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Volume 20 Cases (2017)

CHERI STOKER APPELLANT v. THOMAS RANDAL FOWLER, INC., AND PROTECTIVE INSURANCE COMPANY/BALDWIN AND LYONS, INC.

Court of Appeals of Arkansas.

CHERI STOKER APPELLANT

v.

THOMAS RANDAL FOWLER, INC., AND PROTECTIVE INSURANCE COMPANY/BALDWIN AND LYONS, INC. APPELLEES

No. CV-17-225

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OPINION DELIVERED: NOVEMBER 8, 2017

APPEAL FROM THE ARKANSAS WORKERS’ COMPENSATION COMMISSION [NO. G409736]

AFFIRMED

Attorneys and Law Firms

Moore, Giles & Matteson, L.L.P., by: Greg Giles, for appellant.

Jason M. Ryburn, for appellees.

Opinion

ROBERT J. GLADWIN, Judge

 

*1 The Arkansas Workers’ Compensation Commission (Commission) denied appellant Cheri Stoker’s claim for additional medical testing and treatment, finding that they were not reasonably necessary for the compensable medical injuries Stoker sustained on December 5, 2014. In making its decision, the Commission relied on Dr. Steven Cathey’s report of the independent medical examination (IME) he performed. Stoker contends on appeal that the IME should not have been admitted into evidence and that the Commission erred by relying on it. We affirm.

 

 

  1. Facts

Stoker worked as a driver and trainer for appellee Thomas Randal Fowler, Inc., a trucking company in Texarkana, Arkansas, when she sustained compensable injuries to her neck, back, and right knee on December 5, 2014. Her injuries were the result of her truck being hit from behind after she had unbuckled her seat belt in preparation for delivering a package. Stoker was treated over the course of a year, received an IME, and was seen by Dr. Pierce Nunley after the Commission granted her change-of-physician request. When Dr. Nunley recommended additional testing and treatment on December 17, 2015, appellee controverted Stoker’s claim.

 

At the June 2, 2016 hearing before the administrative law judge (ALJ), Stoker’s counsel objected to the admission of the IME report prepared by Dr. Cathey. Counsel argued that Stoker had not been informed that Dr. Cathey was to perform an IME and that Stoker went to the appointment under the assumption that she would be medically treated. Counsel argued that Dr. Cathey’s report should be excluded because Stoker did not give proper or informed consent. Counsel further argued that Stoker was not provided through discovery the introductory letter mentioned in Dr. Cathey’s report. At the close of the hearing, the ALJ posed more questions concerning the IME, including whether appellee’s counsel had seen the introductory letter mentioned in Dr. Cathey’s report. Counsel stated that he had tried to obtain the letter but that his “adjusters had changed up,” and he had never received it. Stoker’s counsel also stated that had he been given notice, he would have objected to his client’s seeing Dr. Cathey. The ALJ took under advisement the issue of the report’s admissibility. The ALJ also noted for the record that Respondent’s exhibit 2 was a surveillance video of Stoker that he would view following the hearing.1

 

Stoker testified about the circumstances of the automobile accident that resulted in her compensable injuries on December 5, 2014. She said that she had not been having any neck problems before the accident; but since the accident, she could not turn her head “right all the way to turn to look back” when driving. She also said that she gets “really bad headaches” three to four times a week and that she had to “sleep kind of cock-eyed” at night. She said that since the wreck, she had muscle spasms down her arms and legs, in the front of her legs, and in her back and neck. She complained that she did not “have a grip” in her left hand.

 

*2 Stoker said that after she went to the emergency room following the wreck, she was sent to a company doctor for follow-up care—HealthCare Express (HCE). She was prescribed medication and given some restrictions for work, but no light-duty work was available. She said that HCE prescribed physical therapy along with medication, and an MRI was ordered, after which HCE “wanted [her] to see a neurosurgeon.” She said, however, that she was sent to an orthopedist, Dr. Dwayne Daniels.

 

Stoker said that Dr. Daniels ordered a nerve-conduction study and that he also talked about “some injections.” She testified that Dr. Daniels’s progress note was incorrect in stating that she had previously had an MRI of her neck and back, and she stated that the MRI was done only on her neck. She stated that Dr. Daniels recommended that she see a neurosurgeon for her neck and that he had recommended many times that she receive epidural steroid injections. She said that she had never received any injections in her neck and claimed that as she received therapy and used the TENS unit, her symptoms where somewhat relieved but were not totally resolved. In spite of the therapy and the TENS unit, she said that she still had continuing headaches, pain, and spasms and was unable to use her left arm and hand. She explained that when she tried to use her left arm or hand, she dropped anything over ten pounds and her hand shook and spasmed.

 

Stoker testified that after the functional capacity evaluation (FCE), she followed up with Dr. Daniels, and he “thought [she] still needed to see a neurosurgeon and to continue with additional therapy.” She said that there was an appointment scheduled with Dr. Cathey, and she believed that she would receive from him the epidural steroid injections that Dr. Daniels had suggested. She received a letter from Dr. Cathey “on Friday to be there on Monday morning at 8:00.” Along with the letter was a form for her to fill out that asked for her height, weight, address, and the like. When she arrived at Dr. Cathey’s office, she was not told she was there for any reason other than for medical treatment. She said that Dr. Cathey examined her for eight to ten minutes, that his hand “was shaking just as bad as mine was,” and that he touched her left hand and put his hand on the back of her neck for a second. She said that he then showed her the MRI of her neck and talked about it. He told her that he was not recommending any treatment. She said that she had understood that the FCE gave her a ten-pound weight limit and no lifting above her head—sedentary restrictions. She testified that when she was discharged by Dr. Cathey, she was given no restrictions or limitations and was told that she could return to full-duty work. She said that she did not agree with that. She also said that she signed papers on her way out of Dr. Cathey’s office, but she did not read them first. She said that she had not been aware at that time that Dr. Cathey had performed an IME.

 

She said that she understood she was to return to Dr. Daniels after seeing Dr. Cathey. While she was driving to Dr. Daniels’s office, his nurse called and canceled her appointment. She said that even though her physical therapy had not been completed, Dr. Daniels had placed her at maximum medical improvement (MMI). She said that she continued to receive physical therapy after Dr. Cathey’s appointment and that she completed that therapy. However, she claimed that when she tried to go back to work, she failed the company physical.

 

*3 Stoker said that after she learned that Dr. Daniels had placed her at MMI, she obtained a change of physician and saw Dr. Nunley one time. She said that he examined her and that she was there about forty-five minutes. She said that he performed tests and took measurements. She stated that he recommended a selective nerve-root injection at C6-7 for palliative and diagnostic value. He also wanted an MRI of her lumbar spine, more physical therapy, and a trial of cervical and lumbar traction. She had not received any of the recommended treatment and has been seen only in the emergency room for medical care since seeing Dr. Nunley.

 

On cross-examination, Stoker said that when the December 5, 2014 accident occurred, she had an open workers’-compensation claim pending on her left knee, and that claim was settled in September 2015. She said that she has full use of both knees. She also said that she has a third-party lawsuit against the man who was driving the vehicle that hit her truck but denied that her third-party claim would benefit if she did “not get better.” She said that she wanted to get better and get back to work. She admitted that Dr. Nunley had been mistaken in his report that she had a hip injury and that she had not had any CTs or EMGs.

 

In an opinion filed July 19, 2016, the ALJ held that Dr. Cathey’s IME report was admissible. The ALJ relied on Bryant v. Staffmark, Inc., 76 Ark. App. 64, 61 S.W.3d 856 (2001), which held that the Commission is given a great deal of latitude in evidentiary matters and is not bound by technical or formal rules of procedure. The ALJ reasoned that both HCE and Dr. Daniels had requested that Stoker be evaluated by a neurosurgeon and that Dr. Cathey is a neurosurgeon. The ALJ found no evidence, authority, or rationale as to why Dr. Cathey’s letter discussing his evaluation and conclusions should not be admissible. The ALJ then found Dr. Cathey’s opinion that Stoker had reached MMI and was no longer in need of additional medical treatment to be credible. The ALJ accorded more weight to Dr. Cathey’s opinion than to Dr. Nunley’s opinion because Dr. Cathey’s opinion was consistent with Dr. Daniels’s opinion that Stoker had reached MMI. The ALJ also relied on the surveillance video of Stoker returning from grocery shopping on January 20, 2016, and carrying four sacks of groceries in her left hand, which was inconsistent with her testimony that she had lost the grip in her left hand. On January 27, 2017, the Commission affirmed and adopted the decision of the ALJ, and this appeal timely followed.

 

 

  1. Standard of Review

Under Arkansas law, the Commission is permitted to adopt the ALJ’s opinion. SSI, Inc. v. Cates, 2009 Ark. App. 763, 350 S.W.3d 421. In so doing, the Commission makes the ALJ’s findings and conclusions the findings and conclusions of the Commission. Id. Therefore, for purposes of our review, we consider both the ALJ’s opinion and the Commission’s majority opinion. Id.

When reviewing a decision of the Commission, we view the evidence and all reasonable inferences deducible therefrom in the light most favorable to the findings of the Commission and affirm that decision if it is supported by substantial evidence. Parker v. Atl. Research Corp., 87 Ark. App. 145, 151, 189 S.W.3d 449, 452 (2004). Substantial evidence is that relevant evidence that a reasonable mind might accept as adequate to support a conclusion. Id., 189 S.W.3d at 453. The issue is not whether this court might have reached a different result from the Commission; the Commission’s decision should not be reversed unless fair-minded persons could not have reached the same conclusions if presented with the same facts. Id., 189 S.W.3d at 453. When a claim is denied because a claimant failed to show entitlement to compensation by a preponderance of the evidence, the substantial-evidence standard of review requires that we affirm if a substantial basis for the denial of relief is displayed by the Commission’s opinion. Id., 189 S.W.3d at 453.

*4 The Commission determines credibility, weighs the evidence, and resolves conflicts in medical testimony and evidence. Godwin v. Garland Cty. Landfill, 2016 Ark. App. 498, at 4, 504 S.W.3d 660, 662. The Commission is not required to believe the testimony of any witness but may accept and translate into findings of fact only those portions of the testimony it deems worthy of belief. Sandeford v. United Parcel Serv., Inc., 2014 Ark. App. 228, at 2. It is not the role of the appellate court to weigh the evidence and judge the credibility of the witnesses. Id.

Johnson v. PAM Transport, Inc., 2017 Ark. App. 514, at 5–6, ___ S.W.3d ___, ___.

 

 

III. Evidentiary Ruling

Stoker’s first argument is related to the Commission’s evidentiary ruling, which we consider under the following standards:

The Workers’ Compensation Commission has broad discretion with reference to admission of evidence, and its decision will not be reversed absent a showing of abuse of discretion. Brown v. Alabama Elec. Co., 60 Ark. App. 138, 959 S.W.2d 753 (1998). The Commission is given a great deal of latitude in evidentiary matters; specifically, Arkansas Code Annotated section 11-9-705(a) (Repl. 1997) states that the Commission “shall not be bound by technical or statutory rules of evidence or by technical or formal rules of procedure.” Additionally, the Commission is directed to “conduct the hearing in a manner as will best ascertain the rights of the parties.” Ark. Code Ann. § 11-9-705(a); Clark v. Peabody Testing Service, 265 Ark. 489, 579 S.W.2d 360 (1979).

….

 

In our view, it is clear that the Commission should be more liberal with the admission of evidence, rather than more stringent.

Coleman v. Pro Transp., Inc., 97 Ark. App. 338, 344–45, 249 S.W.3d 149, 154 (2007) (citing Bryant, 76 Ark. App. at 69, 61 S.W.3d at 859); see also Clement v. Johnson’s Warehouse Showroom, Inc., 2012 Ark. App. 17, 388 S.W.3d 469.

 

Stoker contends that the IME should not have been admitted into evidence and that the Commission erred in relying on the IME in denying her claim. She claims that the key issue is whether it is proper for the insurance company to schedule an IME but not tell the claimant or the claimant’s lawyer that it is an IME and not an appointment for follow-up treatment as recommended by the then existing treating physician.

 

Stoker cites the statutory provision stating that an injured employee may be required to submit to a physical examination and treatment by another qualified doctor, designated or approved by the Commission. Ark. Code Ann. § 11-9-511(a) (Repl. 2012). She also points to Commission Rule 099.30, which defines an IME as an examination and evaluation conducted by a practitioner different from the practitioner providing care. See Ark. Admin. Code 099-00.1–099.30(I)(H)(1)-(3) (WL current through Sept. 2017). The Rule further provides what should be included in an IME and how it should be billed. Id. Stoker argues, therefore, that an IME is not designed to treat but to generate proof to support either the claimant or the respondent. Stoker also references standards published by the American Medical Association for an IME and argues that Dr. Cathey did not comply with those standards.

 

Stoker relies on her own testimony regarding her belief that she was going to see Dr. Cathey for epidural steroid injections, the description she gave of the examination performed by Dr. Cathey, and the explanation she gave about the cancelation of her last appointment with Dr. Daniels. She sets forth the ALJ’s questions to her counsel regarding whether he would have agreed to allow Stoker to see Dr. Cathey had she been given notice of the IME. She contends,

*5 In other words, but for the ‘trickery’ of the insurance company it is likely Dr. Cathey would have never had the opportunity to declare Ms. Stoker at MMI based, essentially, on exactly the same medical information that Dr. Daniels had available when he referred her for injections—injections she never received.

 

Stoker complains that the letter from the adjuster arranging the appointment with Dr. Cathey is absent from the record and has never been disclosed to her. She argues that the ALJ should have applied a negative inference to appellee’s failure to produce the introductory letter sent to Dr. Cathey and should have refused to allow his report to be admitted as evidence unless the letter was submitted.

 

Appellee contends that the admission of Dr. Cathey’s report was proper and within the Commission’s authority as a finder of fact. We agree. It was not an abuse of discretion to admit the report, and Stoker offers no authority or convincing argument to the contrary. Because the Commission is not bound by technical or statutory rules of evidence or by technical or formal rules of procedure, the Commission is empowered to allow whatever evidence it sees fit into the record. Ark. Code Ann. § 11-9-705(a)(1). Stoker’s conclusion—had she known that Dr. Cathey was going to perform an IME, she would have refused to participate—is not a basis upon which this court can reverse the Commission. Appellee points out that the Commission could have given Dr. Cathey’s report little or no weight had it seen fit. The Commission examined the available medical evidence and testimony and found Dr. Cathey’s report to be convincing because it more closely resembled the reports by Dr. Daniels. Accordingly, we affirm the decision to admit the IME.

 

 

  1. Additional Medical Treatment

Stoker argues that with the addition of Dr. Cathey’s report, the ALJ had four differing medical opinions. She argues that Dr. Daniels thought Stoker needed further treatment until Dr. Cathey became involved. Dr. Nunley suggested injections, further diagnostic testing, physical therapy, and cervical and lumbar traction. The company doctor who gave Stoker a physical to determine her fitness for work did not pass her. Therefore, the only doctor who gave up on further treatment was Dr. Cathey, described by Stoker as a “hired gun.”

 

Stoker argues that the Commission should be concerned about regulation of the IME process in Arkansas. She argues that there is too much reliance on an IME and that “Respondents across the state have their ‘favorite’ physicians, as do Claimants, of course.” She contends that the Commission should have used her case to establish a precedent that no claimant can be referred for an IME unless (1) the claimant is told that the examination will be an IME and the purpose of an IME is explained to the claimant, and (2) the claimant is given a reasonable time to object to the physician chosen by the respondent. She urges this court to adopt these guidelines.

 

She argues that the Commission arbitrarily disregarded the medical evidence of her failing the medical exam for returning to work and Dr. Nunley’s detailed findings and report. Further, she claims that Dr. Cathey’s opinion should be ruled to be inadmissible and that, at the very least, it should be given the least weight of all the opinions. She relies on Commissioner Hood’s dissent, wherein he opined that Dr. Cathey’s opinion should be given little weight because it was designed to save the employer money and Dr. Nunley had given Stoker a more thorough examination.

 

*6 We hold that the Commission did not arbitrarily disregard evidence. The ALJ’s opinion stated,

In the present case, I find credible the opinion of Dr. Cathey indicating that by July 27, 2015, Ms. Stoker had reached maximum medical improvement and did not need any additional medical treatment including but not limited to physical therapy and injections. I accord more weight to Dr. Cathey’s opinion on these matters than the weight I accord Dr. Nunley’s opinion regarding the need for additional testing and treatment. I conclude that Dr. Cathey’s opinion is consistent with Dr. Daniels’ opinion shortly thereafter that Ms. Stoker had reached maximum medical improvement.

In reaching this conclusion, I am also relying significantly on surveillance video of Ms. Stoker returning from grocery shopping on the evening of January 20, 2016. Although Ms. Stoker testified at the hearing that she has lost the grip of her left hand, this examiner counted four sacks of groceries that Ms. Stoker picked up out of the trunk one at a time with her right hand. She immediately transferred each of the four sacks into her left hand, so that when she walked from the car to the door at 5:03 p.m., she carried four bags of groceries in her left hand and only one bag of groceries in her right hand. I did not find this activity consistent with her hearing testimony that she has lost the grip in her left hand.

 

Dr. Nunley’s opinion was not disregarded, it was just not given as much weight as Dr. Cathey’s opinion. The Commission has the duty to resolve conflicting medical evidence, including medical testimony. Johnson, supra. Further, the Commission’s reliance on the video surveillance of Stoker carrying grocery sacks in her left hand shows that the choice of Dr. Cathey’s opinion over that of Dr. Nunley was also based on the record as a whole and on a determination of Stoker’s credibility.

 

Having determined that the Commission committed no error in admitting Dr. Cathey’s IME report, the report, coupled with the Commission’s determination on Stoker’s credibility, constitutes substantial evidence to support the Commission’s decision to deny additional medical treatment and testing.

 

Affirmed.

 

ABRAMSON and WHITEAKER, JJ., agree.

 

All Citations

Not Reported in S.W.3d, 2017 Ark. App. 594, 2017 WL 5163425

 

 

Footnotes

1

Stoker failed to include a copy of the surveillance video in the addendum, in violation of Ark. Sup. Ct. R. 4-2(a)(8)(A)(i) (2016). Because the DVD is not essential to Stoker’s argument regarding admission of the IME, we do not require rebriefing.

TYESHINA SYKES, an individual, and JLS, by and through her guardian ad litem TYESHINA SYKES, an individual, Plaintiffs, v. DONALD JAMES SHEA, an individual; KUNKEL TRUCK LINES, INC., a South Dakota Corporation; and DOES 1-30

United States District Court,

E.D. California.

TYESHINA SYKES, an individual, and JLS, by and through her guardian ad litem TYESHINA SYKES, an individual, Plaintiffs,

v.

DONALD JAMES SHEA, an individual; KUNKEL TRUCK LINES, INC., a South Dakota Corporation; and DOES 1-30; Defendants.

DONALD JAMES SHEA, an individual and KUNKEL TRUCK LINES, INC., a South Dakota Corporation, Counter-Claimants,

v.

TYESHINA SYKES, an individual, and Does 1-10, Counter-Defendants.

CIV. NO. 2:16-02851 WBS GGH

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10/31/2017

 

 

MEMORANDUM AND ORDER RE: DEFENDANTS’ MOTION TO AMEND, MOTION TO BIFURCATE, AND MOTION FOR SUMMARY JUDGMENT

*1 Tyeshina Sykes (“Sykes”) initiated this action on behalf of herself and J.S., a minor, against defendants Donald James Shea (“Shea”) and Kunkel Trucking, Inc. (“Kunkel”) alleging negligence based personal injury claims related to a motor vehicle collision involving a truck driven by Shea and owned by Kunkel. Before the court are: (1) defendants’ Motion to Amend Answer (Docket No. 20)1 ; (2) defendants’ partial Motion for Summary Judgment (Docket No. 22); and (3) defendants’ Motion to Bifurcate (Docket No. 21).

 

 

  1. Background

On May 11, 2015, Sykes was driving a Toyota Avalon on Highway 5 when her vehicle hit a pothole, causing her lights to go out and engine to stop running. (Decl. of Lauren Horwitz in Supp. of Pls.’ Opp’n to Defs.’ Partial Mot. for Summ. J. (“Horwitz Decl.”) ¶ 2 (Docket No. 28-1).) Sykes’ sister and child, J.S., were in the car at the time. (Id.) Sykes parked her vehicle on the side of the road and exited the vehicle. (Id.) Sykes’ vehicle was then struck by a truck operated by Shea. (Id.) The complaint alleges that plaintiffs sustained personal injuries after defendants’ vehicle struck Sykes’ parked vehicle. (Compl. ¶ 20 (Docket No. 1-1).)

 

At the time of the incident, Sykes owned the Toyota Avalon she was driving. (Decl. of J. Stephanie Krmpotic in Supp. of Defs.’ Mot. for Partial Summ. J. (“Krmpotic Decl.”), Ex. A, Sykes’ Interrog. Resp. No 13 (Docket No. 22-2).) During Sykes’ deposition, although Sykes claimed she had insurance for the car at the time of the accident, she conceded that she did not know the time period covered through her supposed policy. (Krmpotic Decl., Ex. B, Sykes’ Dep. 87.) Additionally, she could not remember when she last paid any premiums for her insurance, and she was uncertain whether she kept a certificate of insurance in her car. (Id.) She also could not remember her insurance limits, how much she paid for the insurance policy, or whether she had any documents indicating that she had insurance. (Id.) Sykes later admitted that she did not have an insurance policy in effect at the time of the collision. (Pls.’ Opp’n to Defs.’ Mot. to Bifurcate 3 (Docket No. 30).)

 

Sykes assigned a cash deposit of $35,000 with the Department of Motor Vehicles (“DMV”) after the collision. (Id.) On January 21, 2016, Sykes received a letter from the DMV that it had received and accepted her deposit. (Decl. of Tyeshina Sykes in Supp. of Pls.’ Opp’n to Defs.’ Mot. for Summ. J., Ex. 3 (Docket No. 28-2).)

 

On October 31, 2016, plaintiffs commenced this action in the Superior Court of California, County of Sacramento. The complaint identified one cause of action against all defendants for general negligence and alleged loss of income and earning capacity, past and future medical expenses, and general (non-pecuniary) damages for injuries to both plaintiffs. (Compl. ¶¶ 21-23.) The action was removed to federal court on December 2, 2016. (Docket No. 1.)

 

*2 II. Partial Motion for Summary Judgment A partial motion for summary judgment is governed by

 

the same standard as a motion for summary judgment. See Fed. R. Civ. P. 56. Summary judgment is proper “if the movant shows that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). A material fact is one that could affect the outcome of the suit, and a genuine issue is one that could permit a reasonable jury to enter a verdict in the non-moving party’s favor. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 248 (1986).

In deciding a summary judgment motion, the court must view the evidence in the light most favorable to the party opposing the motion and draw all justifiable inferences in its favor. Matsushita, 475 U.S. at 587. “Credibility determinations, the weighing of the evidence, and the drawing of legitimate inferences from the facts are jury functions, not those of a judge…ruling on a motion for summary judgment.” Anderson, 477 U.S. at 255.

 

Defendants move for partial summary judgment pursuant to Federal Rule of Civil Procedure Rule 56(a) on Sykes’ claim for non-economic damages. Defendants argue that because Sykes’ claim arises out of the operation or use of a motor vehicle which Sykes owned, and the vehicle was not insured as required by California Civil Code § 3333.4(a)(2), she is barred from receiving non-economic damages. In the alternative, defendants argue Sykes should not be able to recover non-economic damages because Sykes was the operator of a vehicle involved in an accident and she cannot establish her financial responsibility pursuant to California Civil Code § 3333.4(a)(3).

 

In relevant part, California Civil Code § 3333.4 states:

(a) In any action to recover damages arising out of the operation or use of a motor vehicle, a person shall not recover non-economic losses to compensate for pain, suffering, inconvenience, physical impairment, disfigurement, and other nonpecuniary damages if any of the following applies:

(2) The injured person was the owner of a vehicle involved in the accident and the vehicle was not insured as required by the financial responsibility laws of this state.

(3) The injured person was the operator of a vehicle involved in the accident and the operator can not establish his or her financial responsibility as required by the financial responsibility laws of this state.

 

 

Cal. Civ. Code § 3333.4(a)(2)-(3).

  1. Operation and Use of Vehicle

Although Sykes was not in her vehicle when the accident occurred, she was nevertheless required to possess automobile insurance or otherwise establish her financial responsibility in order to comply with Civil Code § 3333.4(a). See Harris v. Lammers, 84 Cal. App. 4th 1072 (1st Dist. 2000) (holding that § 3333.4(a) applied to case in which plaintiff was struck in parking lot while standing outside her vehicle because action was one “arising out of the use of a motor vehicle.”) The Harris court determined that although plaintiff was not in her vehicle when she was injured, she was still obligated to possess automobile insurance in order to recover non-economic damages.

 

*3 Plaintiff seeks to distinguish Harris on the ground that plaintiff in that case had been handing supplies to her children seated inside the car, and it was the act of loading the vehicle that constituted use of the car. However, the Harris court explained that plaintiff had used her “car to transport her children and supplies and the accident arose out of and flowed from that use. Plaintiff was in the parking lot where the accident occurred precisely because she was using the car to transport her children and supplies.” Id. at 1077. Accordingly, the fact that Sykes was not loading or unloading her car is irrelevant. Sykes had been using her car to transport her child and herself. As in Harris, Sykes had driven her uninsured vehicle to the location where the accident occurred, and thus was on the side of the highway precisely because she was using the car for transportation. Accordingly, plaintiff’s attempt to differentiate Harris on this ground fails. The fact that Sykes was not physically in contact with the car does not mean that she was not using it.

 

Plaintiff further attempts to distinguish Harris by arguing that Sykes had left her car for approximately fifteen to twenty minutes before the accident occurred, and thus too much time had elapsed for Sykes’ actions to constitute use of the car. However, in Harris length of time was not discussed, and there is no case law indicating that fifteen minutes is too great a period of time. Sykes may have been outside of her parked vehicle for twenty minutes before she was struck by it after defendants’ vehicle collided with her vehicle, but that fact is not sufficient to distinguish the case at hand from Harris.

 

Accordingly, Sykes’ claim is one that arises out of the operation of a motor vehicle. Therefore, § 3333.4 applies, which bars Sykes from asserting a claim for non-economic damages if she lacked insurance at the time of the incident or cannot otherwise establish her financial responsibility pursuant to § 3333.4(a)(3).

 

 

  1. Insurance and Financial Responsibility

The California Vehicle Code sets forth four methods by which one may establish compliance with the financial responsibility laws. Three of the methods require the person have insurance or a bond at the time of the accident. (See Cal. Veh. Code § 16054.) The fourth method provides that financial responsibility may be established by depositing cash with the DMV. (See Cal. Veh. Code § 16054.2)2

 

It is undisputed that, at the time of the accident, Sykes had no form of financial responsibility in effect. Sykes concedes that she did not possess insurance at the time, and she did not deposit money with the DMV until after the accident. (Pls.’ Opp’n to Defs.’ Mot. to Bifurcate 3.) However, Sykes argues that her post-accident cash deposits with the DMV make her “financially responsible” and thus eligible to recover non-economic damages. (Pls.’ Opp’n to Defs.’ Mot. for Summ. J. 10 (Docket No. 28).)

 

The “requirement of financial responsibility” referenced in § 3333.4 “is found in Vehicle Code section 16020, and defined by Vehicle Code section 16021.” Goodson v. Perfect Fit Enterprises, Inc., 67 Cal. App. 4th 508, 512 (2d Dist. 1998). Section 16020 provides that “all drivers and all owners of a motor vehicle shall at all times be able to establish financial responsibility pursuant to Section 16021, and shall at all times carry in the vehicle evidence of the form of financial responsibility in effect for the vehicle.” Among the forms of financial responsibility that must be “in effect” at “all times” is any cash deposit with the DMV. See Cal. Veh. Code § 16021(d); see also Figueroa v. United States, Civ. No. 15-555 JFW ASX, 2015 WL 11438605, at *3 (C.D. Cal. Dec. 9, 2015) (rejecting plaintiffs’ contention that their cash deposits with the DMV two years after the accident made them financially responsible). Accordingly, the financial responsibility referenced in § 3333.4 is “a responsibility concurrent with vehicle ownership or operation.” Goodson, 67 Cal. App. 4th at 515; see Ruttenberg v. Dep’t of Motor Vehicles, 194 Cal. App. 3d 1277, 1285 (1st Dist. 1987) (“The financial responsibility law is intended to provide a guarantee that every driver will be financially responsible before he begins driving.”).

 

*4 Sykes argues that the cash deposit does not need to be in effect at the time of the accident. She contends that the cash-deposit statute does not include a timing requirement like the other methods set forth in the Vehicle Code, thereby indicating that the California Legislature intended there to be a difference in meaning. However, California courts have determined that:

The Legislature declared that drivers of automobiles in the state shall be financially capable of providing monetary protection to those suffering injury to their person or property by reason of the use of such vehicle regardless of fault of the drivers and such capability shall be deemed as a concurrent responsibility of such motor vehicle operation.

 

(Id.) (citations omitted). The Ruttenberg court further clarified that “the intent of the Legislature in passing the act is unambiguous.” (Id.) Accordingly, plaintiff’s contention that the cash deposit does not need to be made prior to the collision is unpersuasive.

 

Because Sykes was not insured as required by the California financial responsibility laws at the time of the collision and her deposits with the DMV after the accident do not render her “financially responsible,” she cannot establish that she was compliant with section § 3333.4 at the time of the accident. Accordingly, she is precluded from recovering non-economic damages and the court must grant defendants’ partial motion for summary judgment.

 

 

III. Motion to Bifurcate

Defendants submitted this motion only in the event that their partial motion for summary judgment was denied. Because the court will grant defendants’ partial motion for summary judgment, their motion to bifurcate is now moot.

 

IT IS THEREFORE ORDERED that defendants’ partial motion for summary judgment be, and the same hereby is, GRANTED. Plaintiff Tyeshina Sykes may not recover damages for non-economic losses to compensate for her pain, suffering, inconvenience, physical impairment, disfigurement, or other nonpecuniary damages in this action;

 

IT IS FURTHER ORDERED that defendants’ motion to bifurcate be, and the same hereby is, DENIED as moot; and

 

IT IS FURTHER ORDERED that defendants’ motion to amend answer be, and the same hereby is, GRANTED. Dated: October 31, 2017

 

All Citations

Slip Copy, 2017 WL 4923327

 

 

Footnotes

1

Plaintiffs do not oppose defendants’ Motion to Amend Answer. Accordingly, the motion is granted and will not be discussed in this memorandum.

2

Section 16054.2(a) states that “evidence may also be established by any of the following: By depositing with the department cash in the amount specified in Section 16056.” Section 16056(a) requires that the deposited amount be at least $35,000.00.

 

 

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