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Volume 19 (2016)

Christopher Vannes, Plaintiff, v. Woodrow Smith, Jr., individually and d/b/a Smith’s Trucking, and National Casualty Company

United States District Court,

M.D. Georgia, Athens Division.

Christopher Vannes, Plaintiff,

v.

Woodrow Smith, Jr., individually and d/b/a Smith’s Trucking, and National Casualty Company, Defendants.

No. 3:14-CV-9 (CAR)

|

Signed 03/29/2016

 

 

ORDER ON PRE-TRIAL MOTIONS

  1. ASHLEY ROYAL, JUDGE

*1 Plaintiff brings this case to recover for personal injuries he suffered after a motor vehicle collision with Defendant Woodrow Smith’s tractor trailer. Currently before the Court are Defendants’ Motion to Exclude Certain Opinions of Plaintiff’s Expert Jeffrey Kidd [Doc. 52]; Plaintiff’s Motion to Strike Defendants’ Reply Brief [Doc. 67] in support of their Motion to Exclude; Defendants’ Motion In Limine to Exclude Certain Testimony of Witness Freddie Grigg [Doc. 63]; and Defendants’ Motions for Partial Summary Judgment as to Plaintiff’s Claims for Punitive Damages and Attorneys’ Fees [Docs. 36 and 39]. As explained below, Defendants’ Motions to Exclude Plaintiff’s Expert, Plaintiff’s Motion to Strike Defendants’ Reply Brief,1 and Defendants’ Motion In Limine to Exclude Certain Testimony of Freddie Griggs [Docs. 52, 67, and 63] are DENIED. Defendants’ Motions for Partial Summary Judgment as to Plaintiff’s Claims for Punitive Damages and Attorneys’ Fees [Docs. 36 and 39] are GRANTED.

 

 

GENERAL BACKGROUND

On October 23, 2012, at approximately 10:48pm in Franklin County, Georgia, Plaintiff Christopher Vannes, driving northbound on I-85 in a 1995 GMC Sonoma pickup truck, crashed into the back of Defendant Woodrow Smith’s flatbed tractor-trailer while travelling in the right-hand lane. Plaintiff contends Defendant Smith negligently entered the interstate with a flat tire, below the posted speed limit, into the path of Plaintiff’s pickup truck, without having activated the required lights and flashers. Thus, Plaintiff was unable to timely see and react to the tractor trailer to avoid a collision that caused serious injuries to his back, neck, and head, and a broken pelvis, leg, and ankle. Defendants dispute Plaintiff’s allegations entirely. Defendants contend Smith, with his lights and flashers activated, was travelling well above the minimum speed limit when Plaintiff, who was speeding, crashed into the back of Smith’s trailer.

 

The record, in pertinent part, contains deposition testimony from Defendant Smith, Plaintiff, two other drivers who were travelling in their tractor-trailers on the interstate that night and witnessed the accident – Freddie Grigg and Joseph Valentino, and Defendants’ and Plaintiff’s respective expert witnesses in the field of automobile accident reconstruction. The following testimony is pertinent for the Motions at bar:

 

Defendant Smith testified the right outside tire of his tractor’s #2 axle blew out, and he pulled to the shoulder of I-85.2 While pulled over, he located a repair shop at the next exit, about one-half mile away, and decided it was safer to drive the short distance to the next exit than remain on the shoulder and wait for roadside assistance.3 The Federal Motor Carrier Safety Regulations allow a commercial driver to drive a commercial vehicle which has sustained a mechanical defect to the nearest safe location.4 Smith then drove on the shoulder of the interstate with his four-way flashers activated until he reached 25-30 mph.5

 

*2 Upon reaching 25 to 30 mph, Smith checked his rearview mirror, spoke to a nearby tractor-trailer driver over the CB radio who told him he was clear to enter the right lane, turned off his four-way flashers, activated his left-turn signal, and merged into the right lane.6 He then re-activated his four-way flashers while continuing to accelerate. He reached 50-55 mph when he felt another “pop” and the vehicle “shake.” Thinking another tire had blown, Smith pulled onto the shoulder to investigate.7 As he inspected the vehicle, eyewitness Joseph Valentino pulled in front of Smith’s tractor and told him Plaintiff’s truck had struck the rear of his trailer.8 Smith testified the collision occurred less than a quarter of a mile after he pulled back into the roadway; the point of impact was approximately a quarter of a mile from the exit; and after hearing the “pop,” he brought his tractor-trailer to a controlled stop in the emergency lane between 25 and 50 yards away from Plaintiff’s vehicle.9

 

Plaintiff testified he was driving on I-85 northbound just below 70 mph and maintaining a proper lookout.10 He passed a slow-moving tractor trailer driven by Joseph Valentino and then shifted into the right lane, planning to take the next exit on his route home.11 About a mile before the exit, a red dot suddenly appeared ahead of his vehicle.12 Realizing there was an object in the dark roadway, Plaintiff slammed on his brakes.13 The next thing he remembers is waking up inside his vehicle at the bottom of a steep embankment beside the road.14

 

Eyewitness Freddie Grigg testified he saw the collision from his tractor trailer.15 Grigg had been following Plaintiff for several minutes and estimated, based on their relative speeds, Plaintiff was travelling at or just above 70 mph, the posted speed limit.16 Grigg watched Plaintiff pass Valentino’s tractor trailer, and as Grigg also shifted his truck into the left lane to pass Valentino’s tractor trailer, he saw Plaintiff’s vehicle slam into something on the roadway.17 Grigg explained he had a clear, unobstructed view of the roadway for several seconds prior to the impact and saw no other vehicles in front of Plaintiff.18 He suddenly saw Plaintiff’s vehicle lift up into the air and make a sharp right turn off of the road, having no idea what Plaintiff struck.19 Seconds later, he saw Defendant Smith’s tail lights and trailer flashers come on.20

 

Eyewitness Joseph Valentino testified he had been following Defendant Smith for several miles and watched the emergency flashers on Smith’s trailer repeatedly disappear from view over each hillcrest and reappear at the crest of each following hill.21 Valentino maintains that seconds before the collision, Plaintiff passed his truck in the left lane travelling “at least” 80 mph.22 Ten seconds after Plaintiff passed him, he saw Plaintiff collide into the rear of Smith’s trailer about 800 to 900 feet ahead of him.23

 

Plaintiff’s expert, Jeffrey Kidd, opined, in pertinent, part that Defendant Smith was travelling below 30 mph at the moment of impact, and Plaintiff was likely travelling at or around the posted speed limit of 70 mph.24

 

Defendants and Plaintiff appear to agree genuine issues of material fact exist as to liability in this case. In their Motions, Defendants seek (1) summary judgment as to Plaintiff’s claims for punitive damages and attorneys’ fees; (2) to exclude Mr. Kidd’s opinion as to the actual speeds of the two vehicles at the moment of impact; and (3) to exclude Mr. Grigg’s testimony Defendant Smith did not have his lights and flashers activated when he re-entered the interstate. The Court addresses each of these Motions below.

 

 

MOTION TO EXCLUDE PLAINTIFF’S EXPERT

*3 Plaintiff engaged accident reconstructionist Jeffrey A. Kidd, who provided several expert opinions. In their Motion to Exclude, Defendants challenge only the opinion related to the actual speeds of the two vehicles, arguing it is inadmissible under Daubert v. Merrell Dow Pharms.25 and Federal Rule of Evidence 702 because in order to reach this opinion Mr. Kidd simply “cherry-picks” from conflicting lay witness testimony and uses no scientific methodology; thus his opinion is not reliable and does not assist the trier of fact.

 

 

Legal Standard

Federal Rule of Evidence 702 governs the admissibility of expert testimony, and it states:

A witness who is qualified as an expert by knowledge, skill, experience, training, or education may testify in the form of an opinion or otherwise if: (a) the expert’s scientific, technical, or other specialized knowledge will help the trier of fact to understand the evidence or to determine a fact in issue; (b) the testimony is based on sufficient facts or data; (c) the testimony is the product of reliable principles and methods; and (d) the expert has reliably applied the principles and methods to the facts of the case.26

Simply stated, under Rule 702, the trial court can admit relevant expert testimony only if it finds that: (1) the expert is qualified to testify about the matters he intends to address; (2) the methodology used by the expert to reach his conclusions is sufficiently reliable; and (3) the expert’s testimony will assist the trier of fact, through the application of scientific, technical, or specialized expertise, to understand the evidence or determine a fact in issue.27

 

As the Supreme Court explained in Daubert v. Merrell Dow Pharmaceuticals, Inc.,28 Rule 702 imposes a duty on trial courts to act as “gatekeepers” to ensure that speculative and unreliable opinions do not reach the jury.29 Acting as a gatekeeper, the trial court must make certain that expert witnesses employ in the courtroom the “same level of intellectual rigor that characterizes the practice of an expert in the relevant field.”30 The court’s gatekeeping role is especially significant, since “the expert’s opinion can be both powerful and quite misleading because of the difficulty in evaluating it.”31

 

To fulfill its role, the trial court must determine whether the expert has the requisite qualifications to offer his or her opinions.32 The trial court must also “’conduct an exacting analysis’ of the foundations of expert opinions to ensure they meet the standards for admissibility under Rule 702.”33 Finally, the court must ensure the relevancy of expert testimony, meaning that it must determine whether the testimony will assist the trier of fact.34

 

*4 The court performs its gatekeeping role consistent with Rule 104(a), which commits preliminary evidentiary questions to the court’s decision and which further empowers courts in answering these questions to rely on evidence without being constrained by the rules of evidence.35 In sum, in acting as a gatekeeper, the court must keep “unreliable and irrelevant information from the jury because of its inability to assist in factual determinations, its potential to create confusion, and its lack of probative value.”36 Although Daubert involved scientific experts, the Supreme Court has made it clear that the strictures of Rule 702 and Daubert apply with equal force to non-scientific expert witnesses.37 Also, in all cases the proponent of the expert witness bears the burden of establishing that the expert’s testimony satisfies the qualification, reliability, and helpfulness requirements of Rule 702 and Daubert.38 Finally, “any step that renders the analysis unreliable renders the expert’s testimony inadmissible.”39

 

Beginning with the qualification requirement, the Eleventh Circuit has explained that “experts may be qualified in various ways.”40 Certainly, an expert’s scientific training or education may provide one means by which an expert may qualify to give certain testimony; however, experience in a particular field may also qualify an expert to offer an opinion on a particular matter.41 Indeed, “experts come in various shapes and sizes,” and, consequently, “there is no mechanical checklist for measuring whether an expert is qualified to offer opinion evidence in a particular field.”42 In all cases, the court must focus its inquiry on whether the expert has the requisite skill, experience, training, and education to offer the testimony he intends to introduce.43

 

Regarding the reliability requirement, the Eleventh Circuit directs trial courts to assess “whether the reasoning or methodology underlying the testimony is … valid and whether that reasoning or methodology properly can be applied to the facts in issue.”44 This inquiry must focus “solely on the principles and methodology [of the experts], not on the conclusions that they generate.”45

 

Daubert offers four non-exclusive factors that courts may consider in evaluating the reliability of an expert’s testimony: (1) testability; (2) error rate; (3) peer review and publication; and (4) general acceptance.46 These four factors most readily apply in cases involving scientific testimony and may offer little help in other cases, particularly those involving non-scientific experts.47 Accordingly, these factors merely illustrate rather than exhaust the factors or tests available to the trial court. The trial court has “considerable leeway” in deciding which tests or factors to use to assess the reliability of an expert’s methodology.48

 

The advisory committee’s notes for Rule 702 offer an additional list of factors or tests. These tests are:

*5 (1) Whether the expert is proposing to testify about matters growing naturally and directly out of research he has conducted independent of the litigation, or whether he has developed his opinion expressly for purposes of testifying;

(2) Whether the expert has unjustifiably extrapolated from an accepted premise to an unfounded conclusion;

(3) Whether the expert has adequately accounted for obvious alternative explanations;

(4) Whether the expert is being as careful as he would be in his regular professional work outside his paid litigation consulting;

(5) Whether the field of expertise claimed by the expert is known to reach reliable results for the type of opinion the expert would give.49

Like the four Daubert factors, these factors do not comprise a definitive checklist, nor is any single factor dispositive of reliability; instead, the tests articulated in the advisory committee’s notes merely illustrate the issues a court may consider in evaluating an expert’s testimony.50

 

Finally, for admission, the expert testimony must assist the trier of fact. Expert testimony assists the trier of fact “if it concerns matters that are beyond the understanding of the average lay person.”51 “[E]xpert testimony generally will not help the trier of fact when it offers nothing more than what lawyers for the parties can argue in closing arguments.”52 Nor does expert testimony help the trier of fact if it fails to “fit” with the facts of the case.53 Expert testimony lacks “fit” when “a large analytical leap must be made between the facts and the opinion.”54 “A court may conclude that there is simply too great an analytical gap between the data and the opinion proffered.”55 Thus, the court may exclude otherwise reliable testimony if it does not have “sufficient bearing on the issue at hand to warrant a determination that it [is ‘helpful’ to the trier of fact].”56 At all times when scrutinizing the reliability and relevance of expert testimony, a court must remain mindful of the delicate balance between its role as a gatekeeper and the jury’s role as the ultimate fact-finder. A district court’s “gatekeeper role … is not intended to supplant the adversary system or the role of the jury.”57 “Vigorous cross-examination, presentation of contrary evidence, and careful instruction on the burden of proof are the traditional and appropriate means of attacking shaky but admissible evidence.”58 A court may not “evaluate the credibility of opposing experts” or the “persuasiveness of competing scientific studies;”59 instead, its duty is limited to “ensur[ing] that the fact-finder weighs only sound and reliable evidence.”60

 

 

Mr. Kidd’s Qualifications and Opinions

*6 Jeffrey Kidd began his career with the Georgia State Patrol (GSP) in 1988, retiring in 2009 after over 20 years of service.61 Kidd then became a charter member of the GSP’s Specialized Collision Reconstruction Team and served as team leader in Valdosta and Gainesville. During his tenure with GSP, Kidd was involved in the investigation and reconstruction of more than 3,000 vehicle collisions. Kidd is certified by the Accreditation Commission for Traffic Accidence Reconstruction and the Federal Motor Carrier Safety Administration to conduct Level I, II, and III investigations. He is a member of the Society of Automotive Engineers, the National Association of Professional Accident Reconstruction Specialists, and the Georgia Motor Trucking Association, among other professional organizations. Since 2005, Kidd has been the president and owner of Collision Specialists, Inc. (CSI), a private accident reconstruction firm. Kidd is also an instructor in Georgia and Florida and has taught more than 1,400 courses in the field of accident reconstruction and has assisted in the design of curriculums on accident reconstruction for the GSP. Defendants do not contest Kidd’s qualifications to give expert opinions in this case.

 

To reach his opinions in this case, Kidd reviewed his entire case file, which included the Georgia State Patrol crash report; photographs of the accident scene and vehicles; all 911 calls; the Motor Carrier Compliance Division inspection report; the depositions and exhibits of Freddie Grigg, Joseph Valentino, Plaintiff, and Defendant Smith; all recorded statements; all vehicle and trailer repair records from before and after the collision; Vinlink and AutoStat information on the vehicles; the Federal Motor Carrier Safety Regulation; and relevant pleadings and discovery.62 In addition, CSI inspected, photographed, and measured, using a “Faro laser scanner,” the dimensions and crush damages to Plaintiff’s vehicle.63 Together with all other evidence, Kidd used the crush data and measurements to perform a variety of speed, time, and distance calculations regarding the collision.

 

Based on the evidence, his review of the crush damage, his education, experience, and training, and his speed, time, and distance calculations, Kidd reached a variety of conclusions and opinions about the accident. First, Mr. Kidd opined Defendant Smith’s tractor trailer violated the Federal Motor Carrier Regulations in the following ways: (1) the trailer was missing requisite “inverted L” retro-reflective tape on the tip of the rear-racing corners of the trailer; (2) portions of the trailer’s rear retro-reflective tape were incomplete, improperly obscured, and in poor condition; and (3) Smith was operating the tractor trailer without a tire or with remnants of a blown tire. Defendants do not challenge the admissibility of these opinions.

 

Kidd also reached opinions regarding the speeds of the vehicles in the collision. Kidd calculated the equivalent barrier speed (EBS) of the impact. In calculating the EBS, Kidd measured the speed loss of Plaintiff’s vehicle in the impact, or, stated differently, the difference in speed between Plaintiff and Defendant Smith at impact. He calculated Plaintiff’s vehicle experienced a 41-43 mph speed loss, or in other words, Plaintiff was travelling 41-43 mph faster than Smith at impact. Kidd also calculated Plaintiff’s minimum speed at impact using Plaintiff’s pre-impact speed loss caused by his application of brakes for 69 feet of skid, and post-impact speed loss during 40 feet of post-impact speed travel. Combining the pre-and post-impact speed loss calculations with his EBS calculations, he determined Plaintiff’s vehicle was travelling a minimum of 63.94 mph at impact. Defendants also do not challenge the admissibility of these opinions.

 

Additionally, Kidd calculated Defendant Smith’s maximum speed at impact. Kidd reviewed Smith’s deposition wherein he testified after the collision, he brought his tractor trailer to a controlled stop and came to a stop 25 to 50 yards—150 to 300 feet—from the final resting place of Plaintiff’s vehicle. Based on Smith’s testimony he came to a “controlled stop,” Kidd assigned values for Smith’s perception and time and the truck’s mechanical lag time related to driver application of the brakes. Using these values, Kidd calculated at 30 mph Smith would have needed 188 feet to bring his tractor trailer to a stop, at 35 mph he would have needed 238 feet, at 55 mph he would have needed 500 feet, and so on.

 

*7 Kidd then looked at his calculations regarding Plaintiff’s minimum speed. Kidd explained in calculating Plaintiff’s 63.94 mph minimum speed, he assumed Plaintiff continued to apply his brakes post-impact; however, based on his education and experience, together with crush data on the front axle of Plaintiff’s truck, he finds it unrealistic Plaintiff actually applied the brakes after the collision.64 Thus, Kidd explained Plaintiff would have in fact been travelling faster than Kidd’s 63.94 minimum speed calculation. Using all of this data together, Kidd opined Defendant Smith was traveling below 30 miles an hour, and Plaintiff was traveling at or near the posted speed limit of 70 mph at the point of impact.65 Defendants challenge the admissibility of this opinion.

 

 

Analysis

Defendants argue Mr. Kidd’s opinion regarding the actual speeds of the two vehicles rests solely upon Mr. Kidd’s “cherry-picking” of lay witness testimony and not any scientific method. The Court disagrees. As explained below, Defendants’ objections ultimately attack the data upon which Mr. Kidd relies to reach his conclusion, not the accuracy of the formula he uses to reach it. Thus, Defendants must explore the precision of Mr. Kidd’s data and how useful it may be to the jury on cross-examination.

 

In addition to his unchallenged calculations resulting in his opinions Plaintiff was travelling at a minimum speed of 63.94 mph and 41-43 mph faster than Defendant Smith at impact, Mr. Kidd considered several other variables to formulate his opinion regarding the speeds of the two vehicles at impact, including: (1) the distance between the back of Defendant Smith’s trailer and the final resting place of Plaintiff’s truck after the crash; (2) Defendant Smith’s perception and reaction times to bring his tractor trailer to a stop after the collision; (3) the mechanical lag time of the tractor trailer; and (4) the degree of Plaintiff’s brake-application before the crash. Applying all of these variables to an unchallenged formula, Kidd calculated Defendant was travelling between 25 and 30 mph at the moment of impact, and thus, based on the accident’s EBS of 41 to 43 mph, Plaintiff was travelling at or near the posted speed limit of 70 mph.

 

Defendants do not dispute the accuracy of the formula Mr. Kidd uses. Instead, Defendants object to the values Kidd uses for the formula’s variables, arguing they are simply “cherry picked” from witness testimony. Defendants’ challenges, however, go to the weight of Kidd’s opinion, not its admissibility. In Quiet Technology, the Eleventh Circuit explained where a party disputes the data underlying an otherwise valid formula, a Daubert challenge to the opinion itself is not appropriate.66 Instead, “[t]he identification of such flaws in generally reliable scientific evidence is the role of cross-examination.”67 That is the case here. Kidd used Defendant Smith’s testimony to assign values to the variables in the formula. Defendants object to this underlying data, not the formula. Thus, Defendants must attack that data on cross-examination.

 

Kidd acknowledges his opinion is consistent with eyewitness Freddie Grigg’s testimony Plaintiff was travelling between 65 to 70 mph and inconsistent with eyewitness Joseph Valentino’s testimony Plaintiff was travelling 80 mph. Kidd, however, discounted Valentino’s estimate of Plaintiff’s speed after Kidd performed calculations using Valentino’s testimony that (1) there was a 10-second time period between the time Plaintiff’s vehicle passed his tractor-trailer until the collision; and (2) the collision occurred 800 to 900 feet in front of Valentino’s vehicle. Using Valentino’s estimates, Kidd calculated Plaintiff would have been travelling 125 miles per hour, which did not comport with his own data or calculations, or any other evidence in the record he reviewed.

 

*8 Defendants’ argument that Kidd usurps the weighing of eyewitness testimony from the jury is unpersuasive. On the contrary, Kidd acknowledges his formulations are only as good as the data upon which they are based. He sets forth the reasons he uses such data but explains how his formulations work with alternative data. For example, Kidd acknowledges if the jury believes Valentino’s testimony, the jury could use his formulas and find Plaintiff was travelling well above 80 miles per hour. Moreover, Kidd admits his calculations would change if the jury does not believe Defendant Smith’s testimony he used a controlled-breaking maneuver post-impact, and/or he came to a stop 25 to 50 yards from Plaintiff’s truck’s final resting place. Defendants’ objections go to the weight of Kidd’s opinion, not the reliability of his method.68 The Court finds Kidd’s opinion as to the actual speeds of the two vehicles at impact is sufficiently reliable to be weighed by the jury, and Defendants can attack its veracity through cross-examination.

 

In considering whether Kidd’s opinion assists the jury, the Court must determine whether it offers something “beyond the understanding and experience of the average citizen.”69 Kidd’s testimony, which this Court has already found to be sufficiently reliable, relates to the cause of this accident and will assist the jury in making such a determination. Thus, the Court finds it to be admissible.

 

 

MOTION IN LIMINE TO EXCLUDE FREDDIE GRIGG’S TESTIMONY

Defendant Woodrow Smith also seeks to exclude as pure speculation eyewitness Freddie Grigg’s testimony the lights and flashers on Defendant Smith’s trailer were not active before the collision.70 The Court disagrees and finds it is proper lay witness testimony to be challenged through cross examination and then evaluated by the jury.

 

On the night of the accident, Freddie Grigg testified the “road was empty in front of [him],” and he saw no other vehicles for “a long, long ways,” “might be a mile,” when, at the bottom of a hill, he suddenly saw Plaintiff’s vehicle lift up off of the road, make a right-hand turn, and go out through woods.71 “At the time of the accident, I had a direct view looking. I was looking dead at [Plaintiff’s vehicle] when he hit [Defendant Smith’s] 18 wheeler.”72 Grigg emphasized throughout his deposition nothing blocked his view of the accident.73 Indeed, Grigg stated he had an uninterrupted view of Plaintiff’s vehicle for “at least several seconds” prior to the collision and remembers seeing no other vehicles on the interstate other than Plaintiff’s vehicle and the 18-wheeler driver by Valentino.74

 

Grigg testified he saw the lights and the flashers of Defendant Smith’s trailer come on after the collision;75 Defendant Smith did not have his lights and flashers activated at the time of the collision.76 Grigg specifically testified as follows:

Q: When you saw the [Plaintiff’s vehicle] lift into the air, did you know at that point what, if anything, it had impacted?

A: I had no idea what it had hit. I was like, “Holy cow, what in the world did that truck just hit?” I didn’t have a clue. I was like – I was amazed at what I was seeing.

Q: When did you first realize or come to know what the [Plaintiff’s vehicle] may have hit?

A: After the collision or whatever when the truck lifted up in the air, when it came back down and then it took a right-hand turn and went out through the woods, after that, I saw lights come on on an 18-wheeler.

*9 Q: What type of lights did you see come on?

A: The taillights, and then I think the flashers came on shortly after that.

Q: When you say the taillights, are you referring to brake lights?

A: No. The – just the running lights. The brake lights, running lights, same thing, but he brakes were not applied at that point that I remember.

Q: What did you see after the taillights came on and describe the process of what you saw.

A: The accident took place. [Plaintiff’s] truck went out. There was nothing. No lights whatsoever on [Defendant Smith’s] truck that was on. I was still wondering what [Plaintiff] hit. Then I seen lights come on. The running lights or whatever, the taillights and stuff come on, then the flashers came on. And how long that took, I don’t know. But that’s what I remember seeing.

Q: When you saw the lights come on from the 18-wheeler involved in the collision, were you able to gauge or get any idea the speed that vehicle was traveling?

A: I was catching up with him very quickly. Very quickly.

Q: What, if any, conclusions did you draw from that?

A: Well, in my opinion, from me driving up that interstate highway that night, [Defendant Smith’s] 18-wheeler was not on the road in front of me. He had not been traveling up the road in front of me for a couple of miles or anything else. If he had had his lights on, flashers on, I would have seen it. There’s no way. The vision was just clear as it could be. There was very light traffic. As I said, there was nobody in front of me but another 18-wheeler [Valentino], and that’s – and [Plaintiff’s vehicle].

My opinion is the 18 wheeler had been stopped on the side of the road. That’s my opinion.77

“From what I remember seeing that night, [Defendant Smith’s] 18 wheeler was not on the road in front of me going down the road. There was no lights on the 18 wheeler.”78

On cross-examination, Grigg testified as follows:

Q: All right, sir. Now, just at the point in time when you saw the – what you described as the impact, when the [Plaintiff’s] truck went up, at that point, you hadn’t seen [Defendant Smith’s] tractor-trailer; yes?

A: Right.

Q: So you don’t know what the state of its lights were at the point of impact because you hadn’t seen it at that point; true?

A: That’s the reason I didn’t see it.

Q: Is that true, sir?

A: That’s true. But that’s the reason I didn’t see it.

Q: All right, sir. And so when you say the lights came on, what you’re describing is that’s the first time that you saw any lights?

A: That the lights were not on at the time of impact.

Q: And to be precise with me, at the point that you saw the [Plaintiff’s] truck go up, that’s what you believe was the point of impact?

A: Yes, sir.

Q: At that point, you hadn’t seen [Defendant Smith’s] tractor trailer?

A: Absolutely.

Q: And at that point, you didn’t see [Defendant Smith’s] tractor-trailer?

A: No.

Q: So at the exact point of impact, you can’t tell us what the state of the lights were on the tractor trailer because you hadn’t seen the tractor trailer at that point. That’s true, isn’t it, sir?

A: The lights were off.

*10 Q: Let me try again.

A: Okay, I know that answer you want me to give you.

Q: No, sir. I want the truth.

A: And that’s what I’m giving you is the truth.

Q: And here’s my question: At the time of the impact –

A: Yes.

Q: — you didn’t see [Defendant Smith’s] tractor trailer.

A: No. I couldn’t.

Q: And – you couldn’t. And at the time of the impact, thus because you hadn’t seen [Defendant Smith’s] tractor trailer, at the immediate time of impact, you don’t know what the state of its lights were … because you couldn’t see it?

A: And I’m going to stick to my same story.

Q: Am I right?

A: I know what the state of the lights were. [Plaintiff’s] truck lights were on.

Q: Am I right about that, sir?

A: No. You’re trying to lead me.

Q: Am I right or not?

A: No, you’re not right.79

 

Under Rule 602, “[a] witness may testify to a matter only if evidence is introduced sufficient to support a finding that the witness has personal knowledge of the matter. Evidence to prove personal knowledge may consist of the witness’s own testimony.”80 A witness’s lay opinion is admissible if it is “rationally based on the witness’s perception” and “helpful to clearly understanding the witness’s testimony or to determining a fact in issue.”81

 

Grigg unquestionably testified he had a clear view of the interstate in front of him; he did not see Defendant Smith’s tractor-trailer at all; he saw Plaintiff’s truck fly up into the air, obviously having hit something; and then he saw the lights and flashers on Defendant Smith’s tractor trailer appear. A rational opinion is Smith did not have his lights and flashers on before the collision; it is not “pure speculation,” as Defendant contends. Grigg is not testifying as an expert or to matters beyond his personal knowledge, and his testimony is helpful for the jury to determine the cause of this accident. Accordingly, the Court finds this testimony admissible, to be properly attacked through cross examination.

 

 

MOTIONS FOR PARTIAL SUMMARY JUDGMENT

Both Defendant Smith and Defendant National Casualty Company also seek summary judgment as to Plaintiff’s claims for punitive damages and attorneys’ fees.

 

 

Legal Standard

Under Rule 56 of the Federal Rules of Civil Procedure, summary judgment must be granted “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.”82 A genuine issue of material fact only exists when “there is sufficient evidence favoring the nonmoving party for a jury to return a verdict for that party.”83 Thus, summary judgment must be granted if there is insufficient evidence for a reasonable jury to return a verdict for the nonmoving party or, in other words, if reasonable minds could not differ as to the verdict.84 In ruling on a motion for summary judgment, the Court must view the facts in the light most favorable to the party opposing the motion.85

 

*11 The moving party “always bears the initial responsibility of informing the district court of the basis for its motion, and identifying those portions of the pleadings, depositions, answers to interrogatories, and admissions on file, together with the affidavits, if any, which it believes demonstrate the absence of a genuine issue of material fact” and that entitle it to a judgment as a matter of law.86 If the moving party discharges this burden, the burden then shifts to the nonmoving party to go beyond the pleadings and present specific evidence showing that there is a genuine issue of material fact.87 This evidence must consist of more than mere conclusory allegations or legal conclusions.88

 

 

Analysis

Punitive Damages

Plaintiff contends the jury is entitled to consider the issue of punitive damages because, viewing the record in the light most favorable to Plaintiff, Defendant Smith was operating a tractor trailer on the interstate with a blown trailer tire, travelling below the minimum speed limit, at night, without rear trailer lights or emergency flashers activated, and without proper retro-reflective tape in violation of Federal Motor Carrier Safety Regulations, thus causing Plaintiff to collide into the back of Smith’s tractor-trailer which resulted in Plaintiff’s serious and permanent injuries. Even accepting the jury would find each of these contested facts in Plaintiff’s favor, they do not rise to the level of willfully illegal behavior contemplated by the Georgia Code to justify punitive damages in this case.

 

Under Georgia law, “[p]unitive damages may be awarded only in such tort actions in which it is proven by clear and convincing evidence that the defendant’s actions showed willful misconduct, malice, fraud, wantonness, oppression, or that entire want of care which would raise the presumption of conscious indifference to consequences.”89 “Negligence, even gross negligence, is inadequate to support a punitive damages award.”90 “[S]omething more than the mere commission of a tort is always required for punitive damages. There must be circumstances of aggravation or outrage.”91

 

In automobile collision cases, “punitive damages are not recoverable where the driver at fault simply violated a rule of the road.”92 For example, in Coker v. Culter,93 the court rejected the plaintiff’s claim for punitive damages where the defendant driver had been speeding, there was standing water on the road and visibility was poor, drug paraphernalia was found in the back of the driver’s car, and the driver’s blood alcohol level one hour after the accident was 0.03 percent. The court found that while this might be evidence of gross negligence, such evidence was not sufficient to meet the level required for punitive damages. Likewise, in Bradford v. Xerox Corp.,94 the court affirmed summary judgment to the defendant on the plaintiff’s claim for punitive damages where the evidence showed the defendant driver was speeding while reporting to his job, the road was wet, and he crossed the highway median, striking plaintiff’s vehicle and causing his injuries.95 Georgia courts have not allowed plaintiffs to recover punitive damages for traffic violations unless the circumstances involving “aggravation and outrage.”96

 

*12 By contrast, to justify punitive damages, Georgia law requires “the collision result ‘from a pattern or policy of dangerous driving, such as driving while intoxicated or speeding excessively.”’97 For example, in Langlois v. Wolford, the court authorized punitive damages where the defendant driver left the scene of the accident, was intoxicated, and had a history of prior DUIs and traffic violations.98 In J.B. Hunt Transport, Inc. v. Bentley,99 the court found the jury was authorized to award punitive damages against both the defendant truck driver and defendant trucking company where the evidence showed the truck had been taken in for maintenance shortly before the accident; several witnesses testified the truck was driving very erratically and swinging from lane to lane for at least ten to twenty miles before the accident; a Georgia Public Service Commission inspection found one-third of the logbook violations related to excessive hours driving; the defendant trucking company had destroyed the driver’s log book, as well as pre-trip and post-trip inspection reports on the vehicle after it had initiated its own investigation; and the trucking company failed to produce the driver as a witness.

 

Similarly, in Glenn McClendon Trucking Co. v. Williams,100 the court found the jury was authorized to consider punitive damages where the evidence revealed the trucking company ordered mechanics to make repairs on the trucks without giving them the appropriate tools to perform the task; while the truck was on the road its wheels began to smoke; although another truck driver alerted the defendant driver of the smoke, the defendant driver did not stop and continued to drive; the driver was told his brake drum was falling on his brake line, but before he could stop, the wheels separated from the truck and crashed into another car injuring a passenger.

 

Likewise, in Fowler v. Smith,101 the Georgia Court of Appeals allowed the jury to consider punitive damages where the truck driver stopped his tractor trailer behind a disabled vehicle in the center lane of I-285 for 35 minutes; the driver did not place any warning devices in the highway; and although it was getting dark, the driver never activated the trailer’s lights. In addition to the lack of lights and warning devices, the appellate court pointed out the truck driver had the opportunity to move the vehicle out of the center of the highway in the 35 minutes prior to the collision, but failed to do so.102

 

Here, Defendants’ actions are not of the magnitude contemplated by Georgia’s punitive damages statute. The situation here is more analogous to Coker and Highsmith than Hunt, McClendon, and Fowler. The record does not support an inference Defendant Smith caused the collision as a result of a “pattern or policy of dangerous driving.” The Federal Motor Carrier Safety Regulations authorized Defendant Smith to enter the roadway with a blown tire. No evidence exists Defendant had any history of traffic violations or other evidence signifying a pattern of dangerous driving. Even if the jury finds he was travelling below the posted speed limit at night without his lights and flashers on, there is no evidence he did so willfully or with “conscious indifference,” which is defined in Georgia as “an intentional disregard of the rights of another, knowingly or willfully disregarding such rights.”103 Indeed, Defendant Smith highly disputes Plaintiff’s contentions. The Georgia Code does not intend citizens to be slapped with punitive damages every time they violate the traffic rules. Even construed most favorably to Plaintiff, the facts of this case do not support an award of punitive damages. Defendant National Casualty Company is thus also freed from punitive liability.104

 

 

Attorneys’ Fees

*13 Defendants also contend they are entitled to summary judgment on Plaintiff’s claim for attorneys’ fees. Georgia law provides the “expenses of litigation generally shall not be allowed as a part of the damages; but where the plaintiff has specially pleaded and has made prayer therefore and where the defendant has acted in bad faith, has been stubbornly litigious, or has caused the plaintiff unnecessary trouble and expense, the jury may allow them.”105 There is no basis to award attorneys’ fees in this case under any prong of the statute.

 

First, there is no evidence Defendants acted in bad faith. “[T]he element of bad faith that will support a claim for expenses of litigation under O.C.G.A. § 13-6-11, must relate to the acts in the transaction itself prior to the litigation, not to the motive with which a party proceeds in the litigation.”106 “Bad faith requires more than ‘bad judgment’ or ‘negligence,’ rather the statute imports a ‘dishonest purpose’ or some ‘moral obliquity’ and implies ‘conscious doing of wrong’ and a ‘breach of known duty through some motive of interest of ill will.”’107 Here, the record evidence establishes Defendants were at most negligent or acted with bad judgment. “Proof of mere negligence or bad judgment is not proof that defendant acts out of some interested or sinister motive or consciously acted for some dishonest or improper purpose.”108 There is simply no competent evidence in the record to indicate Defendants acted in bad faith.

 

Moreover, Plaintiff cannot establish any genuine issue of material fact that Defendants were stubbornly litigious. “[S]tatutory recovery for stubborn litigiousness or causing unnecessary trouble and expense is authorized if there exists no bona fide controversy or dispute regarding liability for the underlying cause of action.”109 There is a clear bona fide dispute as to liability in this case, and thus attorneys’ fees cannot be obtained under this prong.110 Finally, Plaintiff does not argue Defendants have caused him any unnecessary trouble and expense. Thus, Defendants are entitled to summary judgment on Plaintiff’s claim for attorneys’ fees.

 

 

CONCLUSION

For the reasons explained above, Defendants’ Motion to Exclude Plaintiff’s Expert, Plaintiff’s Motion to Strike Defendants’ Reply Brief, and Defendant Smith’s Motion In Limine to Exclude Certain Testimony of Freddie Grigg [Docs. 52, 67, and 63] are hereby DENIED. Defendants’ Motions for Partial Summary Judgment as to Plaintiff’s Claims for Punitive Damages and Attorneys’ Fees [Docs. 36 and 39] are hereby GRANTED.

 

SO ORDERED, this 29th day of March, 2016.

 

All Citations

Slip Copy, 2016 WL 1260703

 

 

Footnotes

1

In ruling on all of the Motions in this case, including the Motion to Exclude the Expert Opinion of Jeffrey Kidd, this Court evaluated the entire record in this case, including all arguments raised in the briefs and submissions of the parties. If, as Plaintiff contends, Defendants improperly raised any arguments in their reply brief regarding their Motion to Exclude the Expert Opinion of Jeffrey Kidd, the Court finds any such error minor and does not prejudice Plaintiff. Thus, without further discussion, this Court DENIES Plaintiff’s Motion to Strike Defendants’ Reply Brief [Doc. 67].

2

Smith Depo., p. 45 [Doc. 44].

3

Id.

4

See Griffin Depo., pp. 47-48 [Doc. 36-4].

5

Smith Depo., pp. 56-57, 59.

6

Id.

7

Id. at 64-65.

8

Id. at 65.

9

Id. at 63-75.

10

Plaintiff Depo., p. 102 [Doc. 45].

11

Id. at 103-05.

12

Id. at 107-08.

13

Id. at 108.

14

Id. at 112.

15

Grigg Depo., pp. 11-13, 21, 27, 46.

16

Id. at 31, 35, 41, 75, 96.

17

Id. at 37-39, 45-46, 101-02.

18

Id. at 45-47, 51, 156-57.

19

Id. at 45-47, 49.

20

Id. at 52-53.

21

Valentino Depo., pp. 63-65, 79 [Doc. 43].

22

Id. 10, 11.

23

Id. at 76-77.

24

Kidd Depo., p. 103 [Doc. 49].

25

509 U.S. 579 (1993).

26

Fed. R. Evid. 702.

27

McCorvey v. Baxter Healthcare Corp., 298 F.3d 1253, 1257 (11th Cir. 2002) (citing Maiz v. Virani, 253 F.3d 641, 664 (11th Cir. 2001)); J & V Dev., Inc. v. Athens-Clarke Cnty., 387 F. Supp. 2d 1214, 1223 (M.D. Ga. 2005).

28

509 U.S. 579 (1993).

29

Id. at 589, n.7; McClain v. Metabolife Int’l, Inc., 401 F.3d 1233, 1237 (11th Cir. 2005).

30

Kumho Tire Co. v. Carmichael, 526 U.S. 137, 152 (1999); see also Goebel v. Denver & Rio Grande W. R.R. Co., 346 F.3d 987, 992 (10th Cir. 2003).

31

United States v. Frazier, 387 F.3d 1244, 1260 (11th Cir. 2004) (quoting Daubert, 509 U.S. at 595) (internal quotations omitted).

32

Poulis-Minott v. Smith, 388 F.3d 354, 359 (1st Cir. 2004); see also Frazier, 387 F.3d at 1260.

33

Frazier, 387 F.3d at 1260 (quoting McCorvey, 298 F.3d at 1257) (emphasis in original).

34

See Daubert, 509 U.S. at 591.

35

Id. at 592-93 & n. 10; Fed. R. Evid. 104(a). In particular, Rule 104(a) provides that “[t]he court must decide any preliminary question about whether a witness is qualified, a privilege exists, or evidence is admissible. In so deciding, the court is not bound by evidence rules, except those on privilege.” Fed. R. Evid. 104(a).

36

Allison v. McGhan Med. Corp., 184 F.3d 1300, 1311-12 (11th Cir. 1999).

37

See Kumho Tire, 526 U.S. at 147.

38

McClain, 401 F.3d at 1238 & n. 2; see also Frazier, 387 F.3d at 1260.

39

Goebel, 346 F.3d at 992 (quoting Mitchell v. Gencorp, Inc., 165 F.3d 778, 782 (10th Cir. 1999)) (internal alterations omitted).

40

Frazier, 387 F.3d at 1260.

41

Id. at 1260-61.

42

Santos v. Posadas de Puerto Rico Assocs. Inc., 452 F.3d 59, 63 (1st Cir. 2006).

43

Poulis-Minott, 388 F.3d at 359.

44

Frazier, 387 F.3d at 1262 (quoting Daubert, 509 U.S. at 592-93) (internal alterations omitted).

45

Daubert, 509 U.S. at 595; see also Goebel, 346 F.3d at 992.

46

509 U.S. at 593-95; see also J & V Dev., Inc., 387 F. Supp. 2d at 1224.

47

See Kumho Tire, 526 U.S. at 150-52.

48

Id. at 151-52.

49

Fed. R. Evid. 702 advisory committee’s note (2000 amendments).

50

See id.

51

Frazier, 387 F.3d at 1262.

52

Id. at 1262-63.

53

McDowell v. Brown, 392 F.3d 1283, 1299 (11th Cir. 2004).

54

Id.; see also Gen. Elec. Co. v. Joiner, 522 U.S. 136, 146 (1997).

55

General Electric, 522 U.S. at 146.

56

Bitler v. A.O. Smith Corp., 391 F.3d 1114, 1121 (10th Cir. 2004).

57

Allison, 184 F.3d at 1311.

58

Daubert, 509 U.S. at 596.

59

Quiet Tech. DC-8, Inc. v. Hurel-Dubois UK, Ltd., 326 F.3d 1333, 1341 (11th Cir. 2003).

60

Frazier, 387 F.3d at 1272.

61

Kidd Rule 26 Report and Curriculum Vitae [Doc. 58-1].

62

Kidd Depo., p. 9-20, 34 [Doc. 49].

63

Id. at pp. 20-22, 39-45.

64

Id. at 132-33.

65

Id. at 103.

66

Id.

67

Id.

68

See Quiet Tech. DC-8, Inc. v. Hurel-Dubois UK Litd., 326 F.3d 133, 1345 (11th Cir. 2003).

69

United States v. Rouco, 765 F.2d 983, 995 (11th Cir. 1985).

70

The Court notes that Defendant also stated in his Motion that the Court must exclude Grigg’s testimony that Smith pulled his vehicle from the shoulder in front of Plaintiff’s vehicle before the collision. However, neither Defendant nor Plaintiff substantively addresses this testimony at all. Thus, the Court does not have enough information at this time to make a ruling.

71

Id. at pp. 45-47.

72

Id. at p. 49.

73

Id. at p. 50.

74

Id. at pp. 50-51.

75

Id. at pp. 52-55.

76

Id. at pp. 58; 112-114.

77

Id. at pp. 52-58.

78

Id. at p. 76.

79

Id. at pp. 112-115.

80

Fed. R. Evid. 602.

81

Fed. R. Evid. 701.

82

Fed. R. Civ. P. 56(a); see Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986).

83

Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 249 (1986).

84

See id. at 249-52.

85

Welch v. Celotex Corp., 951 F.2d 1235, 1237 (11th Cir. 1992).

86

Celotex Corp., 477 U.S. at 323 (internal quotation marks omitted).

87

See Fed. R. Civ. P. 56(e); see also Celotex Corp., 477 U.S. at 324-26.

88

See Avirgan v. Hull, 932 F.2d 1572, 1577 (11th Cir. 1991).

89

O.C.G.A. § 51-12-5.1(b).

90

Brooks v. Gray, 262 Ga. App. 232, 232 (2003) (citations omitted).

91

Id. (citations omitted).

92

Miller v. Crumbley, 249 Ga. App 403, 405 (2001) (citations omitted).

93

208 Ga. App. 651 (1993).

94

216 Ga. App. 83 (1995).

95

See also Lindsey v. Clinch County Glass, Inc., 312 Ga. App. 534, 535-36 (2011) (no evidence driver, who was using his cell phone at the time of the collision, had a history of distraction-related accidents or other evidence that would show a pattern of dangerous driving or other aggravating circumstances so as to authorize punitive damages); Brooks, 262 Ga. App. at 233-34 (crossing the centerline and operating a vehicle without a proper license did not warrant imposition of punitive damages); Miller, 249 Ga. App. at 405 (no evidence of pattern or policy of dangerous driving where driver failed to keep a proper lookout and pled guilty to following too closely).

96

Mastec North Am. V. Wilson, 325 Ga. App. 863, 866 (2014); see also Currie v. Haney, 183 Ga. App. 506, 506 (1987) (no punitive damages “in the absence of aggravating circumstances.”).

97

Brooks, 262 Ga. App. at 233 (quoting Miller, 249 Ga. App. at 405 and citing Carter v. Spells, 229 Ga. App. 441, 442 (1997)).

98

246 Ga. App. 209, 210 (2000).

99

207 Ga. App. 250 (1993).

100

183 Ga. App. 508 (1987).

101

237 Ga. App. 841, 843 (1999).

102

Compare Highsmith v. Tractor Trailer Serv., Case No. 2:04-CV-164, 2005 WL 6032882, at *2 (N.D. Ga. Nov. 21, 2005) (no punitive damages where defendants stopped truck on side of highway when truck started overheating, exited truck, walked to front of truck and opened the hood to check for cause of the problem, and five minutes later plaintiffs’ vehicle struck the rear corner of the trailer which remained partially in the roadway. The court determined these circumstances “far less egregious than those in Fowler.”).

103

Hutcherson v. Progressive Corp., 984 F.2d 1152, 1155 (11th Cir. 1993) (internal quotation marks and citation omitted).

104

See Lewis v. Smith Truck Leasing, Inc., 869 F. Supp. 947, 950 (S.D. Ga. 1994).

105

O.C.G.A. § 13-6-11

106

David G. Brown, P.E., Inc. v. Kent, 274 Ga. 849, 850 (2002) (citation omitted).

107

Lewis v. D. Hays Trucking, Inc., 701 F. Supp. 2d 1300, 1312-13 (N.D. Ga. 2010) (quoting Powell Co. v. McGarey Group, LLC, 508 F. Supp. 2d 1202, 1219-20 (N.D. Ga. 2007)) (Carnes, J.) (quoting Vickers v. Motte, 109 Ga. App. 615, 619-20 (1964)).

108

Highsmith v. Tractor Trailer serv., No. 2:04-CV-164WC, 2005 WL 6032882, at *9-10 (N.D. Ga. Nov. 21, 2005) (citing Michaels v. Gordon, 211 Ga. App. 470, 473 (1993)).

109

Kent, 247 Ga. at 850.

110

See Rigby v. Flue-Cured Tobacco Co-op., 327 Ga. App. 29, 42 (2014).

Traffic Tech, Inc., Plaintiff, v. Arts Transportation, Inc., et al.,

United States District Court,

N.D. Illinois, Eastern Division.

Traffic Tech, Inc., Plaintiff,

v.

Arts Transportation, Inc., et al., Defendants.

No. 15 C 8014

|

Signed 04/01/2016

 

 

MEMORANDUM OPINION

SAMUEL DER-YEGHIAYAN, District Judge

*1 This matter is before the court on Defendant Arts Transportation’s (Arts) and Defendant Artiom Sviderschi ‘s (Sviderschi) motion to dismiss, and on Plaintiff Traffic Tech, Inc.’s (Traffic) motion to dismiss the amended counterclaim. For the reasons stated below, Defendants’ motion to dismiss is granted in part and denied in part, and Traffic’s motion to dismiss is denied.

 

 

BACKGROUND

PepsiCo., Inc. (Pepsi) allegedly hired Traffic to arrange for the transportation of a load of dehydrated apple slices (Slices) from Washington to a Quaker Oats facility in Iowa in May of 2015. Traffic then allegedly hired Arts to perform the transportation services. Traffic and Arts allegedly entered into a Broker-Carrier Transportation Agreement (Agreement) regarding the transportation services. Sviderschi is allegedly the President and sole officer of Arts.

 

According to Traffic, Arts improperly allowed the Slices to be packed in a truck trailer (Trailer) along with two tires. When the Trailer arrived in Iowa, the load was rejected due to the presence of the tires, which allegedly violated food safety laws. Pepsi allegedly contacted Traffic to inform Traffic of the food safety violations and told Traffic to await further instructions. Traffic then allegedly forwarded the information to Arts and told Arts to await further instructions. Arts then allegedly decided to dispose the Slices without permission from Traffic resulting in a total loss of the Slices. Traffic subsequently paid Pepsi $136,110.62 in damages for the failure to deliver the Slices. Traffic includes in its complaint breach of contract claims (Count I), claims alleging a violation of the Carmack Amendment, 49 U.S.C. § 14706 (Count II), and claims alleging a breach of 49 C.F.R. § 370.11 (Section 370.11) (Count III).

 

Defendants have also filed an amended counterclaim. Defendants contend that when Arts picked up the Slices, Arts was instructed by Pepsi’s representatives to move the tires into the Trailer with the Slices. When Arts delivered the Slices to Iowa, Quaker Oats rejected the Slices based solely on the presence of the two tires and made no effort to inspect the Slices. Defendants contend that the rejection was not justifiable and that Traffic refused to provide any meaningful guidance for the handling of the Slices in a timely manner. Defendants include in the counterclaim breach of contract claims. Defendants now move to dismiss the claims brought against them in the complaint, and Traffic moves to dismiss the claims brought against it in the amended counterclaim.

 

 

LEGAL STANDARD

*2 In ruling on a motion to dismiss brought pursuant to Federal Rule of Civil Procedure 12(b)(6) (Rule 12(b)(6)), the court must draw all reasonable inferences that favor the plaintiff, construe the allegations of the complaint in the light most favorable to the plaintiff, and accept as true all well-pleaded facts and allegations in the complaint. Appert v. Morgan Stanley Dean Witter, Inc., 673 F.3d 609, 622 (7th Cir. 2012); Thompson v. Ill. Dep’t of Prof’l Regulation, 300 F.3d 750, 753 (7th Cir. 2002). A plaintiff is required to include allegations in the complaint that “plausibly suggest that the plaintiff has a right to relief, raising that possibility above a ‘speculative level”’ and “if they do not, the plaintiff pleads itself out of court.” E.E.O.C. v. Concentra Health Services, Inc., 496 F.3d 773, 776 (7th Cir. 2007)(quoting in partBell Atlantic Corp. v. Twombly, 127 S.Ct. 1955, 1965 (2007)); see also Morgan Stanley Dean Witter, Inc., 673 F.3d at 622 (stating that “[t]o survive a motion to dismiss, the complaint must contain sufficient factual matter, accepted as true, to state a claim to relief that is plausible on its face,” and that “[a] claim has facial plausibility when the plaintiff pleads factual content that allows the court to draw the reasonable inference that the defendant is liable for the misconduct alleged”)(quoting Ashcroft v. Iqbal, 556 U.S. 662 (2009))(internal quotations omitted).

 

 

DISCUSSION

  1. Defendants’ Motion to Dismiss

Defendants contend that Traffic has not alleged sufficient facts to hold Sviderschi individually liable, or alleged sufficient facts to state a valid claim against either Defendant.

 

 

  1. Claims Brought Against Sviderschi Individually

Defendants argue that Traffic has not pled sufficient facts to support a piercing of the corporate veil theory to hold Sviderschi individually liable. Both sides agree that Illinois state law governs the theory. (D Mem. Dis. 3); (T Resp. 12). Generally, a corporation has an existence apart from “its shareholders, officers, directors and related corporations, and those individuals and entities ordinarily are not subject to corporate liabilities.” Laborers’ Pension Fund v. Lay-Com, Inc., 580 F.3d 602, 610 (7th Cir. 2009). However, a plaintiff may seek to hold such individuals or entities liable under the piercing of the corporate veil theory, which “is an equitable remedy governed by state law.” Id. In order to hold an individual liable under Illinois law pursuant to the piercing of the corporate veil theory, the plaintiff must establish: (1) that “there is such a unity of interest and ownership that the separate personalities of the corporation and the individual no longer exist,” and (2) that the “circumstances are such that adhering to the fiction of a separate corporate existence would promote injustice or inequity.” Int’l Fin. Servs. Corp. v. Chromas Techs. Canada, Inc., 356 F.3d 731, 736 (7th Cir. 2004)(emphasis omitted).

 

Plaintiffs allege that Sviderschi is the President and sole officer of Arts and that he acted wrongfully. (Compl. Par. 9). However, that is not sufficient to hold him personally liable in this action. As indicated above, the general rule is that a corporate representative is not liable for his actions taken on behalf of the entity he represents. Plaintiffs also contend that Arts fails to follow corporate formalities by not holding annual shareholder meetings, and by not keeping minutes. (Compl. Par. 34). Even when considering such facts, that still would not be sufficient to suggest that the corporate veil should be pierced. Traffic also contends that Arts was “not adequately capitalized,” but Traffic fails to offer any concrete facts to suggest that such conclusion is accurate. (Compl. Par. 35). Plaintiffs further state that “there is no real separation between…Arts and…Sviderschi.” (Compl. Par. 34). However, that is a legal conclusion which Traffic must support with facts. Traffic has not done so.

 

In response to the instant motion, Traffic also claims to have discovered some additional facts relating to this issue. (T Resp. 13). Traffic, however, did not present such allegations in the complaint or even cite to any documentary exhibits to support such assertions. If Traffic desired to pursue a claim under the piercing of the corporate veil theory, it was incumbent upon Traffic to allege sufficient facts in its complaint to suggest that liability under such a theory is warranted. Traffic has failed to allege such facts to support the extraordinary relief of piercing the corporate veil. See Judson Atkinson Candies, Inc. v. Latini-Hohberger Dhimantec, 529 F.3d 371, 379 (7th Cir. 2008) (stating that “[p]iercing the corporate veil is not favored and in general, courts are reluctant to do so”). Therefore, Defendants’ motion to dismiss the claims brought against Sviderschi in his individual capacity is granted.

 

 

  1. Preemption of State Law Claims

*3 Defendants argue that the state law claims are preempted by the Carmack Amendment. In general, the Carmack Amendment “preempts separate state-law causes of action that a shipper might pursue against a carrier for lost or damaged goods.” REI Transp., Inc. v. C.H. Robinson Worldwide, Inc., 519 F.3d 693, 697 (7th Cir. 2008); see also Gordon v. United Van Lines, Inc., 130 F.3d 282, 288-89 (7th Cir. 1997)(indicating that “the Carmack Amendment bars a shipper from seeking any other remedy either state statutory or common law provides against a carrier for damages to the shipper’s goods that have been transferred in interstate commerce”). However, the preemption does not apply to “every claim even remotely associated with the transfer of goods from one place to another….” Gordon, 130 F.3d at 288-89 (indicating that such a claim would not necessarily be “a claim for damages to the shippers’ goods”). A carrier may still be liable “for certain kinds of separate and independently actionable harms that are distinct from the loss of, or the damage to, the goods.” Id.

 

In the instant action, Traffic is not bringing claims as a shipper against a carrier. Instead, Traffic is bringing claims for indemnity as a broker. Other courts have recognized such claims as separate and distinct claims outside the scope of the Carmack Amendment.  See Keystone Logistics, Inc. v. Struble Trucking LLC, 2014 WL 6750052, at *3 (N.D. Ind. 2014); Nat’l Bankers Trust Corp. v. Peak Logistics, LLC, 2014 WL 5343639, at *3 (W.D. Tenn. 2014)(holding that Carmack Amendment did not preempt claims brought by a broker against a carrier); TransCorr Nat. Logistics, LLC v. Chaler Corp., 2008 WL 5272895, at *3 (S.D. Ind. 2008)(explaining that “[t]he purpose of the Carmack Amendment is to prevent carriers from being placed in the untenable position of having to determine what their liability may be in many jurisdictions with differing laws” and that “[l]iability issues under broker-carrier contracts do not raise the same concern because parties to the contracts may reasonably expect that their contracts will be interpreted consistently by the law of the jurisdiction in which the contract was made”); Viasystems Techs. Corp., LLC v. Landstar Ranger, Inc., 2011 WL 2912763, at *9 (E.D. Wis. 2011)(stating that “[t]o fall within the confines of the Amendment, the party causing the loss must be a motor carrier or freight forwarder; the Amendment does not apply to brokers”).

 

The reasoning that the broker is separate from the shipper and the carrier as well is also consistent with the caselaw indicating that a broker cannot be sued as a carrier under the Carmack Amendment. See Hewlett-Packard Co. v. Brother’s Trucking Enterprises, Inc., 373 F. Supp. 2d 1349, 1351-52 (S.D. Fla. 2005)(stating that “[t]he Carmack Amendment governs carriers, not brokers”); Custom Cartage, Inc. v. Motorola, Inc., 1999 WL 89563, at *3 (N.D. Ill. 1999)(stating that the “Carmack Amendment is silent on the issue of broker liability”). In the instant action, Traffic does not appear on the Bill of Lading and is not seeking to recover pursuant to the contract that was formed with that document. Traffic is proceeding in this case with the separate Agreement. Keystone, 2014 WL 6750052, at *3 (explaining that bill of lading and broker agreement involved two separate contracts). Traffic is not asserting rights in this case as an assignee of Pepsi’s rights. See Nat’lBankers Trust Corp., 2014 WL 5343639, at *3 (noting that there was no “allegation that [the broker was] simply enforcing the shipper’s claims as assignee”). Thus, the state law breach of contract claims are not preempted by the Carmack Amendment. Therefore, Defendants’ motion to dismiss the state law breach of contract claims (Count I) is denied.

 

 

  1. Carmack Amendment Claims

Defendants argue that Traffic cannot bring Carmack Amendment claims since Traffic is merely a broker and not a shipper. As explained above, “the Carmack Amendment bars a shipper from seeking any other remedy either state statutory or common law provides against a carrier for damages to the shipper’s goods that have been transferred in interstate commerce.” Gordon, 130 F.3d at 288-89 (emphasis added). As explained above, Traffic is able to avoid preemption by showing that it is proceeding on its own independent rights and not as an assignee of Pepsi’s rights. As Traffic acknowledges, courts have been reluctant to find that brokers can be sued by shippers under the Carmack Amendment because the Carmack Amendment addresses the liability of carriers. Hewlett-Packard Co., 373 F. Supp. 2d at 1351-52. Under similar logic, a broker is not a shipper and cannot thus sue a carrier under the Carmack Amendment. See Exel, Inc. v. S. Refrigerated Transp., Inc., 807 F.3d 140, 148-49 (6th Cir. 2015) (stating that “[n]othing in the Carmack Amendment suggests that Congress also intended to protect the broker-carrier relationship by granting brokers a direct right to sue under the statute”). Traffic cites to REI, in which the Court allowed a broker to pursue a claim against a carrier under the Carmack Amendment. 519 F.3d at 698-99; (T Resp. 5-6). However, in REI, the broker was proceeding as an assignee of the shipper’s rights and the Court only mentions the broker’s status in passing. Id. at 694-95. The Court in addressing the Carmack Amendment specifically addressed the rights of a shipper, not of a broker. See id. at 697-99 (stating that “a shipper cannot bypass these limits by filing a state suit for the damaged goods unless the claim seeks to remedy a ‘separate and independently actionable harm”’)(quoting North American Van Lines, Inc. v. Pinkerton Sec. Sys., Inc., 89 F.3d 452, 458 (7th Cir. 1996)). Although Traffic now asserts without evidentiary support that it has been assigned Pepsi’s rights, no allegation of such an assignment is presented in the complaint. The allegations in the complaint suggest only that Traffic is seeking to proceed in its own right as a broker. If Traffic in fact was seeking to stand in the shoes of Pepsi in this case, the preemption analysis discussed above would be different. See Keystone, 2014 WL 6750052, at *3 (finding that “[b]ecause [the plaintiff was] seeking to recover on a contract which is not a bill of lading, the Carmack Amendment d[id] not apply and there [was] no preemption”). Traffic thus cannot proceed under the Carmack Amendment. Therefore, Defendants’ motion to dismiss the Carmack Amendment claims (Count II) is granted.

 

 

  1. Section 370.11 Claims

*4 Defendants argue that there is no private cause of action under Section 370.11. Section 370.11 is merely a regulation implementing the Carmack Amendment. It does not expressly or impliedly provide a private cause of action. Traffic has not cited any controlling precedent indicating that such a private cause of action is recognized. In addition, Traffic acknowledges that the claim could only go forward if the Carmack Amendment claims were still alive in this case. (T Resp. 2). Therefore, Defendants’ motion to dismiss the Section 370.11 claims (Count III) is granted. The court also notes that although the only federal claim has been dismissed in this action, Traffic contends that there is diversity subject matter jurisdiction in this action. (T Resp. 14).

 

 

  1. Traffic’s Motion to Dismiss

Traffic argues that Arts has failed to allege sufficient facts to state a valid claim in its amended counterclaim. Traffic contends that there is no evidence that Arts paid any funds to Pepsi or suffered any damages as a result of the loss of the Slices. Traffic repeatedly argues that the factual assertions in the counterclaim are not accurate. Traffic contends that it “is truly baffled as to how [Arts] can claim that it suffered anything….” (T Mem. Dis. 2). However, it is premature to raise such factual disputes at the pleadings stage. At this pleadings stage, Arts merely needs to plead allegations, which must be accepted as true. Appert, 673 F.3d at 622. Arts alleges that it performed services for which it was not compensated and that its driver was forced to incur delay while awaiting instructions from Traffic and that no timely instructions were given. Such facts suggest potential damages suffered by Arts.

 

Traffic also points to facts outside the pleadings such as Traffic’s claim that it has never received an invoice from Arts seeking payment. While Traffic can present such evidence at the summary judgment stage, the focus of the court’s inquiry at this juncture is the sufficiency of the pleadings. Traffic also argues that based on its version of the facts and reading of the Agreement, it owed no contractual duty to Arts. Again, however, Traffic is seeking to contest Arts’ allegations at this initial pleadings stage, which is improper. Arts has alleged sufficient facts to suggest valid claims. Therefore, Traffic’s motion to dismiss the amended counterclaim is denied.

 

The court does note however, that under Illinois law, the covenant of good faith and fair dealing is not a basis for an independent cause of action. Spadoni v. United Airlines, Inc., 2015 IL App (1st) 150458, ¶ 59. Thus, to the extent that Arts seeks to pierce a claim premised on that covenant it would not be a recognized cause of action under Illinois law.

 

 

CONCLUSION

Based on the foregoing analysis, Defendants’ motion to dismiss the claims brought against Sviderschi, the Carmack Amendment claims, and the Section 370.111 claims is granted. Defendants’ motion to dismiss the breach of contract claim brought against Arts is denied. Traffic’s motion to dismiss the amended counterclaim is denied.

 

All Citations

Slip Copy, 2016 WL 1270496

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