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Volume 19, Edition 8, Cases

Greenwood Motor Lines, Inc. d/b/a R+L Carriers and Steven c. Gaston, Appellants v. Bobbie Bush

Court of Appeals of Texas,

Dallas.

Greenwood Motor Lines, Inc. d/b/a R+L Carriers and Steven c. Gaston, Appellants

v.

Bobbie Bush, Appellee

No. 05-14-01148-CV

|

Opinion Filed August 17, 2016

On Appeal from the 298th Judicial District Court Dallas County, Texas, Trial Court Cause No. DC-11-16041-M

Before Justices Bridges, Stoddart, and O’Neill1

 

 

MEMORANDUM OPINION

Opinion by Justice BRIDGES

*1 Greenwood Motor Lines, Inc. d/b/a R+L Carriers and Steven C. Gaston appeal the trial court’s judgment, following a jury verdict, in favor of Bobbie Bush. In five issues, Greenwood argues (1) the evidence is legally and factually insufficient to support the jury’s findings and the trial court erred by (2) incorrectly handling spoliation allegations, (3) admitting certain expert testimony, (4) admitting evidence of Greenwood’s preventability assessments, and (5) allowing the jury to hear allegations of Greenwood’s net worth. In seven issues, Gaston argues (1) the evidence is legally and factually insufficient to support the jury’s findings and the trial court erred by (2) striking certain jurors for cause, (3) admitting certain expert testimony, (4) admitting a “summary” of Gaston’s own testimony, (5) excluding certain evidence, (6) admitting evidence of Gaston’s prior bad acts, and (6) allowing Bush’s counsel to make certain improper and prejudicial arguments. We affirm the trial court’s judgment.

 

On December 5, 2011 at approximately 9:30 p.m., Bush was driving east on Interstate 20 near Weatherford when a tractor-trailer driven by Gaston struck Bush from behind. Gaston’s vehicle flipped over multiple times, causing her physical and neurological injuries. On December 22, 2011, Bush filed a lawsuit against Gaston and his employer, Greenwood, alleging claims of negligence, negligence per se, and gross negligence. The lawsuit progressed, and, on May 15, 2013, Greenwood filed its original answer in which it argued Bush’s own negligence was “the sole proximate cause or a proximate cause and/or the sole producing cause or a producing cause of the accident.” In addition, Greenwood argued the accident was an unavoidable accident or the result of a sudden emergency; Bush’s claim for punitive damages was insufficiently pled; and Greenwood could not be held liable for punitive damages because its actions were in compliance with regulatory or statutory standards, its actions did not cause Bush harm, Bush’s injury was caused by someone else, and Bush was the sole cause of her injury or her negligence contributed to her injury. In the alternative, Greenwood argued any award of punitive damages was subject to a statutory cap or was barred by the Fourth, Fifth, Sixth, Eighth, and Fourteenth Amendments to the United States Constitution.

 

Following numerous hearings on motions for sanctions, motions to exclude expert witnesses, and motions to compel, among others, the case proceeded to trial in March 2014. Bush testified that, on December 5, 2011, she was driving her 1994 Chevrolet pickup truck with boxes of household goods in the bed with a tarp covering them. Bush’s two dogs were in a “doggy car seat” attached with the seat belt in the seat next to her. Bush was in the process of moving from Las Vegas to Mississippi. The boxes in the bed of the truck did not prevent Bush from seeing out of the rear sliding window or “both side windows.” Neither “the stuff in [the truck] bed” nor the tarp covered the truck’s taillights. Bush drove through a construction zone in Weatherford and was traveling “a few” below the speed limit in the right lane. Bush was “rear-ended” and described the accident as “like lights, screech, boom and literally three seconds.” Bush’s truck “started spinning and started to flip.” Bush did not remember anything “from the flip … to seeing lights” and found herself hanging upside down with her seat belt choking her. As Bush was trying to get out of the truck, she saw “lights and sirens and realized it was the police and ambulance people.” Bush remembered a female police officer asking if Bush was okay and taking her to an ambulance. Both of Bush’s dogs died in the accident. Initially, Bush refused to go to the hospital, but she developed blurred vision, migraines, nausea, and painful bruises, so she went to the emergency room several days later. Bush received ongoing treatment and required surgery to her neck that required “six pins and two plates.” At the time of trial, Bush was “never pain free,” and she required back surgery when her doctor cleared her following the neck surgery.

 

*2 Gaston testified he rear-ended Bush, and the impact from the collision caused Bush’s truck to “flip off the roadway.” Gaston testified Bush’s taillights were not covered by a tarp, and “nothing about the tarp caused this collision.” Gaston thought Bush “could be on the side of the road dead,” but he did not call 911 because he “could hear sirens already.” Gaston “checked on” Bush and then used his cell phone to call Greenwood. Gaston “talked to a lady,” Misty Urton, at Greenwood for about ten minutes and then “started receiving phone calls from somebody else” at Greenwood. Urton created a “preliminary even report” within ten minutes of the accident. The report stated “snow” under weather conditions, “wet” under road conditions, and 65 miles per hour under driver’s speed. Gaston testified he “did not tell anybody” he was going 65 miles per hour and denied there was snow on the road and denied that the road was wet. Bush’s counsel asked Gaston if the mobile data terminal (MDT) on his truck could have told “somebody” at Greenwood his speed, and Gaston answered, “I assume.” Gaston testified he knew the MDT records location, but he was “not sure about the speed.” Gaston testified he was told the MDT “records location and your speed,” but he was “looking at other papers” and noticed “the speed that is showing is not correct.” The MDT in Gaston’s truck provided information on the truck’s location and speed on the day of the accident up until approximately 3:00 p.m. and then the information stopped until approximately 1:00 or 2:00 a.m. Gaston testified the only way the data would not be recorded was if the MDT was unplugged, but it was not unplugged.

 

Gaston testified he kept a logbook in which he recorded the times he drove, and Greenwood had an obligation to monitor his logbook and make sure he was complying with federal requirements concerning rest periods. In his logbook entry for the day of the accident, which Gaston filled out four days later, he did not record the accident. Gaston testified he “falsified the log.” On the day of the accident, Gaston’s truck was pulling “doubles,” two twenty-eight-feet-long trailers. The only training he received from Greenwood concerning doubles was “how to connect them.” After that, Gaston “learn[ed] how to operate the Doubles by getting out on the road and getting experience.”

 

Bush introduced the deposition testimony of Thames Do, who testified that, on December 16, 2003, Gaston rear-ended him “on the rear of the left side and caused the damage on the left rear side, you know, in the signal lights.” After the accident, Do stopped on the side of the freeway and waited for “the driver of the semi truck to stop it,” but the driver did not stop. Do followed the truck “for several miles at least” and recorded the license number of the truck. Meanwhile, Do was honking his horn and flashing his lights, but the truck did not stop. The next day, Do filed a police report and contacted Greenwood. After Do sent Greenwood an estimate for repair of the damage, pictures of the damage, “the serial number of the truck and everything, Greenwood denied Do’s claim. Do sued Greenwood in Dallas small claims court, and Greenwood offered to settle his claim. Greenwood determined the accident between Gaston and Do was “preventable” and notified Gaston of this determination in February 2004.

 

Oscar Reyna testified that, in April 2007, he was driving on a bridge on Interstate 20 when Gaston came up behind him, jackknifed his trailer, and hit Reyna from behind, causing Reyna to hit the vehicle in front of him. Gaston was ticketed for failure to control speed. Again, Greenwood notified Gaston the accident was ruled as “preventable” by Greenwood.

 

Whitney Morgan testified he audited Gaston’s logs “not only for what the logs say on the face of the log for completeness purposes but also against any time or date relevant operational documents of the motor carrier.” Morgan described “pattern logging” as “a term of art in the industry that deals with information on the driver’s log that is the same on each log, each day, day in and day out.” Morgan reviewed Gaston’s logs relating to a five-month period and found pattern logging was present: Gaston was “averaging the exact same speed every single day that he drove, 61 miles an hour.” Morgan testified the presence of pattern logging was “a red flag” that “should give the carrier notice that there may be a problem with these logs.”

 

The jury found (1) Gaston’s negligence proximately caused the occurrence in question, and Bush’s did not; (2) Gaston was 100% responsible for the occurrence; (3) Greenwood’s negligence in entrusting a vehicle to an incompetent or reckless driver proximately caused the occurrence; (4) Greenwood’s negligence in retaining or supervising an incompetent or unfit employee proximately caused the occurrence; (5) Greenwood was negligent in failing to provide training beyond that which was given, and such negligence was a proximate cause of the occurrence because the negligence of the driver whom Greenwood failed to properly train was a proximate cause of the collision; (6) the harm to Bush resulted from gross negligence attributable to Gaston; and (7) the harm to Bush resulted from gross negligence attributable to Greenwood. The jury charge did not contain a spoliation instruction. In accordance with the jury’s verdict, the trial court entered judgment awarding Bush $4,088,669.28 in actual damages, $50,000 in punitive damages, and interest. This appeal followed.

 

*3 In his first issue, Gaston argues the trial court erred by not allowing him a jury of his peers, which denied appellants their right to a fair trial. Specifically, Gaston argues the trial court “struck for cause all jurors who would not affirmatively commit to award limitless non-economic damages to Bush.” In addition, Gaston complains other venire members were stricken because “they generally question lawsuits and favor tort reform” or because they “had sympathies toward trucking companies.” Gaston complains the trial court erred in allowing Bush to “systematically remove from the panel dozens of venire members she found unfavorable to her before ever having to utilize a single peremptory strike.” Gaston argues this violated his right to due process and to a jury trial under the United States Constitution and the Texas Constitution, “by denying Gaston his right to a jury selected from a fair and reasonable cross-section of the community.” Gaston argues none of the jurors stricken for cause “expressed a bias or prejudice because of their lack of commitment to a damages award.”

 

We note Gaston did not object to the jury panel that was actually seated, only to the exclusion of the jurors stricken for cause. Even if challenges for cause are improperly sustained, no reversible error is presented unless appellant can show he or she was denied a trial by a fair and impartial jury. Solomon v. Steitler, 312 S.W.3d 46, 59 (Tex. App.—Texarkana 2010, no pet.); City of Hawkins v. E.B. Germany & Sons, 425 S.W.2d 23, 26 (Tex. Civ. App.—Tyler 1968, writ ref’d n.r.e.). Because Gaston did not object to any juror on the panel, it must be presumed that he was afforded a fair and impartial jury, and no harm could have resulted by reason of the court’s dismissal of the jurors stricken for cause. Solomon, 312 S.W.3d at 59. We overrule Gaston’s first issue.

 

In his second issue, Gaston argues the trial court’s judgment should be reversed because “the trial court abused its discretion in admitting purported expert testimony that tainted the jury throughout the course of trial.” Specifically, Gaston argues the trial court erred in admitting the police report and testimony of Officer Angela McCrory regarding causation. Gaston argues McCrory was not qualified to render opinions regarding accidents, she had no specialized training or expertise in accident reconstruction, her opinions and report were not reliable, and there is “too great of a gap between the data relied on and her testimony.”

 

Gaston also complains of the trial court’s admission of testimony by accident reconstruction expert John Smith. Gaston argues Smith was “not qualified; his proposed testimony was not timely disclosed; and his testimony served no valid evidentiary purpose, is unreliable, would interfere with this Court’s sole authority to instruct the jury as to controlling law and the jury’s exclusive fact-finding responsibility, and is confusing, misleading, and otherwise unfairly prejudicial.” In addition, Gaston argues Smith’s testimony regarding destruction of evidence and MDT was speculative and should not have been considered by the jury, his video animation of the accident was not substantially similar to the accident, his accident reconstruction testimony was unreliable, and his testimony regarding the tarp not covering Bush’s taillights lacked foundation and should have been excluded as unreliable. In its first issue, Greenwood also attacks Smith’s testimony, incorporating Gaston’s arguments concerning the inadmissibility of Smith’s testimony generally and specifically attacking Smith’s testimony regarding spoliation and arguing Greenwood had no duty to preserve and the trial court improperly barred the presentation of evidence to rebut Bush’s accusations of spoliation.

 

Regarding spoliation, Greenwood argues Brookshire Bros. v. Aldridge, 438 S.W.3d 9, 29 (Tex. 2014) “categorically shows a spoliation instruction was never an available sanction remedy and Bush had no right to offer any spoliation evidence, much less hold a spoliation mini-trial.” Aldridge, issued on July 3, 2014, held that evidence bearing solely on whether a party spoliated evidence or the party’s degree of culpability in doing so did not relate to a fact of consequence to the determination of the action. Id. at 26. The court in Aldridge held that the trial court determines whether evidence was spoliated and the proper remedy. Id. at 19. The trial court may hold an evidentiary hearing to assist the court in making spoliation findings, but not in the presence of the jury. Id. at 20. Thus, Aldridge stands for the proposition that the trial court alone, outside the presence of the jury, should make a determination regarding spoliation and a suitable remedy. See id. at 19-29. However, as the dissent in Aldridge points out, the majority articulates a spoliation framework that departs in significant ways from decades of spoliation jurisprudence as developed by our capable courts of appeals. Id. at 30 (Guzman, J., dissenting). Prior to Aldridge, the exclusion or admission of evidence regarding spoliation was an issue within the trial court’s discretion. Malone v. Foster, 977 S.W.2d 562, 564 (Tex. 1998). We conclude this case, which was tried to a jury before the opinion in Aldridge issued, properly applied the law in effect at the time.

 

*4 A trial judge’s decision to admit or exclude evidence is reviewed for abuse of discretion. Horizon/CMS Healthcare Corp. v. Auld, 34 S.W.3d 887, 906 (Tex. 2000). Unless the trial judge’s erroneous evidentiary ruling probably caused the rendition of an improper judgment, we will not reverse the ruling. Id. An appellate court must uphold the trial judge’s evidentiary ruling if there is any legitimate basis for it. Owens–Corning Fiberglas Corp. v. Malone, 972 S.W.2d 35, 43 (Tex. 1998). For an expert’s testimony to be admissible, the expert witness must be qualified to testify about “scientific, technical, or other specialized knowledge,” TEX. R. EVID. 702, and the testimony must be relevant and based upon a reliable foundation. TXI Transp. Co. v. Hughes, 306 S.W.3d 230, 234 (Tex. 2010); Exxon Pipeline Co. v. Zwahr, 88 S.W.3d 623, 628 (Tex. 2002). An expert’s testimony is relevant when it assists the jury in determining an issue or in understanding other evidence. TEX. R. EVID. 702. But, expert testimony based on an unreliable foundation or flawed methodology is unreliable and does not satisfy Rule 702’s relevancy requirement. E.I. du Pont de Nemours & Co. v. Robinson, 923 S.W.2d 549, 556–57 (Tex.1995) (discussing TEX. R. EVID. 702).

 

When the reliability of an expert’s testimony is challenged, courts “ ‘should ensure that the [expert’s] opinion comports with the applicable professional standards.’ ” Helena Chem. Co. v. Wilkins, 47 S.W.3d 486, 499 (Tex. 2001) (quoting Gammill v. Jack Williams Chevrolet, Inc., 972 S.W.2d 713, 725–26 (Tex.1998)). To aid in that determination, the Texas Supreme Court has suggested several factors to consider when assessing the admissibility of expert testimony under Rule 702. The supreme court has emphasized, however, that these factors are nonexclusive, and that they do not fit every scenario. TXI, 306 S.W.3d at 235; Gammill, 972 S.W.2d at 726. These factors are particularly difficult to apply in vehicular accident cases involving accident reconstruction testimony. TXI, 306 S.W.3d at 235; Ford Motor Co. v. Ledesma, 242 S.W.3d 32, 39 (Tex. 2007) (citing Cooper Tire & Rubber Co. v. Mendez, 204 S.W.3d 797, 802 (Tex. 2006)); see also Gammill, 972 S.W.2d at 727. Nevertheless, the court, as gatekeeper, “must determine how the reliability of particular testimony is to be assessed.” Gammill, 972 S.W.2d at 726. Rather than focus entirely on the reliability of the underlying technique used to generate the challenged opinion, as in Robinson, it is appropriate in cases like this to analyze whether the expert’s opinion actually fits the facts of the case. TXI, 306 S.W.3d at 235; Volkswagen of Am., Inc. v. Ramirez, 159 S.W.3d 897, 904–05 (Tex. 2004). In other words, we determine whether there are any significant analytical gaps in the expert’s opinion that undermine its reliability. TXI, 306 S.W.3d at 235.

 

Expert testimony is unreliable when “ ‘there is simply too great an analytical gap between the data and the opinion proffered.’ ” Ledesma, 242 S.W.3d at 39 (quoting Gen. Elec. Co. v. Joiner, 522 U.S. 136, 146 (1997)). Expert testimony is also unreliable if it is not grounded in scientific methods and procedures, but is rather based upon subjective belief or unsupported speculation. Coastal Transp. Co. v. Crown Cent. Petrol. Corp., 136 S.W.3d 227, 232 (Tex. 2004). Expert testimony lacking a proper foundation is incompetent, City of Keller v. Wilson, 168 S.W.3d 802, 813 (Tex. 2005), and its admission is an abuse of discretion. Cooper Tire, 204 S.W.3d at 800. The court’s ultimate task, however, is not to determine whether the expert’s conclusions are correct, but rather whether the analysis the expert used to reach those conclusions is reliable and therefore admissible. Zwahr, 88 S.W.3d at 629 (citing Gammill, 972 S.W.2d at 728).

 

McCrory testified by video deposition that she attended the Weatherford Police Academy and received training on accident investigation. Bush’s accident was “one of [McCrory’s] first major accidents,” and McCrory had a field training officer supervising her and looking over all of her final reports, including her report in this case. In response to questioning, McCrory agreed that Gaston’s truck required more distance to stop than an ordinary passenger vehicle, and Gaston violated the transportation code by failing to keep a safe distance from Bush’s vehicle and failing to drive at a speed that would have allowed him to avoid running into Bush’s vehicle. McCrory testified she was required to investigate accidents and create accident reports to help identify who was at fault in causing collisions. McCrory testified she created the accident report in this case as part of her duties as an officer for a public agency. McCrory testified it was raining, there was snow on the side of the road, and the speed limit was 55 where the collision occurred. When McCrory arrived at the scene, she saw Bush’s truck upside down and Gaston’s truck jackknifed “in the bar ditch.” Gaston told McCrory that he did not see the small truck ahead of him, and he tried to veer off as soon as he saw it. McCrory testified Gaston did not tell her that Bush did anything that caused or contributed to the collision. McCrory testified she believed the weather conditions contributed to the collision, but if Gaston had controlled his speed there would not have been an accident. Based on her conversations at the scene with Bush and Gaston, McCrory did not believe Bush was “in any way at fault for causing or contributing to the collision.”

 

*5 Accident reports are admissible under Rule 803(8) as exceptions to the hearsay rule. TEX. R. EVID. 803(8). Rule 803(8) provides for the admissibility of records, reports, statements, or data compilations, in any form, of public offices or agencies setting forth:

(A) the activities of the office or agency;

(B) matters observed pursuant to duty imposed by law as to which matters there was a duty to report, excluding in criminal cases matters observed by police officers and other law enforcement personnel; or

(C) in civil cases as to any party and in criminal cases as against the state, factual findings resulting from an investigation made pursuant to authority granted by law;

unless the sources of information or other circumstances indicate lack of trustworthiness.

TEX. R. EVID. 803(8). There is no evidence to show a lack of trustworthiness. Thus, the police report McCrory prepared was admissible. See id. Further, there is no analytical gap between the data and the opinions McCrory proffered. See Ledesma, 242 S.W.3d at 39. The data was that it was dark and raining, there was snow on the side of the road, the collision took place in a construction zone where the speed limit was lowered to 55, and the collision consisted of Gaston rear-ending Bush’s truck. There was no analytical gap between this data and the opinion that Gaston caused the collision by failing to control his speed. See id. The trial court did not abuse its discretion in admitting McCrory’s report and testimony.

 

Smith is a licensed professional engineer specializing in accident investigation, accident reconstruction, and biomechanics including analysis of injury, causation, and occupant kinematics. Smith testified he has performed over 2300 accident reconstructions, 1500 to 2000 biomechanical analyses, and “over a thousand” analyses of rear impacts. Smith testified GPS data “absolutely” plays a role in accident reconstruction and provides information concerning speed, “paths vehicles took,” and a vehicle’s starting point. In 1985 or 1986, Smith was “one of the first people in the world to use GPS” under the auspices of the Defense Mapping Agency, of which Smith was a graduate. Smith testified the MDT used a “differential GPS” system that “track[ed] things based on two given locations” and was able to determine speed. Smith reviewed the deposition of Mark Vance, former “director of MDT” at Greenwood, and the MDT user manual and mechanic’s manual. Smith reviewed data from the MDT in Gaston’s truck and found data missing from “after lunch” on the day of the accident until after the accident at 10:09 p.m. The data loss occurred exactly at the end of a page, which “didn’t seem right” to Smith. Smith testified the odds were “1 and 100 million” of a “catastrophic malfunction” of the MDT occurring simultaneously with a page break and a collision. Thus, Smith contended, the “evidence went missing at the hands of” Greenwood.

 

Smith also reviewed photographs of the vehicles, “tire marks on the roadways,” “what the people had to say about how the collision occurred,” the police report, and medical records. Smith also “looked at the scene and the slope of the scene and what the roads are made out of.” Smith applied the collected data “to scientific principles and engineering principles in order to come up with” his opinions and the animation he created. Smith concluded the damage to Bush’s truck was “consistent and indicative of a rear-end collision of high speed.” To the extent Smith testified concerning a tarp not covering Bush’s taillights, such testimony merely echoed Bush’s own testimony. Further, as Smith stated, the issue of whether Gaston saw Bush’s taillights was not relevant because Gaston testified he saw Bush’s truck. In fact, Gaston testified Bush’s taillights were not covered by a tarp. Considering Smith’s qualifications and the support his testimony found in the evidence, we conclude the trial court did not abuse its discretion in allowing his testimony. See Auld, 34 S.W.3d at 906.

 

*6 To the extent Greenwood argues it had no duty to preserve MDT data, Greenwood supports this argument by stating it offered evidence that “no data was ever recorded, such that there was no evidence to preserve. First, whether or not Greenwood had a duty to preserve, the point of Smith’s testimony was that only the data from the time surrounding the accident was missing, and this indicated the relevant data had been intentionally removed. Second, Smith addressed the issue of the MDT failing to record only at the time surrounding the collision and testified the odds were “1 and 100 million” of the failure occurring at the end of a page and at the time of a collision. Greenwood further argues it was barred from offering rebuttal evidence that would have shown the MDT was “malfunctioning before, at the time of, and after the accident due to a power supply problem.” In support of this argument, Greenwood cites several pages of the record generally. At one point in the cited pages, the judge states, “I have already excluded the notion that [the MDT] didn’t record as the answer, it is possible to advance the notion that it is an explanation, but not that here is the answer.” While it is not entirely clear, it appears the court’s ruling did not preclude Greenwood from raising the issue that the MDT did not record. We find no abuse of discretion. See id. We overrule Greenwood’s first issue.

 

As to the video animation, we note the video was not admitted into evidence but was shown during Smith’s testimony for demonstrative purposes. Defense counsel objected “on the grounds of 403.” Smith testified he measured Gaston’s truck and two similar trailers “in order to get data to fill in the animation.” It was not possible to “match tire to track,” but Smith made a generalized analysis of marks on the roadway he described as an “approximation.” Smith testified the animation was not a simulation and “not an exact replication of what happened,” but it was “an accurate representation of what occurred.” Earlier in the trial, Smith was allowed to express his underlying opinion without objection when the testimony was presented to the jury. Since the animation was a graphic depiction of the opinion admitted into evidence without objection, Greenwood’s trial objection to the video depiction of that opinion was waived. N. Am. Van Lines, Inc. v. Emmons, 50 S.W.3d 103, 130 (Tex. App.—Beaumont 2001, pet. denied). Video animation and other demonstrative evidence that “summarize, or perhaps emphasize, testimony are admissible if the underlying testimony has been admitted into evidence, or is subsequently admitted into evidence.” Id. (quoting Uniroyal Goodrich Tire Co. v. Martinez, 977 S.W.2d 328, 342 (Tex. 1998)). We overrule Gaston’s second issue.

 

In its second issue, Greenwood argues the trial court abused its discretion in allowing Morgan to testify that Gaston was a “habitual speeder,” he engaged in “pattern logging,” he was reckless, and he had a history of rear-end collisions. Greenwood argues Morgan’s testimony “failed reliability and relevance, interfered with the trial court’s sole instructing-the-jury-on-the-law authority and the jury’s exclusive fact-finding responsibility and was confusing, misleading, and unfairly prejudicial.” Greenwood further argues the trial court abused its discretion in admitting Morgan’s testimony that Greenwood failed to monitor, train, or supervise Gaston and that Greenwood’s failure to follow internal company policies and procedures was “tantamount to negligence.”

 

Our ultimate task is not to determine whether an expert’s conclusions are correct, but rather whether the analysis the expert used to reach those conclusions is reliable and therefore admissible. TXI, 306 S.W.3d at 239. Upon his graduation from college in 1975, Morgan went to work for the U.S. Department of Transportation. He trained at the Transportation Safety Institute in Oklahoma City. As part of that job, Morgan investigated and reconstructed “catastrophic-type commercial motor vehicle accidents and hazardous material accidents.” Morgan also performed “safety compliance reviews of all different types of motor carriers and shippers who shipped or transported hazardous materials.” At the time of trial, Morgan testified he had “almost 40 years” of experience with “the laws, the rules, safety rules, and things like that, as applied to a trucking company.”

 

*7 Morgan reviewed Gaston’s logs relating to a five-month period and testified the logs showed “pattern logging” was present: Gaston averaged the same speed every day he drove. The presence of pattern logging, he testified should have given Greenwood notice that there might be a problem with the logs. Had Greenwood audited the logs and discovered the pattern logging, under its policies and procedures it “would warrant disciplinary action up to and including termination.” In addition, GPS data Morgan reviewed showed Gaston exceeded 73 miles per hour sixty-three times and that was not, in Gaston’s opinion, the driving pattern of a reasonably prudent truck driver. Morgan testified it was his opinion that Greenwood improperly entrusted to Gaston the tractor-trailer that hit Bush “due to his history.” The record shows Morgan’s testimony was based on information maintained by Greenwood and Greenwood’s own policies and procedures. We conclude Morgan’s analysis, based on that information, was reliable and therefore admissible. See TXI, 306 S.W.3d at 239. The trial court, therefore, did not abuse its discretion in admitting Morgan’s testimony. See Auld, 34 S.W.3d at 906. We overrule Greenwood’s second issue.

 

In its fourth issue, Greenwood argues the trial court erred in admitting the “preventability assessments” showing Greenwood determined this accident and accidents in 2003 and 2007 were “preventable.” The documents at issue are internal Greenwood-generated documents sent to Gaston determining the accidents in question were preventable and asking Gaston to sign either in agreement or disagreement with that determination. The documents were admitted as admissions by a party opponent. Rule 801(e)(2) is straightforward: subject to other Rules of Evidence that may limit admissibility, any statement by a party-opponent is admissible against that party. TEX. R. EVID 801(e)(2); Bay Area Healthcare Grp., Ltd. v. McShane, 239 S.W.3d 231, 235 (Tex. 2007). Under these circumstances, we conclude the trial court did not abuse its discretion in admitting the preventability assessments. See Auld, 34 S.W.3d at 906. We overrule Greenwood’s fourth issue.

 

In its fifth issue, Greenwood argues the trial court erred in allowing Bush’s counsel, in his opening statement and during the questioning of a witness, to call Greenwood a “billion-dollar corporation.” The record indicates Bush’s counsel, during his opening statement, described Greenwood as a company with “billions of dollars a year in revenue” and a “billion-dollar corporation.” During his questioning of Morgan, Bush’s counsel once again identified Greenwood as a “billion-dollar company.” Greenwood did not make a timely objection to any of the three instances where Bush’s counsel referred to it as a “billion-dollar corporation.” Appellate complaints of improper jury argument must be preserved by timely objection and request for an instruction that the jury disregard the improper remark. TEX. R. APP. P. 33.1; Phillips v. Bramlett, 288 S.W.3d 876, 883 (Tex. 2009). Because Greenwood’s objections were not timely, we conclude this issue is not preserved for our review. Phillips, 288 S.W.3d at 883. We overrule Greenwood’s fifth issue.

 

In his fourth issue, Gaston argues the trial court abused its discretion in admitting a “summary” of Gaston’s testimony. Specifically, Gaston argues the admission of an exhibit summarizing his testimony violates rule of evidence 1006, which provides for the admission of summaries of voluminous materials. TEX. R. EVID. 1006. However, Gaston’s counsel objected to the admission of the summary by saying “It’s not evidence. He’s testified.” Because Gaston did not raise his complaint regarding rule 1006 at trial, he has not preserved this issue for our review. See TEX. R. APP. P. 33.1(a)(1); Keith v. Wells Fargo Bank, N.A., 285 S.W.3d 588, 590 (Tex. App.—Dallas 2009, no pet.). We overrule Gaston’s fourth issue.

 

In his fifth issue, Gaston argues the trial court abused its discretion by excluding video and photographic materials his expert, Robert Swint, relied upon in forming his opinions. Swint testified he had been involved in “between 700 and 1000” tractor-trailer accidents. Swint testified he saw no evidence of a rear impact between a tractor trailer and Bush’s truck. Gaston’s counsel stated he had some “short videos” about testing Swint performed with the Minnesota Department of Transportation and photographs of a pickup truck involved in a rear-end collision. The trial court questioned defense counsel and determined the testing “was not done in relation to this accident,” and the photograph was “not the same pickup truck, make and model, as involved in the Bush Gaston accident.” The trial court concluded the videos and photographs were “not relevant based on [their] dissimilarity to the case at bar.” Gaston does not dispute that the videos and photographs did not depict the same or similar vehicles involved in the accident in this case. See U-Haul Int’l, Inc. v. Waldrip, 380 S.W.3d 118, 137 (Tex. 2012) (concluding expert testimony not sufficiently similar to truck at issue distracted jury). We conclude the trial court did not abuse its discretion in excluding the videos and photographs. See Auld, 34 S.W.3d at 906. We overrule Gaston’s fifth issue.

 

*8 Gaston further argues the trial court abused its discretion in excluding evidence of Gaston’s good driving record after the accident. Gaston made an offer of proof that he had not had “any speeding tickets or accidents since December 5, 2011.” The trial court excluded this testimony as “irrelevant.” We agree. Gaston has not demonstrated in what way Gaston’s driving record following the accident was relevant to the issues arising out of the accident itself. The trial court did not abuse its discretion in excluding this evidence. See id.

 

In his sixth issue, Gaston argues the trial court abused its discretion in admitting evidence of prior bad acts allegedly committed by Gaston. Specifically, Gaston complains of the admission of evidence regarding a speeding ticket he received in his personal vehicle, his disciplinary record, allegations of pattern logging, and accidents allegedly occurring in 2003 and 2007. One of Bush’s theories was that Greenwood negligently entrusted the tractor trailer to Gaston. One issue in determining negligent entrustment was whether Greenwood knew or should have known that Gaston was unlicensed, incompetent, or reckless. Schneider v. Esperanza Transmission Co., 744 S.W.2d 595, 596 (Tex. 1987). Thus, the complained-of evidence of bad acts were relevant to Greenwood’s knowledge of Gaston’s recklessness. See id. The trial court did not abuse its discretion in admitting this evidence. See Auld, 34 S.W.3d at 906.

 

In his seventh issue, Gaston argues the trial court abused its discretion by “allowing Bush to make an improper and prejudicial argument about the details of a prior case involving Robert Swint and Appellants’ counsel.” On cross-examination, Bush’s counsel asked Swint about his expert testimony in another case involving the issue of “a phantom truck appearing out of nowhere and killing somebody.” Swint answered that “The phantom truck didn’t kill anybody.” Counsel asked whether Swint’s testimony “involved some phantom truck.” Swint answered that “there was testimony to that,” and his opinion was the accident in that case was consistent with someone “not falling asleep but avoiding an event. And that was consistent with a phantom vehicle.” Counsel asked if it was “the phantom vehicle that caused it in [his] opinion,” and Swint answered, “I think so.” Defense counsel did not object to this line of questioning.

 

In his closing argument, Bush’s counsel again referred to the “phantom truck that killed the preacher” and stated Swint “testified about a phantom truck six weeks ago.” Defense counsel objected that this was outside the record and had nothing to do with this case, and constituted improper argument. The trial court stated, “I believe that he testified about another case” and instructed Bush’s counsel to “move along.” Bush’s counsel again stated that “the phantom truck came up six weeks ago,” and defense counsel addressed the court. The trial court told defense counsel “he testified about that,” and concluded, “Overruled.” Once the evidence was in the record—without objection or a request that it be stricken or that the jury be instructed to disregard—it was in for all purposes and a proper subject of closing argument. In re Toyota Motor Sales, U.S.A., Inc., 407 S.W.3d 746, 760 (Tex. 2013). Thus, the trial court did not abuse its discretion in allowing Bush’s counsel to raise the “phantom truck issue” in closing argument. See id.; Auld, 34 S.W.3d at 906. We overrule Gaston’s seventh issue.

 

In Gaston’s first issue and Greenwood’s third issue, they attack the legal and factual sufficiency of the evidence to support the jury’s verdict. Specifically, Gaston challenges (1) the jury’s finding that the harm to Bush resulted from gross negligence committed by Gaston and attributable to Greenwood and (2) the jury’s findings that Gaston’s negligence proximately caused the occurrence in question, Bush’s negligence did not proximately cause the occurrence, and Gaston was 100% responsible for the occurrence. Greenwood also challenges the jury’s finding regarding gross negligence and the findings that Greenwood’s negligence proximately caused the occurrence under negligent entrustment, negligent supervision/retention, and negligent training theories. Neither Gaston nor Greenwood challenges the sufficiency of the evidence to support Bush’s actual damages.

 

*9 We note Greenwood also argues “The Separation of Powers Doctrine proscribes an imposition of exemplary damages in the current circumstances.” However, Greenwood fails to support this two-paragraph argument with any citation to the record or to legal authority. Failure to cite applicable authority or provide substantive analysis waives an issue on appeal. Huey v. Huey, 200 S.W.3d 851, 854 (Tex. App.—Dallas 2006, no pet.). Accordingly, we will not further address this argument.

 

When a party attacks the legal sufficiency of an adverse finding on an issue on which the party has the burden of proof, such as whether Bush’s negligence proximately caused the occurrence, the party must demonstrate on appeal that the evidence establishes, as a matter of law, all vital facts in support of the issue. Dow Chem. Co. v. Francis, 46 S.W.3d 237, 241 (Tex. 2001). When a party attacks the legal sufficiency of the evidence on which the party did not have the burden of proof, such as whether Gaston was grossly negligent and his gross negligence was attributable to Greenwood, the party must demonstrate that there is no evidence to support the adverse findings. Croucher v. Croucher, 660 S.W.2d 55, 58 (Tex. 1983); EMC Mortg. Co. v. Jones, 252 S.W.3d 857, 866 (Tex. App.—Dallas 2008, no pet.). In reviewing a no evidence challenge, we consider the evidence “in the light most favorable to the verdict, crediting favorable evidence if reasonable jurors could, and disregarding contrary evidence unless reasonable jurors could not.” City of Keller, 168 S.W.3d at 807; Jones, 252 S.W.3d at 866. We are not permitted to weigh the evidence or make credibility determinations. Jones, 252 S.W.3d at 866. The jury’s finding on an issue may be upheld on circumstantial evidence as long as it may fairly and reasonably be inferred from the facts. Id. If there is more than a scintilla of evidence to support the finding, the no evidence challenge fails. Id.

 

When an appellant challenges the factual sufficiency of the evidence on an issue, we consider all the evidence supporting and contradicting the finding. Fulgham v. Fischer, 349 S.W.3d 153, 157-58 (Tex. App.—Dallas 2011, no pet.) (citing Plas–Tex, Inc. v. U.S. Steel Corp., 772 S.W.2d 442, 445 (Tex. 1989)). We set aside the finding for factual insufficiency only if the finding is so contrary to the evidence as to be clearly wrong and manifestly unjust. Id. (citing Cain v. Bain, 709 S.W.2d 175, 176 (Tex. 1986) (per curiam)). The factfinder is the sole judge of the credibility of the witnesses. Id. As long as the evidence falls “within the zone of reasonable disagreement,” we will not substitute our judgment for that of the fact-finder. Id. (quoting City of Keller, 168 S.W.3d at 822).

 

In reviewing an award for exemplary damages, we conduct a legal sufficiency review under the “clear and convincing” evidence standard. Waldrip, 380 S.W.3d at 137 (citing S.W. Bell Telephone Co. v. Garza, 164 S.W.3d 607, 609 Tex. 2004)). “Clear and convincing’ means the measure or degree of proof that will produce in the mind of the trier of fact a firm belief or conviction as to the truth of the allegations sought to be established.” TEX. CIV. PRAC. & REM. CODE ANN. § 41.001(2); In re J.F.C., 96 S.W.3d 256, 264 (Tex. 2002). Gross negligence consists of both objective and subjective elements. See Lee Lewis Constr., Inc. v. Harrison, 70 S.W.3d 778, 785 (Tex. 2001). Plaintiffs must prove by clear and convincing evidence that 1) when viewed objectively from the defendant’s standpoint at the time of the event, the act or omission involved an extreme degree of risk, considering the probability and magnitude of the potential harm to others and 2) the defendant had actual, subjective awareness of the risk involved, but nevertheless proceeded with conscious indifference to the rights, safety, or welfare of others. See id.; TEX. CIV. PRAC. & REM. CODE ANN. § 41.001(11) (West Supp. 2015); State v. Shumake, 199 S.W.3d 279, 287 (Tex. 2006).

 

*10 Under the objective component, “extreme risk” is not a remote possibility or even a high probability of minor harm, but rather the likelihood of the plaintiff’s serious injury. Mobil Oil Corp. v. Ellender, 968 S.W.2d 917, 921 (Tex. 1998); Harrison, 70 S.W.3d at 785. The subjective prong, in turn, requires that the defendant knew about the risk, but that the defendant’s acts or omissions demonstrated indifference to the consequences of its acts. La.-Pac. Corp. v. Andrade, 19 S.W.3d 245, 246–47 (Tex. 1999); Wal–Mart Stores, Inc. v. Alexander, 868 S.W.2d 322, 326 (Tex. 1993).

 

Both Gaston and Greenwood premise their sufficiency challenges on the exclusion of McCrory’s, Smith’s, and Morgan’s testimony, arguing their testimony constituted “no evidence.” We have already concluded the trial court did not abuse its discretion in admitting the testimony of McCrory, Smith, and Morgan. The record shows Bush testified she was driving “a few” below the speed limit in the right lane when Gaston rear-ended her truck, causing it to flip over and injuring her. Gaston admitted rear-ending Bush. Greenwood stipulated that Greenwood was Gaston’s “statutory employer” and there was “no dispute about the respondeat superior, Greenwood for Gaston.”

 

McCrory testified Gaston violated the transportation code by failing to keep a safe distance from Bush’s vehicle and failing to drive at a speed that would have allowed him to avoid running into Bush’s vehicle. Based on her conversations at the scene with Bush and Gaston, McCrory did not believe Bush was “in any way at fault for causing or contributing to the collision.” We conclude this evidence was legally and factually sufficient to support the jury’s findings that Gaston’s negligence proximately caused the occurrence in question, Bush’s negligence did not proximately cause the occurrence, and Gaston was 100% responsible for the occurrence. Jones, 252 S.W.3d at 866; Fulgham, 349 S.W.3d at 157-58.

 

Regarding the jury’s gross negligence finding, the evidence showed it was raining and there was snow by the side of the road when the accident occurred at approximately 9:30 p.m. in a construction zone where the speed limit was reduced to 55 miles per hour. GPS data Morgan reviewed showed Gaston had exceeded 73 miles per hour sixty-three times previously, and McCrory testified if Gaston had controlled his speed there would not have been an accident. Gaston was not qualified to operate the “doubles” he was driving. Twice before, in 2003 and 2007, Gaston had rear-ended other vehicles. Greenwood was aware of both prior accidents and determined both accidents were “preventable.” Gaston engaged in “pattern logging,” and this should have given Greenwood “notice that there may be a problem with these logs.” Morgan testified it was his opinion that Greenwood improperly entrusted to Gaston the tractor-trailer that hit Bush “due to his history.” We conclude this evidence was legally and factually sufficient to prove by clear and convincing evidence that Gaston was grossly negligent in the operation of his truck and that Greenwood was grossly negligent in entrusting the truck to Gaston, failing to supervise him, retaining him as a driver, and failing to adequately train him. See Harrison, 70 S.W.3d at 785; Jones, 252 S.W.3d at 866; Fulgham, 349 S.W.3d at 157-58. We overrule Gaston’s first issue and Greenwood’s third issue.

 

*11 We affirm the trial court’s judgment.

 

All Citations

Not Reported in S.W.3d, 2016 WL 4385456

 

 

Footnotes

1

The Hon. Michael J. O’Neill, Justice, Assigned

Global Quality Foods, Inc., Plaintiff, v. Van Hoekelen Greenhouses, Inc

United States District Court,

N.D. California,

San Francisco Division.

Global Quality Foods, Inc., Plaintiff,

v.

Van Hoekelen Greenhouses, Inc., Defendant.

Case No. 16-cv-00920-LB

|

Signed 08/12/2016

Attorneys and Law Firms

Melissa Lynn Perry, Ivo Michael Labar, Kerr and Wagstaffe LLP, San Francisco, CA, for Plaintiff.

Kevin Patrick McNamara, Traub Lieberman Straus & Shrewsberry LLP, Los Angeles, CA, for Defendant.

 

 

ORDER DISMISSING THIRD-PARTY COMPLAINT

[ECF No. 26]

LAUREL BEELER, United States Magistrate Judge

 

INTRODUCTION

*1 This is a motion to dismiss for improper venue under Federal Rule 12(b)(3). (ECF No. 26.)1Third-party defendant Total Quality Logistics, Inc. (“TQL”) moves to dismiss the impleader complaint against it under a contractual forum-selection clause. The contract in question is between TQL and third-party plaintiff van Hoekelen Greenhouses, Inc. The contract’s forum-selection clause mandates that “exclusive jurisdiction and venue” for “any lawsuit…arising out of” the TQL–van Hoekelen contract lie in Ohio state court. (ECF No. 26-1 at 7-8.) All the parties to this lawsuit have consented to magistrate jurisdiction. (ECF Nos. 7, 16, 35.) The court held a hearing on this motion on August 11, 2016. The court will treat TQL’s Rule 12(b)(3) motion as being made under the doctrine of forum non conveniens. For the reasons given below, the court grants TQL’s motion, enforces the forum-selection clause, and dismisses the third-party complaint without prejudice.

 

 

STATEMENT

  1. The Principal Complaint and Underlying Dispute

This dispute arises from goods that were allegedly damaged in shipping. According to its complaint, Plaintiff Global Quality Foods hired TQL to ship roughly 25,000 pounds of swordfish from Hayward, California to Boston, Massachusetts.2 Acting as a broker, TQL then contracted with van Hoekelen to ship the goods.3 Van Hoekelen picked up the swordfish from Global Quality and delivered it by truck to Boston; but, according to Global Quality, the cargo was three days late and “severely damaged.”4 More specifically, Global Quality complains that the swordfish was “frozen” and had “brown tails.”5 The original buyer rejected the shipment. Global Quality found a substitute buyer who accepted most of the cargo at a reduced price.6 Global Quality then filed this lawsuit against van Hoekelen for strict liability under the Carmack Amendment to the Interstate Commerce Act (49 U.S.C. § 14706).7

 

 

  1. The Third-Party Complaint and the Brokerage Contract

By a Rule 14 impleader complaint, van Hoekelen claims in turn that TQL should indemnify it for, or at least contribute to paying, whatever of Global Quality’s losses it may be responsible for.8 As third-party plaintiff, van Hoekelen sues TQL for “equitable indemnity and contribution,” “apportionment,” and “a declaration of the rights and duties of TQL and van Hoekelen.”9

 

Global Quality did not name TQL as a defendant.10 TQL is in this case only as third-party defendant to van Hoekelen’s impleader complaint.

 

Several aspects of the TQL–van Hoekelen brokerage contract are relevant to this venue analysis. First, and most significant for present purposes, that contract has the following “Governing Law” term:

*2 Unless expressly preempted or controlled by Federal transportation laws and regulations, this Agreement shall be governed by and construed in accordance with the laws of the state of Ohio. CARRIER [i.e., van Hoekelen] and BROKER [i.e., TQL] further agree that the exclusive jurisdiction and venue for any lawsuit necessary to resolve a dispute arising out of this Agreement shall be in state court in Clermont County, Ohio….11

Second, the contract states that van Hoekelen “is responsible for any damage or loss to the product.”12 Third, the contract has a number of provisions discussing the cargo’s shipping temperature. That contract expressly incorporates a “Load / Rate Confirmation Sheet,” which, among other things, described the temperature at which van Hoekelen would maintain the freight.13 The contract also provides:

Prior to loading, [van Hoekelen] shall confirm that the reefer [refrigeration?] unit is working properly and pre-cool trailer to temperature specified on [TQL’s] rate confirmation sheet….[Van Hoekelen] must strictly adhere to the temperature listed….

….

[Van Hoekelen] shall continuously maintain the temperature noted on [TQL’s] Rate Confirmation while transporting freight….[Van Hoekelen] shall contact [TQL] immediately in the event of any problems including, but not limited to, out-of-temperature condition, equipment malfunction, accident, or delay.14

 

Invoking the contract’s forum-selection clause, TQL now moves to dismiss van Hoekelen’s third-party complaint against it in favor of the contractually agreed-upon Ohio venue.15

 

 

GOVERNING LAW

  1. Forum-Selection Clauses

The party opposing a forum-selection clause has a hard task before it. “Because forum selection clauses are presumptively valid, they should be honored ‘absent some compelling and countervailing reason.’ ” Murphy v. Schneider Nat’l, Inc., 362 F.3d 1133, 1140 (9th Cir. 2004) (quoting M/S Bremen v. Zapata Off-Shore Co., 407 U.S. 1, 12 (1972)). “The Ninth Circuit has identified three ‘compelling’ reasons that would permit a court to disregard a forum selection clause….” Premiere Radio Networks, Inc. v. Hillshire Brands Co., 2013 WL 5944051, *2 (C.D. Cal. Nov. 4, 2013) (citing Murphy, 362 F.3d at 1140). These reasons are:

(1) its incorporation into the contract was the result of fraud, undue influence, or overweening bargaining power; (2) the selected forum is so inconvenient that the complaining party will be practically deprived of its day in court; or (3) enforcement of the clause would contravene a strong public policy of the forum in which the suit is brought.

Bridgemans Svcs. Ltd. v. George Hancock, Inc., 2015 WL 4704567, *2 (W.D. Wash. Aug. 7, 2015) (citing Murphy, 362 at 1140 and Argueta v. Banco Mexicano, S.A., 87 F.3d 320, 325 (9th Cir. 1996)); accord, e.g., Richards v. Lloyd’s of London, 135 F.3d 1289, 1294 (9th Cir. 1998). These departures from presumed validity are “construed narrowly.” Argueta, 87 F.3d at 325. “Public policy,” moreover, “strongly favors the enforcement of forum selection clauses.” Koken v. Stateco Inc., 2006 WL 2918050, *8 (N.D. Cal. Oct. 11, 2006) (citing Argueta, 87 F.3d at 325); accord, e.g., E&J Gallo Winery v. Andina Licores S.A., 440 F. Supp. 2d 1115, 1126 (E.D. Cal. 2006) (“[B]oth Supreme Court and Ninth Circuit cases clearly establish that strong public policy supports the enforcement of forum selection clauses.”) (citing cases). “The party challenging the clause [thus] bears a ‘heavy burden of proof” and must “clearly show that enforcement would be unreasonable and unjust, or that the clause was invalid for such reasons as fraud or over-reaching.” Murphy, 362 F.3d at 1140 (quoting Bremen, 407 U.S. at 15); accord, e.g., Manetti-Farrow, Inc. v. Gucci Am., Inc., 858 F.2d 509, 514 (9th Cir. 1988) (“Forum selection clauses are prima facie valid, and are enforceable absent a strong showing by the party opposing the clause….”).

 

 

  1. Forum Non Conveniens

*3 “[T]he appropriate way to enforce a forum-selection clause pointing to a state or foreign forum is through the doctrine of forum non conveniens. ” Atl. Marine Constr. Co. v. United States Dist. Ct. for the W. Dist. of Tex., 134 S. Ct. 568, 580 (2014).16 When a party moves to enforce such a clause, “a district court should transfer the case unless extraordinary circumstances unrelated to the convenience of the parties clearly disfavor a transfer.” Id. at 575, 581.

 

Normally, forum non conveniens analysis requires the court to evaluate the parties’ “private interests,” along with “public-interest considerations,” and to decide whether, “on balance,” sending the case to a new venue would serve “the convenience of parties and witnesses” and otherwise promote “the interest of justice.” Id. at 579, 581 (citing § 1404(a)). “The calculus changes, however,” when transfer is sought under a “valid forum-selection clause.” Atlantic Marine, 134 S. Ct. at 581. In such a case, the court “should not consider arguments about the parties’ private interests.” Id. at 582. “When parties agree to a forum-selection clause,” the Supreme Court has held,

they waive the right to challenge the preselected forum as inconvenient or less convenient for themselves or their witnesses, or for their pursuit of the litigation. A court accordingly must deem the private-interest factors to weigh entirely in favor of the preselected forum.

Id. “As a consequence, a district court may consider arguments about public-interest factors only.” Id. “The Ninth Circuit provides five public interest guideposts by which to evaluate a forum non conveniens dismissal:

(1) local interest in the lawsuit; (2) the court’s familiarity with the governing law; (3) the burden on local courts and juries; (4) congestion in the court; and (5) the costs of resolving a dispute unrelated to a particular forum.

Bridgemans, 2015 WL 4704567 at *4 (citing Boston Telecomms. Grp. v. Wood, 588 F.3d 1201, 1211 (9th Cir. 2009)).17

 

*4 “The party challenging a valid forum selection clause must show that the public interest factors ‘overwhelmingly disfavor’ enforcement….” Bridgemans, 2015 WL 4704567 at *4 (quoting Atlantic Marine, 134 S. Ct. at 583). “Because [these] factors will rarely defeat a transfer motion, the practical result is that forum-selection clauses should control except in unusual cases.” Atlantic Marine, 134 S. Ct. at 582; see Stewart Organization, 487 U.S. at 30-31 (cases overruling a forum-selection clause “will not be common”). Forum-selection clauses are indeed to be “given controlling weight in all but the most exceptional cases.” Bridgemans, 2015 WL 4704567 at *4 (quoting Atlantic Marine, 134 S. Ct. at 579) (quoting in turn Stewart Organization, 487 U.S. at 33).

 

 

  1. Converting the Rule 12(b)(3) Motion

TQL has not moved under the doctrine of forum non conveniens. It has moved to dismiss this case for “improper venue” under Rule 12(b)(3). This was the proper way to enforce a forum-selection clause in the Ninth Circuit before the Supreme Court’s 2014 decision in Atlantic Marine. See, e.g., Vogt-Nem, Inc. v. M/V Tramper, 263 F. Supp. 2d 1226, 1229-30 (N.D. Cal. 2002). The court will nevertheless address TQL’s motion under the forum non conveniens doctrine.

 

This approach is proper. The object of TQL’s motion is plainly to enforce the parties’ forum-selection clause. By wrongly couching its motion under Rule 12(b)(3), TQL has not importantly misled the analysis. Van Hoekelen briefed the forum non conveniens issue (ECF No. 28 at 13-15), as did TQL in its reply (ECF No. 31 at 7-8). Days before the hearing on TQL’s motion, the court instructed the parties that they should be prepared to discuss the public-interest considerations of the forum non conveniens analysis. (ECF No. 33.) If anyone is disadvantaged by TQL’s couching its motion under Rule 12(b)(3), moreover, it is TQL itself, who lost an opportunity to address forum non conveniens in its initial motion. Yet TQL urges the court to proceed with the forum non conveniens analysis. (See ECF No. 31 at 2 and n. 1.) The parties have given the court enough material to fully conduct that analysis. “Although [TQL] did not explicitly raise forum non conveniens in its motion to dismiss, the doctrine of forum non conveniens lies within the court’s inherent authority.” Bridgemans, 2015 WL 4704567 at *4 (citing Chambers v. NASCO, 501 U.S. 32, 44 (1991)). “The district court may [even] raise forum non conveniens of its own accord.” Bridgemans, 2015 WL 4704567 at *4 (citing cases); see Costlow v. Weeks, 790 F.2d 1486, 1487-88 (9th Cir. 1986) (affirming sua sponte dismissal for improper venue and citing “long-approved practice” of sua sponte transfers under forum non conveniens). The court thus chooses to treat TQL’s motion as one under the doctrine of forum non conveniens. See also LeBlanc v. C.R. England, Inc., 961 F. Supp. 2d 819, 827 (N.D. Tex. 2013) (applying Fifth Circuit law) (“[T]he moving party’s choice of procedural mechanisms — Rule 12(b)(3) or § 1404(a) — does not dictate the court’s choice of analytical tools.”) (citing 5B Wright & Miller, Federal Practice & Procedure § 1352, p. 131 (3d ed. Supp. 2013)).

 

 

ANALYSIS

  1. Forum-Selection Clauses Apply to Rule 14 Third-Party Complaints

Van Hoekelen argues that a third-party complaint “is not subject to venue objections.” (ECF No. 28 at 7-11.) It reasons that Rule 14 “impleader claims do not have to meet federal venue requirements.” (Id. at 7-8) (citing authorities). Van Hoekelen thus specifically concludes that Rule 14 trumps forum-selection clauses. Forum-selection clauses, on this view, cannot be invoked to dismiss or transfer third-party complaints. (Id. at 7-11.) Van Hoekelen correctly writes (id. at 9-10) that this was the conclusion reached in Am. Licorice Co. v. Total Sweeteners, Inc., 2014 WL 892409 (N.D. Cal. Mar. 4, 2014), and urges this court to follow American Licorice.

 

*5 This position has merit. In American Licorice, the court refused to enforce a forum-selection clause, under § 1404, and so declined to transfer a third-party complaint to New York. American Licorice, 2014 WL 892409 at *6-7. The American Licorice court held that, “Rule 14 overrides venue considerations.” Id. at *6. Pointing to Rule 14’s concern for “judicial efficiency,” and invoking precedential support for (what van Hoekelen calls) “ancillary venue,” American Licorice decided that Rule 14 impleader complaints take “priority” over forum-selection clauses. Id. at *6-7. Because this court will ultimately disagree with American Licorice, it is worth quoting that case’s core reasoning at some length:

The parties do not cite, nor could the Court find, legal authority that decides the priority between a forum selection clause and a Rule 14 impleader claim. However, carving out this third[-]party action and transferring it to New York makes little sense. [The third-party plaintiff’s] potential liability will likely depend integrally on the other two actions before this Court. Transfer would be antithetical to the policy of judicial efficiency underlying Rule 14.

This conclusion is consistent with the exemption of third-party actions from the statutory venue provisions (28 U.S.C. § 1391) and the Court’s ancillary jurisdiction over related third-party actions, all of which indicate Rule 14 takes precedence. See United States v. United Pacific Ins. Co., 472 F.2d 792, 794 (9th Cir. 1973) (holding “regardless of the absence of diversity of citizenship or of a federal question in the ancillary suit,” a court has ancillary jurisdiction over “third-party claims…if the claims arise out of the subject matter of the original action and involve the same persons and issues, or if they arose out of the same ‘transaction or occurrence’ ” (citations omitted)); United States v. Acord, 209 F.2d 709, 714 (10th Cir. 1954) (“the reasons which give the court jurisdiction over an ancillary proceeding by virtue of its jurisdiction over the principal action, likewise support the conclusion that venue in the ancillary proceeding may depend or rest upon the venue in the main proceeding”). Thus, even if the forum selection clause required the third-party action to be heard in New York if it had been brought as an independent action, it has little effect on [third-party plaintiff] Total Sweeteners’ Rule 14 claim.

The public interest factors [under § 1404] would outweigh the private interest factors, since maintaining the action here would “prevent the relitigation in other courts of the issues heard and adjudged in the original suit” and “promote the economical and expeditious administration of justice by avoiding a multiplicity of suits through permitting issues and claims arising out of the same operative facts to be embraced in a single action.” [United Pacific], 472 F.2d at 794. Note that, unlike in Atlantic Marine, the private interest factors are not deemed to weigh in favor of the “selected” forum, because this is not a case where “a party bound by a forum selection clause flouts its contractual obligation and files suit in a different forum.” Atlantic Marine, 134 S. Ct. at 582….

Thus, the Court denies [the] request to transfer the third-party action based on the purported forum selection clause.

(Id.)

 

This court must respectfully disagree with the decision in American Licorice. That decision is well reasoned and understandable. But it is one decision. (As American Licorice itself realized. See id. at *6 (noting lack of authority treating question as one of priority between Rule 14 and forum-selection clauses).) Were it the only case applying forum-selection clauses to impleader complaints, this court might follow American Licorice. Other cases, however, including cases in this district, have applied forum-selection clauses to dismiss third-party complaints.18 With respect to American Licorice’s driving concern, “judicial efficiency,” this court agrees with Premiere Radio, supra: “[C]onsiderations of judicial economy alone do not permit this Court to ignore a ‘presumptively valid’ forum selection clause.” Premiere Radio, 2013 WL 5944051 at *3 (citing Murphy, 362 F.3d at 1140). The Ninth Circuit has not made the last point overtly (at least not in a case that this court has seen), but it is implicit in the analyses that the Supreme Court and our governing appeals court have set out in this area. First, “[p]ublic policy strongly favors the enforcement of forum selection clauses.” Koken at 8 (citing Argueta, 87 F.3d at 325); accord, e.g., E&J Gallo, 440 F. Supp. 2d at 1126. That “judicial efficiency” alone cannot defeat a valid forum-selection clause — at least not invariably — is implied in the several public-interest concerns that, when “overwhelming[ ],” can defeat a forum-selection clause under the rules of forum non conveniens. See, e.g., Murphy, 362 F.3d at 1140 (grounds to “disregard” clause); Bridgemans, 2015 WL 4704567 at *4 (public-interest considerations). Viewed in the light of governing precedent, American Licorice implies either that all Rule 14 cases, as such, raise “public policy” concerns so “strong” that the court can always “disregard” a valid forum-selection clause, see Murphy, 362 F.3d at 1140, or that, by threatening the “relitigation” of claims in “multipl[e]” lawsuits, Rule 14 cases always “overwhelmingly disfavor [ ]” enforcing such clauses, see Bridgemans, 2015 WL 4704567 at *4. This per se position seems out of step with existing guidance in this area. Neither the basic enforcement test described in Murphy, nor the public-interest considerations laid out in Atlantic Marine, point to the absolute primacy of concerns that be cabined under “judicial efficiency.” Finally, the American Licorice rule seems at odds with the Supreme Court’s instruction that, “[i]n all but the most unusual cases…, ‘the interest of justice’ is served by holding parties to their bargain.” Atlantic Marine, 134 S. Ct. at 583.

 

*6 If, against all this, Rule 14 indeed sets up a per se defense to forum-selection clauses, then that is something for the Supreme Court or the Ninth Circuit to say. This court’s best judgment is that forum-selection clauses do apply to Rule 14 third-party claims. If such a clause is enforceable, under the governing tests, then a third-party complaint should be dismissed or transferred according to the parties’ agreement.

 

 

  1. The Third-Party Complaint Is Within the Forum-Selection Clause’s Scope

Van Hoekelen argues that its third-party claims fall outside the scope of the forum-selection clause. (ECF No. 28 at 11-12.) Specifically, van Hoekelen writes:

[V]an Hoekelen’s claims against TQL are not contract based. [V]an Hoekelen’s claims are limited to equitable indemnity, contribution, apportionment and declaratory relief from TQL for Plaintiff’s alleged damages within the underlying claim….Nowhere within the Third Party Complaint does van Hoekelen allege that TQL is liable because it failed to fulfill its obligations under the BCA. To the contrary, van Hoekelen[ ]…alleges that TQL is responsible for Plaintiff’s damages because it failed to fulfill its duties to Plaintiff by providing inaccurate information regarding the cargo.

(Id.) (record citations omitted) (emphasis in original).

 

This is unpersuasive. The parties’ forum-selection clause covers “any lawsuit necessary to resolve a dispute arising out of this Agreement.” (ECF No. 26-1 at 7-8 [¶ 15] ) (emphasis added). These are broad terms. “[F]orum selection clauses governing disputes ‘arising out of or relating to’ the contract cover claims that have a significant relationship to the contract or have ‘their origin or genesis’ in the contract.” Cedars-Sinai Med. Ctr. v. Glob. Excel Mgmt., Inc., 2009 WL 7322253, *5 (C.D. Cal. Dec. 30, 2009) (quoting Seagal v. Vorderwuhlbecke, 162 Fed.Appx. 746, 747-48 (9th Cir. 2006) (forum-selection clause) and Simula, Inc., v. Autoliv, Inc., 175 F.3d 716, 721 (9th Cir. 1999) (arbitration clause)) (emphases added).19

 

It is beyond serious dispute that van Hoekelen’s claims — which, at bottom, are all for indemnification (see ECF No. 17 at 3-5) — “have a significant relationship to,” and find their “origin and genesis” in the van Hoekelen–TQL brokerage contract. These parties find themselves in the relationship they do only because of that contract. Van Hoekelen transported goods for Global Quality only through that contract. As TQL writes, and as its evidence confirms: “[TQL’s] relationship with van Hoekelen was governed entirely by [the parties’] contract; without a Broker-Carrier agreement in place [TQL] would not have tendered any freight to van Hoekelen.” (ECF No. 31 at 4); see (Bostwick Decl. – ECF No. 26-1 at 1-2 [¶¶ 2-5, 7].) Furthermore, the “duties” that TQL allegedly breached “by providing inaccurate information regarding the cargo” — these duties undeniably “arose out of” and have a “significant relationship” to the brokerage contract. For instance, in its claim for “equitable indemnity and contribution,” van Hoekelen alleges that it “followed TQL’s directions regarding the delivery of the cargo, including…the cargo delivery deadline and the requisite temperature for the cargo.” (ECF No. 17 at 3 [¶ 11].) This key fact — the shipping temperature — is enmeshed in the brokerage contract. That contract expressly incorporates a “Load / Rate Confirmation Sheet,” which, among other things, described the temperature at which van Hoekelen was to maintain the freight. (ECF No. 26-1 at 5, 9-10 [¶¶ 4, 23].)20

 

*7 Van Hoekelen’s claims do not fall outside the forum-selection clause simply because they sound in equity. That clause embraces “any lawsuit” arising out of the brokerage contract. (ECF No. 26-1 at 7-8) [¶ 15] (emphasis added). The clause does not exempt equitable suits or claims. (Id.) Even if it did, it is not clear that van Hoekelen could elude the clause by casting its indemnification claims in equity. In Premiere Radio, supra, the court considered the scope of a forum-selection clause whose initial language mirrored that of the term involved here (“any legal action…in any way arising out of this Agreement”), but which specifically exempted “claims for equitable relief.” Premiere Radio, 2013 WL 5944051 at *2. The third-party plaintiff argued that its declaratory-relief claim was exempt from the forum-selection clause “because declaratory relief sounds in equity.” Id. The Premiere Radio court disagreed, writing:

[Third-party plaintiff] Hillshire’s claim for declaratory relief seeks “a judicial determination of its rights under the Agreement.” In other words, Hillshire is asking this Court to determine that the Agreement holds [third-party defendant and movant under the forum-selection clause] Images USA responsible for paying [the underlying plaintiff] Premiere. Because Hillshire’s claim for declaratory relief replicates its claims for indemnification and breach of contract, the Court finds that the declaratory relief claim does not fall within the forum selection clause’s exception for equitable relief. If it did, both Images USA or Hillshire could always evade the forum selection clause by styling their contractual claims as claims for declaratory relief.

Id. (emphases added). Similar logic applies here. Indeed, Premiere Radio’s reasoning applies more strongly here, where the forum-selection clause does not exempt equitable claims. Van Hoekelen has given no cogent reason, nor pointed to any authority, that convinces the court that equitable claims somehow fall outside the description, “any lawsuit…to resolve a dispute arising out of” the parties’ contract. (See ECF No. 28 at 11-12.) Though cast in equity, van Hoekelen’s claims seek compensation for acts rooted in the brokerage contract. Whatever their technical garb, those claims “arise out of” that contract.

 

 

  1. Enforcing the Clause Is Not “Unreasonable or Unjust”

Invoking the basic enforceability test described in Bridgemans, supra, van Hoekelen argues that enforcing the forum-selection clause would be “unreasonable or unjust.” (ECF No. 28 at 12-13.) Again, a court may “disregard” a forum-selection clause on this basis only where one of the following three things is true: The clause was “the result of fraud, undue influence, or overweening bargaining power”; “the selected forum is so inconvenient that the complaining party will be practically deprived of its day in court”; or enforcing the clause “would contravene a strong public policy” of the current forum. Bridgemans, 2015 WL 4704567 at *2 (citing Murphy, 362 F.3d at 1140 and Argueta, 87 F.3d at 325). The party opposing a forum-selection clause as “unreasonable or unjust” has a “heavy burden” and must “clearly show” that one of these “narrow[ ]” exceptions applies. E.g., Murphy, 362 F.3d at 1140 (quoting Bremen, 407 U.S. at 15). Van Hoekelen has not made this showing.

 

Van Hoekelen does not make an argument under the first or third items above. It does not argue that the clause is the product of fraud, undue influence, or overweening bargaining power21; nor does it contend that enforcing the clause would violate a strong public policy of this forum.

 

*8 Van Hoekelen’s argument in this area is couched under the second head — though some of its arguments do not fit neatly there. After listing several problems that it sees in enforcing the forum-selection clause — and mostly using conclusory statements — van Hoekelen insists that applying the forum-selection clause to dismiss its third-party complaint would “effectively” deprive it of its day in court. (ECF No. 28 at 12.)

 

The court is not convinced. For example, that van Hoekelen “did not initiate or choose the forum for” this lawsuit does not obviously affect the question whether one aspect of this suit, its third-party complaint, should be sent to the forum that TQL and van Hoekelen contractually agreed to.22 Nor does the court agree that “without TQL in this litigation, the claims cannot be fully litigated.” (See ECF No. 28 at 12.) The claims between Global Quality and van Hoekelen do not require TQL to be in this lawsuit as a third-party defendant. And the question before the court now is exactly whether van Hoekelen’s impleader claims against TQL should remain in this case. If they are sent to Ohio, they can be “fully litigated” there. Furthermore, if this case concludes that van Hoekelen is not liable to Global Quality, then the pendent dispute between van Hoekelen and TQL will, in a sense, have been “fully litigated” — in van Hoekelen’s favor. Sending the third-party claims to Ohio does not threaten van Hoekelen with “conflicting judgments.” At least not necessarily, and not in a way that cannot be solved by applying the rules of issue preclusion or, short of that, through the intelligent use of stipulations and other procedural devices. Van Hoekelen declares that “fairness and judicial efficiency and economy will not be served by litigating this case in two different jurisdictions.” (Id.) But these statements are wholly conclusory. At any rate, they do not identify problems so onerous that they make enforcing the forum-selection clause “clearly…unreasonable.”

 

The court does not agree that holding van Hoekelen to its contractually agreed choice of forum, thus directing the third-party claims to the state courts of Ohio, would in any measure “deprive[ ] [van Hoekelen] of its day in court.” Van Hoekelen has not “clearly show[n]” that enforcing the forum-selection clause would be “unreasonable” or “unjust.” See Murphy, 362 F.3d at 1140 (quoting Bremen, 407 U.S. at 15).

 

 

  1. Forum Non Conveniens

*9 This brings us to the forum non conveniens analysis itself. This inquiry weighs the public-interest factors that the Supreme Court and the Ninth Circuit have identified. See, e.g., Bridgemans, 2015 WL 4704567 at *4; Atlantic Marine, 134 S. Ct. at 581-84. To block a forum non conveniens dismissal, van Hoekelen must show that these factors “overwhelmingly disfavor” enforcing the forum-selection clause. Bridgemans, 2015 WL 4704567 at *4 (quoting Atlantic Marine, 134 S. Ct. at 583). Public interests will “rarely defeat” a motion to enforce a forum-selection clause, however, so that the latter must be “given controlling weight in all but the most exceptional cases.” Bridgemans, 2015 WL 4704567 at *4 (“rarely defeat”); Atlantic Marine, 134 S. Ct. at 579, 583 (“exceptional”); Stewart Organization, 487 U.S. at 33 (same).

 

 

4.1 Local Interest in the Lawsuit

This factor ultimately weighs in favor of enforcing the forum-selection clause. Van Hoekelen argues that a “substantial part of the alleged events” in this case occurred in California. (ECF No. 28 at 13.) That may be so, at least with respect to the underlying, principal dispute. What is precisely in question, however, is not the underlying complaint, but the indemnification dispute between van Hoekelen and TQL. According to the latter parties’ agreement, that dispute is to be tried in Ohio courts under Ohio law. (ECF No. 26-1 at 7.) Van Hoekelen alleges that TQL is incorporated and has its principal place of business is in Ohio. (ECF No. 17 at 3 [¶¶ 8-9].) TQL does appear to have a physical address in Ohio. (See ECF No. 26-1 at 4.) Ohio has an interest in “protecting the bargained-for rights and expectations of its residents,” see Bridgemans, 2015 WL 4724567 at *5, and thus in seeing this forum-selection clause enforced, rather than being ignored and nullified without good reason. Whatever California’s interest in the underlying suit, and whatever more attenuated interest it has in the pendent contribution dispute, this court thinks that interest is outweighed by Ohio’s interest in seeing the parties’ valid forum-selection clause enforced.

 

 

4.2 Familiarity With the Governing Law

This factor too weighs in favor of enforcing the forum-selection clause. That clause places the dispute between van Hoekelen and TQL under Ohio law. (ECF No. 26-1 at 7.) “This court is certainly capable of applying [Ohio] law, but it has no particular ‘familiarity’ therewith.” See Bridgemans, 2015 WL 4724567 at *5. The state courts of Ohio are surely better versed in their own law.

 

 

4.3 Burden on Courts and Juries; Court Congestion

The parties have not given the court any information concerning the relative congestion of this court and the “state court in Clermont County, Ohio,” which is the venue that the forum-selection clause designates. (See ECF No. 26-1 at 7-8.) Insofar as this factor weighs the costs to the respective judiciaries, then, the court deems this factor neutral. It tilts this analysis in no particular direction. To the extent that the “burden on courts and juries” factor intersects with the earlier concern about “local interest in the lawsuit,” then the court again thinks that Ohio’s interest outweighs this forum’s, so that Ohio would be willing to shoulder the burden of ensuring that contracts made by its residents, invoking its laws, are honored.

 

 

4.4 Costs of a Dispute Unrelated to the Forum

The court thinks that this factor is neutral. It is true that California has some relation to the ancillary indemnification dispute between van Hoekelen and TQL. See Bridgemans, 2015 WL 4724567 at *5 (quoting Boston Telecommunications, 588 F.3d at 1212) (“We need not hold…that California is the principal locus of the case or that California has more of an interest than any other jurisdiction in order to conclude that California has a meaningful interest in this litigation…. [W]e ask only if there is an identifiable local interest in the controversy.”) (quotations omitted). But, once again, Ohio shares an interest in, a relationship to, the indemnification dispute that is our immediate concern.

 

 

*10 * * *

Ultimately, these public-interest factors do not “overwhelmingly disfavor” enforcing the forum-selection clause. See Atlantic Marine, 134 S. Ct. at 583. This is not a “rare[ ]” and “most exceptional” case in which the court should ignore such a clause. See id. at 579, 582.

 

 

*

CONCLUSION

The court sees no “compelling” reason not to enforce the parties’ forum-selection clause. Nor does it find this a “most exceptional case” in which public-interest considerations “overwhelmingly disfavor” enforcing that clause. The court grants TQL’s motion and, under the doctrine of forum non conveniens, dismisses van Hoekelen’s third-party complaint without prejudice.

 

This disposes of ECF No. 26.

 

IT IS SO ORDERED.

 

All Citations

Slip Copy, 2016 WL 4259126

 

 

Footnotes

1

Record citations refer to material in the Electronic Case File (“ECF”); pinpoint citations are to the ECF-generated page numbers at the top of documents.

2

ECF No. 1 at 2-3 (¶ 6).

3

See ECF No. 17 at 3 (¶ 9); ECF No. 26-1 at 1-2 (¶¶ 2-7) (declaration), 4-11 (brokerage contract).

4

ECF No. 1 at 3 (¶¶ 11, 13).

5

Id. at 3 (¶ 14).

6

Id. at 3 (¶¶ 12, 15).

7

ECF No. 1 at 4 (¶¶ 20-22).

8

ECF No. 17.

9

Id. at 3-5.

10

See ECF No. 1.

11

ECF No. 26-1 at 7-8.

12

Id. at 9 (¶ 22.4).

13

Id. at 5, 9-10 (¶¶ 4, 23).

14

Id. at 9-10 (¶ 23).

15

ECF No. 26.

16

When a forum-selection clause points to another federal court, the device for enforcing that clause is 28 U.S.C. § 1404(a). Atlantic Marine, 134 S. Ct. at 579. “Section 1404(a) is merely a codification of the doctrine of forum non conveniens for the subset of cases in which the transferee forum is within the federal court system….” Id. at 580. The analyses under § 1404(a) and forum non conveniens are substantively identical. See id. (“Section 1404(a) ‘did not change “the relevant factors” which federal courts used to consider under the doctrine of forum non conveniens….’ ”) (quoting Stewart Org., Inc. v. Ricoh Corp., 487 U.S. 22, 37 (1988) (in dissent)). Consequently, “courts should evaluate a forum-selection clause pointing to a nonfederal forum [under the forum non conveniens doctrine] in the same way that they evaluate a forum-selection clause pointing to a federal forum [under § 1404(a)].” Atlantic Marine, 134 S. Ct. at 580. This forum non conveniens discussion thus draws upon § 1404(a) precedent, especially Atlantic Marine, without further distinguishing between the two embodiments of this venue doctrine.

17

The Supreme Court has identified essentially the same set of public interests. See Atlantic Marine, 134 S. Ct. at 581 n.6 (“Public-interest factors may include the administrative difficulties flowing from court congestion; the local interest in having localized controversies decided at home; [and] the interest in having the trial of a diversity case in a forum that is at home with the law.”) (quotation omitted).

18

See Bridgemans, 2015 WL 4724567 at *4-*6 (analyzing under Atlantic Marine) (enforcing forum-selection clause to dismiss third-party complaint); Premiere Radio; 2013 WL 5944051 at *2-*4 (same) (rejecting, inter alia, argument that dismissing third-party complaint would “multiply litigation”); Hile v. Buth-Na-Bodhaige, Inc., 2007 WL 4410774, *1-*3 (N.D. Cal. 2007) (enforcing forum-selection clause to dismiss third-party complaint); Koken, 2006 WL 2918050 at *5-*9 (same); Am. Home Ass. Co. v. TGL Container Lines, Ltd., 347 F. Supp. 2d 749, 755-60, 764 (N.D. Cal. 2004) (same) (Rule 14 complaint between shipper and broker concerning damaged goods); Vogt-Nem, 263 F. Supp. 2d at 1230-34 (same) (impleader claim involving shipper, broker, damaged goods). Following van Hoekelen’s proposed distinction, which it pressed at the hearing, the court reviewed the point closely, but does not think that this forum-selection analysis is changed, or interestingly affected, by the fact that some of these cases lie in admiralty.

19

“[B]ecause enforcement of a forum clause necessarily entails interpretation of the clause before it can be enforced,…federal law applies to interpretation of forum selection clauses.” Hile, 2007 WL 4410774 at *1 (quoting Bremen, 407 U.S. at 15).

20

The brokerage contract has several express indemnity terms but all contemplate van Hoekelen, the carrier, indemnifying TQL, the broker. This includes the most relevant indemnification clause, which covers “delay” in shipping or “damage to property.” ( [ECF No. 26-1 at 7 (¶ 10).] )

21

At the hearing, van Hoekelen for the first time called the brokerage agreement an adhesion contract. But van Hoekelen has not elaborated an argument along these lines, and has submitted no evidence upon which the court could ground the needed analysis.

22

That van Hoekelen did not choose this forum does mean that it cannot be accused of “flouting” its contractual commitment to an Ohio venue. That a plaintiff had “flouted” its contractual forum choice by filing elsewhere loomed large in Atlantic Marine. See Atlantic Marine, 134 S. Ct. at 581-83. Which may be what van Hoekelen has in mind. But this has no effect on the current analysis. Atlantic Marine involved a direct complaint between a first-level plaintiff and defendant; it did not involve a third-party complaint. More important to the present point, Atlantic Marine discussed the effect of a plaintiff’s disregarding its chosen forum on aspects of the forum non conveniens analysis — not on the prior question of whether a forum-selection clause was enforceable in the first place. See id. Van Hoekelen is here conflating two different inquiries. That it “did not choose” to file outside Ohio plays no obvious role in the initial enforceability analysis under Murphy, Bremen, and their ilk.

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