10, 2013); Stover v. Northland Grp., Inc., 05 CV 476 (JTE), 2007 WL 1360603, at *2-3 (W.D.N.Y. May 8, 2007) (dismissing summary judgment motion filed after deadline where no good cause was shown).

 

In addition, Third-party Defendants will not be permitted to circumvent District Judge Irizarry’s ruling by characterizing their summary judgment motion as a motion for judgment on the pleadings; in either event, Third-party Defendants seek dispositive rulings from the Court. Moreover, my April 8, 2015 scheduling order – one of many from which the parties ultimately sought, and were granted, an extension – set a deadline for “any dispositive motion practice,” which included a motion for judgment on the pleadings, not just a summary judgment motion. See April 8, 2015 Order, un-numbered ECF entry (emphasis added).

 

Accordingly, Third-party Defendants’ motion for summary judgment, or in the alternative, judgment on the pleadings, is denied. Because the parties were permitted to brief the choice-of-law question as a pre-trial motion in limine, the Court will construe Third-party Defendants’ motion as such.

 

 

  1. Choice of Law
  2. Preliminary Matters

*5 Because federal courts sitting in diversity apply the substantive law of the state in which it is sitting, I apply New York’s choice-of-law rules. See Klaxon Co. v. Stentor Elec. Mfg. Co., 313 U.S. 487, 496 (1941); IBM v. Liberty Mut. Ins. Co., 363 F.3d 137, 143 (2d Cir. 2004). Under New York’s choice-of-law analysis, “the first step … of [the] inquiry is to determine whether there is an ‘actual conflict’ between the laws invoked by the parties.” Booking v. Gen. Star Mgmt. CoP., 254 F.3d 414, 419 (2d Cir. 2001); International Bus. Machs. Corp. v. Liberty Mut. Ins. Co., 363 F.3d 137, 143 (2d Cir. 2004) (“Choice of law does not matter, however, unless the laws of the competing jurisdictions are actually in conflict.”). “If such a conflict exists in a tort case, the court must then apply an ‘interest analysis to determine which of two competing jurisdictions has the greater interest in having its law applied in the litigation.’ +” Youngman v. Robert Bosch LLC, 923 F. Supp. 2d 411, 416 (E.D.N.Y. 2013) (quoting Padula v. Lilarn Props. Corp., 84 N.Y.2d 519, 521 (1994)).

 

“Performing that interest analysis requires the court to identify the type of rules that are in conflict.” Youngman, 923 F. Supp. 2d at 416. “If the conflict involves rules that regulate conduct, New York law usually applies the law of the place of the tort (“lex loci delicti”).” Id. (citing Allianz Ins. Co. v. Otero, 353 F. Supp. 2d 415, 423 (S.D.N.Y. 2004)); see Lee v. Bankers Trust Co., 166 F.3d 540, 545 (2d Cir. 1999). “[I]f the conflict involves rules that allocate loss — that is, rules that prohibit, assign, or limit liability after the tort occurs — the court must apply the principles set forth in Neumeier v. Kuehner, 31 N.Y.2d 121, 286 N.E.2d 454, 335 N.Y.S.2d 64 (1972), which take into account the domicile of the parties, the conduct at issue, and the purposes of the applicable substantive law.” Youngman, 923 F. Supp. 2d at 416 (citing Padula, 84 N.Y.2d at 522).

 

Under New York law, “two or more persons who are subject to liability for damages for the same [injury] … may claim contribution among them whether or not an action has been brought … against the person from whom contribution is sought.” N.Y. C.P.L.R. § 1401. In other words, “New York has a system of joint and several liability whereby a single defendant can be fully liable for the entire amount of the plaintiff’s damages even if other parties contributed to those damages.” Lamensdorf v. New York Univ., 10 Civ. 3462 (JSR), 2010 WL 4967824, at *3 (S.D.N.Y. Nov. 30, 2010).

 

Unlike New York, Florida has abolished joint and several liability such that a given defendant can only be liable for her equitable share of liability. See Fla. Stat. § 768.81. Specifically, with respect to negligence actions, “Florida’s comparative fault statute states that ‘[i]n a negligence action, the court shall enter judgment against each party liable on the basis of such party’s percentage of fault and not on the basis of the doctrine of joint and several liability.’ +” Maguire v. Demos, 10 CV 782 (SCB), 2012 WL 859605, at *2 (M.D. Fla. Mar. 12, 2012) (quoting Fla. Stat. § 768.81(3) (2011)). “In order to allocate any fault to a nonparty, a defendant must affirmatively plead this fault and prove it at trial ‘by a preponderance of the evidence.’ +” T & S Enters. Handicap Accessibility, Inc. v. Wink Indus. Maint. & Repair, Inc., 11 So.3d 411, 412 (Fla. 2d DCA 2009) (quoting Fla. Stat. § 768.81(3)(a)). “The current version of § 768.81 has essentially rendered a third-party complaint for contribution in a negligence action obsolete.” Maguire, 2012 WL 859605, at *2 (citing T & S Enters., 11 So.3d at 413).

 

Here, the parties do not dispute that there is an actual conflict between the relevant New York and Florida laws. Likewise, there is no dispute that the laws at issue are properly characterized as loss-allocating. As it is undisputed that a conflict exists, and that the relevant laws are loss-allocating, I must determine the domiciles of each party in order to apply the rules set forth in Neumeier.

 

 

  1. Domiciles of the Parties

*6 “Determining a person’s domicile is a mixed question of law and fact reserved for the Court.” Hidalgo v. City of New York, 2015 WL 1729811, at *2 (S.D.N.Y. Apr. 14, 2015); Katz v. Goodyear Tire & Rubber Co., 737 F.2d 238, 243 (2d Cir. 1984) (“In analyzing the propriety of a court deciding a factual issue on a pretrial motion, we distinguish between jurisdictional and nonjurisdictional issues. The question of jurisdiction need not be submitted to a jury.”). “New York courts have stressed that residence is distinct from domicile.” Antone v. Gen. Motors Corp., 64 N.Y.2d 20, 29 (1984). “[R]esidence requires only ‘a significant connection with some locality in the State as the result of living there for some length of time during the course of a year,’ +” whereas domicile “ +‘requires both a presence in the state and evidence of intent to make the state a permanent home.’ ” Youngman, 923 F. Supp. 2d at 420 (quoting Antone, 64 N.Y.2d at 30); Palazzo ex rel. Delmage v. Corio, 232 F.3d 38, 42 (2d Cir. 2000) (“Domicile is the place where a person has his true fixed home and principal establishment, and to which, whenever he is absent, he has the intention of returning ….”) (internal quotation marks & citation omitted). “Thus, the concept of domicile includes both physical presence in a state, along with the intent to remain there.” Richins v. Hofstra Univ., 908 F. Supp. 2d 358, 361 (E.D.N.Y. 2012) (citing Palazzo, 232 F.3d at 42).

 

A party can have only one domicile at a time, Katz, 737 F.2d at 243, and “the pertinent time for purposes of choice-of-law analysis is the time of the tort rather than any later time,” Youngman, 923 F. Supp. 2d at 420 (citing, inter alia, Gore v. Northeast Airlines, Inc., 373 F.2d 717, 722-24 (2d Cir. 1967)). “Courts take into account a number of factors when considering where a person is domiciled, including a party’s ‘current residence, voting registration, driver’s license and automobile registration, location of brokerage and bank accounts, members in fraternal organizations, churches, and other associations, places of employment or business, and payment of taxes.’ +” Hidalgo, 2015 WL 1729811, at *2 (quoting Kennedy v. Trustees of Testamentary Trust of Will of Kennedy, 633 F. Supp. 2d 77, 81 (S.D.N.Y. 2009), aff’d, 406 F. App’x 507 (2d Cir. 2010)). “Courts also consider ‘whether a person owns or rents his place of residence, the nature of the residence (i.e., how permanent the living arrangement appears) … and the location of a person’s physician, lawyer, accountant, dentist, stockbroker, etc.’ +” Kennedy, 633 F. Supp. 2d at 81 (quoting Nat’l Artists Mgmt. Co. v. Weaving, 769 F. Supp. 1224, 1228 (S.D.N.Y. 1991)). “No single factor is determinative, and courts must consider the totality of the evidence.” Hidalgo, 2015 WL 1729811, at *2 (internal quotations omitted).

 

Here, the parties do not dispute that on the date of the accident, Third-party Plaintiffs (Austin, Wray, and Lynn Trucking) were domiciled in Ohio, and Ray’s Rapid was domiciled in Georgia. See TPDs’ 56.1 ¶¶ 5-8. Plaintiff and Thebaud’s domiciles remain up for debate. As such, with the relevant standard in mind, I review the evidence made available in the motions filed to determine Plaintiff and Thebaud’s domicile below.

 

 

  1. Plaintiff’s Domicile

In 1977, Plaintiff immigrated to the United States from Curacao, a Dutch Caribbean island just off the Venezuelan coast. See Plaintiff’s Deposition Transcript (“Pl’s Tr.”), 13:7-16.5 From approximately 2003 to 2006, Plaintiff resided in Brooklyn, New York. See Pl’s Tr., 10:25-11:12. Sometime in 2006, Plaintiff moved to Georgia where he ultimately lived until approximately 2012. See Pl’s Tr., 9:22-10:22. In 2007, Plaintiff incorporated Ray’s Rapid, a limited liability company specializing in the transport of vehicles up and down the East Coast. See Pl’s Tr., 32:13-19; 33:16-20; 35:11-13; 36:17-24; see also TPPs’ 56.1 ¶¶ 2-3. Plaintiff was the sole owner of the company, which, according to Plaintiff, dissolved sometime in late 2011 or early 2012.6 See Pl’s Tr., 32:20-25; 33:13-15.

 

*7 In approximately mid-2012, Plaintiff moved to Queens, New York to live with a friend and has remained there to date. See Pl’s Tr., 5:11-13; 7:3-5. According to the Complaint in this action, as of the time of its filing in February 2013, Plaintiff resided in Queens, New York. See Complaint, ECF No. 1, ¶ 1. As of late 2014, Plaintiff maintained a commercial driver’s license from Georgia, which on its face, indicates that he resides in the issuing state. See TPDs’ Aff., ECF No. 41, Attachment #2, Exhibit K. Most significantly, in 2010 and 2011, Plaintiff filed federal tax returns listing Georgia as his home. See TPDs’ Aff., ECF No. 41, Attachment #2, Exhibit H.

 

Although Plaintiff subjectively claims that he was domiciled in New York at the time of the accident, this is insufficient to establish that New York was his domicile in the face of his tax returns which state, under the penalty of perjury, that Georgia was his home in 2011, thus “clearly and convincingly demonstrat[ing] his presence in the state and evidence of intent to make the state a permanent home.” Youngman, 923 F. Supp. 2d at 422 (finding plaintiff’s tax returns decisive when determining domicile for choice-of-law analysis); see Willis v. Westin Hotel Co., 651 F. Supp. 598, 601 (S.D.N.Y. 1986) (“Although intent is crucial to domicile, mere subjective statements of affiliation with a particular state or of an intent to make it one’s home, of course cannot suffice for a finding of state citizenship if such statements are belied by objective indicia of actual residence and intent.”). In fact, not only do Plaintiff’s tax returns suffice to establish his domicile, they likewise estop Plaintiff from arguing to the contrary, as “[a] party to a litigation may not take a position contrary to a position taken in an income tax return.” Am. Mfrs. Mut. Ins. Co. v. Payton Lane Nursing Home, Inc., 704 F. Supp. 2d 177, 193 (E.D.N.Y. 2010) (quoting Mahoney-Buntzman v. Buntzman, 12 N.Y.3d 415, 422 (2009)); see Armstrong v. Collins, 2010 WL 1141158, at *31 (S.D.N.Y. Mar. 24, 2010) (collecting cases).

 

As such, at the time of the motor vehicle accident, Plaintiff was domiciled in Georgia.

 

 

  1. Thebaud’s Domicile

Sometime in the 1980s, Thebaud immigrated to the United States from Haiti, and obtained an associate’s degree from Royal Business School, located in Queens, New York, in approximately 1988. See Thebaud’s Deposition Transcript (“Thebaud Tr.”), 9:18-21, 19:17-20:8. In 2008, Thebaud acquired a Georgia commercial driver’s license, which remains valid to date. See Thebaud Tr., 19:3-16. That same year, in Georgia, Thebaud incorporated Auto Craft Transport, a limited liability company specializing in the transport of vehicles. See Thebaud Tr., 15:14-17:10. Thebaud is the sole owner of the company, which is located in Georgia and New York, although its principal place of business is in Georgia. See Thebaud Tr., 15:14-17:10. Following the March 2011 accident, Thebaud sought, and received, medical treatment – including physical therapy – from several Georgia health providers. See Thebaud Tr., 77:23-78:7; 80:24-85:22.

 

In February 2013, Thebaud filed a separate lawsuit in this district against Austin, Wray and Lynn Trucking, claiming injuries as a result of the same motor vehicle accident at issue in this litigation. See Docket 13 CV 1071 (E.D.N.Y.), Complaint, ECF No. 1. In Thebaud’s Complaint, he asserted that he was a resident of New York. See Docket 13 CV 1071 (E.D.N.Y.), Complaint, ECF No. 1, ¶ 1. In contrast, in his Answer to the Third-party Complaint in this litigation, which was filed in October 2013, Thebaud acknowledged that he was a resident of Georgia. See TPDs’ 56.1 ¶ 3; ECF No. 17, ¶ 3. At his deposition in this matter, which was held in October 2014, Thebaud testified that he has resided at his parents’ home in New York for approximately thirty years. See TPPs’ 56.1 ¶ 21.7

 

*8 Like Plaintiff, I must conclude that Thebaud was domiciled in Georgia at the time of the motor vehicle accident. As of March 2011, Thebaud was living in Georgia, maintained a Georgia commercial driver’s license, was employed by Plaintiff’s Georgia-based company and owned a vehicle transportation company which had been operating since 2008 and was based therein. Although Thebaud was living with his sister in Georgia at the time, he owned no property in New York such that his living arrangements should tip the scale in any discernable manner. The only evidence which arguably supports the belief that Thebaud was domiciled in New York – his deposition testimony and his filing of a lawsuit in this district several years after the accident – is subjective and self-contradictory. Thebaud testified at his deposition that he resided in New York for the prior thirty years, which is clearly untrue as he spent, at a minimum, several years in Georgia operating his company. Similarly, he admitted in his Answer to the Third-party Complaint filed in this action that he, in fact, was a resident of Georgia. See ECF No. 17, ¶ 3.

 

In light of the above, I find Thebaud to have been a Georgia domiciliary on the date of the motor-vehicle accident.

 

 

  1. Whether New York or Florida law governs

When choosing between the conflicting loss-allocation laws of states, a court sitting in diversity jurisdiction in New York must apply the analysis set forth in Neumeier “by considering the parties’ respective domiciles, the relevant conduct[ ] and the purposes of the applicable substantive law.” Youngman, 923 F. Supp. 2d at 419 (citing Padula, 84 N.Y.2d at 522; Lee, 166 F.3d at 545). Under Neumeier, a court should apply one of three different approaches based on the parties’ domiciles:

The first applies when the parties are domiciled in the same state, in which case the law of the state of the common domicile applies. The second rule applies when the parties are domiciled in different states and the law of each state is favorable to its respective litigant. In that case, the law of the place where the tort occurred applies. The third Neumeier rule applies to all other split-domicile scenarios[,] [where] [t]he law of the state where the tort occurred presumptively controls, except where displacing the law of the place of the tort will advance the relevant substantive law purposes without impairing the smooth working of the multi-state system or producing great uncertainty for litigants.

Antaeus Enters., Inc. v. SD-Barn Real Estate, LLC, 480 F. Supp. 2d 734, 742-43 (S.D.N.Y. 2007) (internal alterations & citations omitted); see Neumeier, 286 N.E.2d at 457; Cooney v. Osgood Mach., Inc., 612 N.E.2d 277, 281-82 (1993).

 

Although not raised by the parties herein, there is additional wrinkle to the choice-of-law analysis. All of the parties advocate for a blanket determination that either New York or Florida’s loss allocation laws apply, but none considers whether different laws should apply to each claim made by each party. As the New York Court of Appeals has stated, “the correct way to conduct a choice-of-law analysis is to consider each plaintiff vis-à -vis each defendant.” Edwards v. Erie Coach Lines Co., 17 N.Y.3d 306, 329 (2011). In other words, it is possible to apply one state’s laws to Plaintiff’s claims against Defendants/Third-party Plaintiffs and another state’s laws to the claims made by Defendants/Third-party Plaintiffs against Third-party Defendants. See Edwards, 17 N.Y.3d at 330-31 (applying Ontario’s loss allocating statute to claims made by Plaintiff against Defendants and New York’s loss allocating statute to claims by Defendants/Third-party Plaintiffs against Third-party Defendants). As such, rather than make a determination that either New York or Florida law applies wholesale, the Court will analyze the original action and third-party action separately. See Tkaczevski v. Ryder Truck Rental, 22 F. Supp. 2d 169, 172 (S.D.N.Y. 1998) (“Choice of law is not determined in toto for an entire litigation but must be analyzed as to each claim in an action.”); Schultz v. Boy Scouts of America, 65 N.Y.2d 189 (1985) (performing the Neumeier analysis on a party-by-party basis).

 

*9 As it stands, the parties’ domiciles at the time of the March 2011 accident are as follows:

 

 

Original Action

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Third-party Action

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“As the parties [in the original and third-party actions, respectively,] are not domiciliaries of the same state and as neither is a domiciliary of the state where the tort occurred, the court must consider the conflicting comparative negligence laws here under the third step of the Neumeier analysis.” O’Brien v. Marriot Int., Inc., 04 CV 3369 (VVP), 2006 WL 1806567, at *4 (E.D.N.Y. June 29, 2006).

The third Neumeier rule “presumes application of the law of the situs as a default,” Tkaczevski, 22 F. Supp. 2d at 173; see Cooney, 612 N.E.2d at 281-82 (noting that the third Neumeier rule “generally uses the place of injury, or locus, as the determining factor”), unless it appears that “displacing [the] normally applicable rule will advance the relevant substantive law purposes of the jurisdictions involved.” Neumeier, 286 N.E.2d at 458 (internal quotations omitted); see also Gilbert v. Seton Hall Univ., 332 F.3d 105, 111 (2d Cir. 2003) (“A primary reason that locus of the tort tips the balance, of course, is that ordinarily it is the place with which both parties have voluntarily associated themselves.”). Although it is true that “New York courts have generally recognized that when considering conflicting loss-allocating rules … the locus jurisdiction has at best a minimal interest in determining the right of recovery or the extent of the remedy,” O’Brien, 2006 WL 1806567, at *4, none of the parties in either the original action or third-party action was domiciled in New York.

 

Admittedly, this is an uncommon circumstance. Typically, when choice-of-law issues arise, parties tend to seek the application of law from either the site of the tort, or one of the parties’ domiciles. Here, though, Plaintiff and Third-party Plaintiffs argue for the application of law from a state which has no connection to, and thus no interest in, any of the parties, at least during the relevant time frame.8 See McDuffie v. Wilner, 415 F. Supp. 2d 412, 422 (S.D.N.Y. 2006) (“New York has no interest in the loss allocation in this case since no party is domiciled in New York.”). Accordingly, for purposes of the trial, the Court will apply Florida’s loss-allocating statute to Plaintiff’s and Third-party Plaintiffs’ actions.9

 

 

  1. CONCLUSION

*10 For the reasons stated above, Third-party Defendants’ motion for summary judgment is denied, but Third-party Defendants’ motion in limine seeking a declaration that Florida’s loss-allocating statute applies is granted.10

 

In light of the Court’s holding, the trial previously scheduled to commence on January 11, 2016 is postponed sine die. Moreover, as discussed in greater detail during the December 15, 2015 conference, to the extent Plaintiff seeks to amend the Complaint, the parties are directed to comply with the briefing schedule discussed therein. See ECF No. 46. As discussed, any such motion must address, inter alia, the timeliness of Plaintiff’s claims, the relation-back doctrine, any prejudice to any party by the timing of the motion, any relevant insurance-related concerns, whether the amendment destroys diversity jurisdiction, and the domiciles/residences of the parties at the time of the filing of the action.

 

All Citations

Slip Copy, 2015 WL 9412542

 

 

Footnotes

1

The parties have consented to my jurisdiction for all purposes. See ECF No. 38.

2

Facts relating to the procedural history of the case are taken from the docket.

3

Similarly, although Plaintiff substantively opposed the motion, he did not submit a counter-56.1 statement. Like Third-party Defendants, Plaintiff’s counsel filed an “Affirmation in Opposition,” which contains subheadings entitled “Counter-Statement of Procedural History,” “Facts” and “Legal Argument,” only parts of which are supported by citations to evidence. See Plaintiff’s Affirmation in Support (“Pl’s Aff.”), ECF No. 42.

4

Third-party Defendants incorrectly characterize a motion for judgment on the pleading as being governed by Fed. R. Civ. P. 12(b)(6).

5

Numerical citations refer to the page and line number of the relevant transcript.

6

According to Georgia’s Secretary of State’s website, Plaintiff registered Ray’s Rapid as a limited liability company in 2007 with its principal place of business in Georgia. See https://ecorp.sos.ga.gov/BusinessSearch/BusinessInformation?businessId=1263586&businessType=DomesticL?imitedL?iabilityC?ompany (last visited on December 8, 2015). Although Plaintiff stated in his deposition that Ray’s Rapid dissolved sometime in late 2011 or early 2012, Georgia’s Secretary of State’s website indicates that the company filed its annual registration in 2012, 2013 and 2015, and that Plaintiff remains its sole owner. Id.

7

The Court held a conference on December 15, 2015, during which Third-party Defendants’ counsel stated that service of the Third-party Complaint had also been effectuated on Thebaud in Georgia. See December 15, 2015 Conference Transcript (“12/15/2015 Tr.”), ECF No. 47, 18:15-19. The Court could not confirm the accuracy of this statement, however, because the affidavit of service filed on the docket indicates that Thebaud was served in New York. See ECF No. 14.

8

This decision may adversely affect Plaintiff, who – depending on the outcome of the trial – may not be able to recover the entirety of his damages, but this is arguably the result of declining to sue Plaintiff’s own company (Ray’s Rapid) or his driver (Thebaud), who worked for Plaintiff’s company, or of filing this lawsuit in this venue. See 28 U.S.C. § 1391(b) (a civil action wherein jurisdiction is founded on diversity of citizenship may be brought only in: (1) a judicial district where any defendant resides, if all defendants reside in the same State; (2) a judicial district in which a substantial part of the events or omissions giving rise to the claim occurred; or (3) a judicial district in which any defendant is subject to personal jurisdiction at the time the action is commenced, if there is no district in which the action may otherwise be brought). Here, the original Defendants (i.e., Third-party Plaintiffs) are residents of Ohio, and the event which gives rise to the claim (i.e., the motor vehicle accident) occurred in Florida. As such, this lawsuit likely could have been brought in one of those two states, rather than New York.

9

During the December 15, 2015 conference, see n.7, supra, the Court suggested to the parties that Florida’s loss-allocating statute may apply, see 12/15/2015 Tr., ECF No. 47, 7:12-22; 23:22-24:1, and asked for the parties’ views on how the case should proceed if that were to be the case. In response, Plaintiff’s and Defendants/Third-party Plaintiffs’ counsel briefly mentioned the possible application of Ohio law. See 12/15/2015 Tr., 3:2-10, 4:12-20. This suggestion comes too late. Plaintiff and Defendants/Third-party Plaintiffs were on notice that Florida law may apply in August 2015, at the latest, when the parties filed their proposed Joint Pre-trial Order, which raised the question of the application of Florida law. See ECF No. 34, pp. 5-7. Despite this, neither party advocated for Ohio law in its opposition papers, which eliminates the need for the Court to consider Ohio law when performing the choice-of-law analysis. See Youngman, 923 F. Supp. 2d at 420 n. 4; Luizzi v. Pro Transport, Inc., 02 CV 5388 (CLP), 2010 WL 3023928, at *12 (E.D.N.Y. Aug. 2, 2010). Therefore, as the Court explained during the conference, see 12/15/2015 Tr., 5:4-6, Plaintiff and Defendants/Third-party Plaintiffs have waived their right to argue in favor of the application of Ohio law, to the extent they ever intended to do so.

10

In their motion papers, Third-party Plaintiffs raise the possibility of treating Third-party Defendants as “Fabre” non-parties should Florida law apply. See Fabre v. Marin, 623 So. 2d 1182 (Fla. 1993); see also Jackson County Hospital v. Aldrich, 835 So.2d 318 (Fla. 2002). Although the Court has now determined that Florida’s loss-allocating statute applies, it reserves decision on whether Third-party Defendants should be included on the verdict sheet as the parties did not all have an opportunity to brief the issue. The parties may raise this issue again during the final pre-trial conference.

Paul W. Laumann, III, et al., Plaintiffs, v. ALTL, Inc., et al.

S.D. Ohio, Western Division.

Paul W. Laumann, III, et al., Plaintiffs,

v.

ALTL, Inc., et al., Defendants.

Case No. 1:14-cv-00457

|

Signed 01/04/2016

 

 

ORDER GRANTING DEFENDANTS’ MOTION FOR PARTIAL SUMMARY JUDGMENT

Judge Susan J. Dlott, United States District Court

*1 Plaintiffs Paul and Monica Laumann, husband and wife, bring this civil suit against Defendants ALTL, Inc., a trucking company, and Robert C. Snyder, Jr., a tractor-trailer driver, in the wake of a collision that occurred on June 5, 2012 (Doc. 1 ¶ 11). Their Complaint contains ten causes of action: (1) negligence (against Snyder); (2) negligence per se (against Snyder); (3) punitive damages (against Snyder); (4) vicarious liability (against ALTL); (5) strict liability (against ALTL); (6) negligent hiring and retention (against ALTL); (7) negligence per se (against ALTL); (8) punitive damages (against ALTL); (9) loss of consortium (against both); and (10) a claim disputing any right to subrogation by involuntary Plaintiff Ohio Bureau of Workers’ Compensation. Pursuant to Fed. R. Civ. P. 41(a)(1)(A), Plaintiffs have dismissed, without prejudice, their second, third, fifth, and seventh causes of action (Doc. 26 ¶ 1). Further, the parties have stipulated and agreed that Plaintiffs will not pursue their claim for negligent hiring asserted in their sixth cause of action (id. ¶ 2). Additionally, Defendant Snyder has stipulated to liability only regarding Plaintiffs’ first cause of action for negligence against him (id. ¶ 3) and Defendant ALTL has stipulated to liability only regarding Plaintiffs’ fourth cause of action against it (id. ¶ 4).

 

Before the Court is Defendants’ Motion for Partial Summary Judgment (Docs. 19, 25). They seek judgment as a matter of law with regard to the remaining negligent retention claim asserted against ALTL in Plaintiffs’ sixth cause of action and with regard to the punitive damages claim against ALTL in Plaintiffs’ eighth cause of action. Were the Court to grant the relief Defendants seek, remaining for trial would be only the issue of compensatory damages owed to Mr. Laumann in connection with his negligence and vicarious liability claims against Snyder and ALTL, respectively, and Mrs. Laumann’s loss of consortium claim (see Doc. 19 at PageID 82-83). Plaintiffs oppose Defendants’ motion, arguing that their claims for negligent retention and punitive damages should be heard and decided by a jury (see Doc. 20). Were the Court to deny Defendants’ motion, left for trial would be not only the issue of compensatory damages owed to Mr. Laumann in connection with the negligence and vicarious liability claims against Snyder and ALTL, respectively, and Mrs. Laumann’s loss of consortium claim, but also the issue of compensatory and punitive damages owed to Mr. Laumann in connection with the negligent retention claim asserted against ALTL (see Doc. 20 at PageID 217-18).

 

For the reasons that follow, Defendants’ motion will be GRANTED.

 

 

  1. BACKGROUND1

Defendant Snyder began his career as a tractor-trailer driver in 2004 when he took a job with Schneider. At the beginning of his employment, he attended a four-week driving school. The program included classroom instruction and in-truck training, with the latter consisting of driving practice in a nearby parking lot. At the end of the program, Snyder received two weeks of on-the-road training under the observation of an experienced Schneider driver. Snyder drove for Schneider for approximately two years. (Snyder Dep., Doc. 24 at PageID 583-84, 591.)

 

*2 In January 2006, Snyder accepted a job as a driver for Defendant ALTL. (Id. at PageID 589, 697.) Before hiring a new driver, ALTL runs a criminal background check and reviews certain reports that are common in the trucking industry, including a Federal Motor Carrier Safety Administration (“FMCSA”) report on the candidate’s compliance, safety, and accountability (“CSA Report”); a report of the candidate’s work and accident history (“DAC Report”); and a State Department report of the candidate’s driving history (“MVR Report”). (Lau Dep., Doc. 22 at PageID 422-23.) ALTL followed its normal course before offering employment to Snyder. (Id. at PageID 243.)

 

Once hired, each new ALTL driver attends a two-day in-house orientation that involves a review of all of the company’s manuals, policies, and procedures. (Id. at PageID 243-44.) Following the classroom training, each driver completes a three-day road assessment with the city fleet to determine whether the new hire “is ready or capable” to move forward. (Id. at PageID 244.)

 

ALTL continues to provide training and safety tips to drivers throughout their employment. It holds an annual company-wide meeting for this purpose. Drivers also receive individual instruction and training on an ongoing basis. (Id. at PageID 263-64.) ALTL reviews its employees’ FMCSA safety scores each month and their driving records annually. (Id. at PageID 362, 381.)

 

Under ALTL’s standard policies, a driver must report any instance in which he contacts something with his tractor-trailer. ALTL then creates a “Motor Accident Report” for each such instance, which is intended to roughly detail the facts and circumstances thereof. (Snyder Dep., Doc. 24 at PageID 689, 691.) Whether the individual continues to be regarded as a “safe driver” in the aftermath depends largely on the severity and frequency of any prior incidents. (Lau Dep., Doc. 22 at PageID 429.)

 

As earlier mentioned, the accident that underpins this lawsuit occurred on June 5, 2012. By this date, Snyder had been a driver for ALTL for six years, logging approximately 125,000 miles each year. (Snyder Dep., Doc. 24 at PageID 649.) In this period, he was involved in seven instances that resulted in a “Motor Accident Report” being prepared. They are as follows:

  • July 2, 2007: Snyder’s tractor-trailer hit something while backing. He remembers no particular details other than, if there was any property damage, it would have been to his vehicle. (Id. at PageID 694.)
  • January 18, 2008 (six months later): Snyder was turning left at a four-way stop in Queens, New York. The rear corner of his trailer, which he cannot see while turning, clipped a car parked in a crosswalk. No traffic citation was issued by the police. (Id. at PageID 694-697, 701.)
  • January 18, 2008 (the same day): Snyder was backing into a customer’s loading dock, made dark by virtue of the roof over it. He broke two of the corner hinges on the rear door of his trailer when they clipped a chimney that protruded from an inside wall. (Id. at PageID 697-98.)
  • October 21, 2008 (nine months later): Snyder hit a deer on I-65 that resulted only in damage to the front headlight assembly of his tractor. (Id. at PageID 699.)
  • October 23, 2008 (two days later): While turning right at a traffic light, Snyder hit a car that was stopped but in operation. That car had just turned right on red at the end of an exit ramp off I-465. In an attempt to maneuver itself into the far left turn lane going north, the car crossed three lanes and then abruptly stopped ten feet out. No traffic citation was issued by the police. (Id. at PageID 702-06.)
  • March 2, 2010 (one year, four months later): Snyder turned too sharply and a fairing bracket on the back side of the tractor caught against the side of the trailer. (Id. at PageID 707-08.)
  • January 9, 2011 (ten months later): Snyder hit a small sign and a tree when his truck tandem went up over a curb. This contact occurred after he had been required to make three successive turns (left, left, right) into a “tight little parking lot” to make an office delivery. (Id. at PageID 708-10.)

 

*3 One year and five months pass. After his customary weekend off, on Monday, June 4, 2012, Snyder picked up his tractor from ALTL in Hudsonville, Michigan and then “bobtailed” to the shipper located 12 miles away to pick up a cargo trailer. (Id. at PageID 592-97.) He drove for six hours, arriving in Cincinnati around 7:00 p.m. He spent the entire evening in the yard of the first customer, eating and sleeping in the birth of the tractor. (Id. at PageID 597-98.)

 

The next morning, Snyder’s trailer was partially unloaded and he began his drive to the second leg of his trip—Atlanta, Georgia—at approximately 7:45 a.m. (Id. at PageID 607-09.) Heading southbound on I-75, he encountered “stop-and-go” traffic. In addition, the first (or farthest right) lane was blocked by a motorcycle unit from the Cincinnati Police Department. Accordingly, vehicles in that lane began to look for an opportunity to switch into the second and third lanes. To accommodate this flow, Snyder moved from the second lane to the third. At this point, the speed at which all vehicles were proceeding was no more than five-to-ten miles per hour. Within a mile or so, Snyder then changed lanes from the third back to the second, as trucks typically travel only in the first two lanes. (Id. at PageID 611-15.) Despite the fact that he checked his mirrors, Snyder did not see Mr. Laumann’s vehicle, which, at the time, was travelling in the “blind spot” on the passenger side of the truck. The front right passenger side of his tractor clipped the left rear quarter panel of Mr. Laumann’s vehicle. (Id. at PageID 625-27.) This contact caused Mr. Laumann’s vehicle to “spin” in front of Snyder’s truck before it stopped near the median. Snyder felt no impact, but assumed he must have hit Mr. Laumann. He slammed on his brakes to avoid any further impact. (Id. at PageID 628-31.)

 

Plaintiffs filed suit on June 2, 2014. Mr. Laumann seeks damages for injuries he alleges are the result of the June 5, 2012 accident, including, but not limited to, traumatic brain injury (Doc. 1 ¶ 14; Doc. 20 at PageID 201).

 

 

  1. STANDARD OF LAW

Although a grant of summary judgment is not a substitute for trial, it is appropriate ‘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. ‘ Fed. R. Civ. P. 56(a). The process of evaluating a motion for summary judgment and the respective burdens it imposes upon the movant and the non-movant are well-settled. First, ‘a party seeking summary judgment always bears the initial responsibility of informing the district court of the basis for its motion, and identifying those portions of [the record] which it believes demonstrate the absence of a genuine issue of material fact[.]‘ Celotex Corp. v. Catrett, 477 U.S. 317, 323 (1986); see LaPointe v. United Autoworkers Local 600, 8 F.3d 376, 378 (6th Cir. 1993). This burden may be satisfied, however, by the movant “pointing out to the court that the [non-moving party], having had sufficient opportunity for discovery, has no evidence to support an essential element of his or her case.” Barnhart v. Pickrel, Schaeffer & Ebeling Co., L.P.A., 12 F.3d 1382, 1389 (6th Cir. 1993).

 

Faced with such a motion, the opposing party must submit evidence in support of any material element of the claim or defense at issue in the motion on which it would bear the burden of proof at trial. Celotex, 477 U.S. at 331-32. As “the requirement [of the Rule] is that there be no genuine issue of material fact,” the Supreme Court has made clear that “[o]nly disputes over facts that might affect the outcome of the suit under the governing law will properly preclude the entry of summary judgment.” Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986) (emphasis in original). Ancillary factual disputes, those “that are irrelevant or unnecessary[,] will not be counted.” Id. Furthermore, “[t]he mere existence of a scintilla of evidence in support of the [non-movant’s] position will be insufficient; there must be evidence on which the jury could reasonably find for the [non-movant].” Id. at 252. Instead, the opposing party must present “significant probative evidence” demonstrating that “there is [more than] some metaphysical doubt as to the material facts” to survive summary judgment and proceed to trial on the merits. Moore v. Philip Morris Companies, Inc., 8 F.3d 335, 339-40 (6th Cir. 1993) (applying Anderson, 477 U.S. at 249-50; Matsushita Elec. Indus. Co., Ltd. v. Zenith Radio Corp., 475 U.S. 574, 586 (1986)).

 

*4 At this summary judgment stage, it is not the Court’s role “to weigh the evidence and determine the truth of the matter but [rather] to determine whether there is a genuine issue for trial.” Anderson, 477 U.S. at 249. In so doing, “[t]he evidence of the non-movant is to be believed, and all justifiable inferences are to be drawn in [her] favor.” Id. at 255 (citing Adickes v. S.H. Kress & Co., 398 U.S. 144, 157-59 (1970) (citing United States v. Diebold, Inc., 369 U.S. 654, 655 (1962))). Adherence to this standard, however, does not permit the Court to assess the credibility of witnesses. See Adams v. Metiva, 31 F.3d 375, 378 (6th Cir. 1994) (citing Anderson, 477 U.S. at 255).

 

 

III. ANALYSIS

Defendants contend that Plaintiffs’ claims of negligent retention and punitive damages lack support in fact and law. The Court agrees.2

 

 

  1. Negligent Retention

Under Ohio law, a plaintiff asserting a claim of negligent retention must demonstrate: (1) an employment relationship; (2) the employee’s incompetence; (3) the employer’s actual or constructive knowledge of that incompetence; (4) the employee’s act or omission causing the plaintiff’s injury; and (5) a causal link between the employer’s negligence in retaining the employee and the plaintiff’s injury. Alleman v. YRC, 787 F. Supp. 2d 679, 683 (N.D. Ohio 2011) (citing Lehrner v. Safeco Ins./Am. States Ins. Co., 171 Ohio App. 3d 570, 2007-Ohio-795, 872 N.E.2d 295, at ¶ 41). Defendants urge that no reasonable juror could conclude that Snyder was incompetent to drive a tractor-trailer, and thus Plaintiffs’ claim fails. Defendants are correct.

 

Alleman is instructive. There, summary judgment was granted to a trucking company whose employee—while driving a cab pulling two empty trailers in freezing rain—collided with another vehicle, killing its driver. Finding that the record did not reflect a “lack of competence,” Judge Gaughan observed that the driver was trained and licensed, attended regular safety meetings, and had driven tractor-trailers for more than 20 years without being involved in an accident “chargeable” against him. 787 F. Supp. 2d at 683-84. That the driver, prior to dispatch, raised a “safety concern” in connection with the weather forecast did not suffice to establish a genuine issue of material fact as to his competence. Id. at 684.

 

In contrast to Alleman, summary judgment was denied to a trucking company and its principals whose driver—having crossed the center line and collided with oncoming traffic—was hired without a background check and based on only a five-mile road test. Schlegel v. Li Chen Song, 547 F. Supp. 2d 792, 806-07 (N.D. Ohio 2008). Moreover, the driver spoke no English, did not know how to fill out logs mandated by the FMCSA, and had a United States driver’s license (issued in California) for just a few months. See id. at 796, 802. Significantly, there was no mention of any, much less ongoing, safety training. In addition, the plaintiff averred that the defendants were involved in a scheme in which they had “folded and re-opened trucking operations after substandard compliance reviews conducted by the Department of Transportation and the subsequent fines levied against [them] for violations of Federal Regulations.” Id. at 802.

 

*5 Here, nothing in Snyder’s background bespeaks incompetence. He came to ALTL with two years’ experience from Schneider, where he attended a four-week training course followed by two-weeks of on-the-road training. Prior to hire, ALTL ran a criminal background check and reviewed his CSA, DAC, and MVR Reports. Post-hire, Snyder participated in ALTL’s orientation and passed a three-day road test. Throughout his employment, Snyder attended annual safety meetings and routinely received individual instruction and safety tips. ALTL reviewed his FMSCA safety scores monthly and his driving record annually.

 

Snyder drove for ALTL for six years prior to the accident. In that time band, he estimated that he logged 125,000 miles annually, for a total of 750,000 miles, and filed only seven Motor Accident Reports. In one instance, Snyder hit a deer that leapt in from of him. As even Plaintiffs agree (see Doc. 20 at PageID 203, 204), this accident could not be avoided. In two instances, Snyder struck a stopped vehicle. The remaining four instances occurred on private property when Snyder was maneuvering his tractor-trailer in tight and sometimes poorly lit confines. The last one, on January 9, 2011, occurred one year and five months prior to the June 5, 2012 accident.

 

Plaintiffs’ description of these instances as “crashes” is a gross exaggeration, and their position that ALTL “put profits before the safety of people using the same roads as Defendant Snyder” (see id. at PageID 204) lacks any support. That ALTL requires a Motor Accident Report regardless of the severity of the contact would suggest concern—rather than contempt— for safety, even if done for purposes of insurance reporting. Regardless, no reasonable juror could conclude that they “warranted [his] removal” (see id.). These seven Reports amount to less than one per 100,000 miles driven. No personal injury resulted. Other vehicles were involved only twice, and they were stopped rather than in motion. Snyder was never cited. And property damage, if any, was negligible. In the absence of supporting case law, Counsel’s rhetoric cannot win the day. Accordingly, Defendant ALTL is entitled to judgment as a matter of law with regard to the remaining claim in Plaintiffs’ Sixth Cause of Action, negligent retention.

 

 

  1. Punitive Damages

An employer can be liable for punitive damages in tort if its actions demonstrate “malice or fraud.” MacNeill v. Wyatt, 917 F. Supp. 2d 726, 732 (S.D. Ohio 2013) (Litkovitz, M.J.) (citing Ohio Rev. Code § 2315.21). Because the statute does not define “malice,” Ohio courts apply the definition set forth in Preston v. Murty, 32 Ohio St. 3d 334, 512 N.E.2d 1174, syl. (1987). Hence, an employer must have been aware of a “great probability of causing substantial harm” and then have “consciously disregarded” the injured party’s safety. Id. at 336, 512 N.E.2d at 1176. Something “more than mere negligence is always required.” Id. at 335, 512 N.E.2d at 1176 (emphasis added). Actual malice must be demonstrated by “clear and convincing evidence.” Kuebler v. Gemini Transp., No. 3:12-cv-114, 2013 WL 6410608, at *4 (S. D. Ohio Dec. 9, 2013) (Rose, J.). At its heart is whether there is proof of an employer’s conscious disregard “of an almost certain risk of substantial harm.” Id. at *5 (emphasis added).

 

In support of their claim, Plaintiffs urge only that ALTL was aware of “the multiple crashes Defendant Snyder caused” (see Doc. 20 at PageID 216) and did not discipline him therefor or provide any remedial training in their wake. But as the Court noted in its deliberations with respect to their negligent retention claim, Plaintiffs’ use of the pejorative term “crash” does not transform these instances into something they were not.

 

*6 Alleman, supra, is again instructive, where the court also held that “[b]eing aware of the dangers that accompany pulling empty doubles in freezing rain does not establish conscious wrongdoing, which requires more than knowledge of the possibility or probability that harm may occur from a reckless act.” 787 F. Supp 2d at 686. As recited previously, Snyder was a licensed, experienced, and highly-trained operator. The seven instances in which his tractor-trailer contacted “something” in the six years prior to the June 5, 2012 accident were inconsequential. Nothing about their circumstances come close to the standard necessary to prove conscious disregard of an almost certain risk of substantial harm. Indeed, were this Court to conclude otherwise, it would be inviting reversal on appeal. See Womack v. Gettelfinger, 808 F.2d 446, 454 (6th Cir. 1987) (applying Tennessee law). Accordingly, Defendant ALTL is entitled to judgment as a matter of law with regard to the claim for punitive damages pled in Plaintiffs’ Eighth Cause of Action.

 

 

  1. CONCLUSION

For the foregoing reasons, Defendants’ Motion for Partial Summary Judgment (Doc. 19) is GRANTED.

 

IT IS SO ORDERED.

 

All Citations

Slip Copy, 2016 WL 28984

 

 

Footnotes

1

Except as otherwise indicated, background facts are drawn from Defendants’ Statement of Proposed Undisputed Facts (Doc. 18), having noted Plaintiffs’ response thereto (Doc. 20 at PageID 219-21) as well as Plaintiffs’ Proposed Disputed Issues of Material Fact (id. at PageID 222-24).

2

In the alternative, Defendants maintain that, inasmuch as they both have stipulated to liability on negligence regarding the June 5, 2012 accident, the negligent retention claim has been rendered moot, because—even if Plaintiffs were to prevail—they would not be entitled to any additional damages or other remedies. (See Doc. 19 at PageID 66.) The Court need not reach this issue given its determination that the negligent retention claim fails as a matter of law.

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