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Mendez v. Summit Hous. Transp., LLC

United States District Court for the Northern District of Mississippi, Aberdeen Division

May 28, 2024, Decided; May 28, 2024, Filed

CIVIL ACTION NO.: 1:22-cv-00125-MPM-DAS

Reporter

2024 U.S. Dist. LEXIS 94312 *; __ F.Supp.3d __

ELMER MENDEZ; ELENA MEJIA-MENDEZ, ON BEHALF OF ALL WRONGFUL DEATH BENEFICIARIES OF CARLOS MEJIA-MENDEZ, DECEASED; AND EVER ALEXANDER AMAYA-MENDEZ, ON BEHALF OF ALL WRONGFUL DEATH BENEFICIARIES OF MARVIN NOE AMAYA-MENDEZ DECEASED, PLAINTIFFS v. SUMMIT HOUSING TRANSPORT, LLC; GREGORY BURNS; WINSTON HOUSING GROUP, INC.; HAMILTON HOME BUILDERS, LLC; HAMBY TRUCKING, INC., D/B/A HAMBY ESCORT; AND JOHN DOES 2-20, DEFENDANTS

Core Terms

lost wages, damages, mobile home, plaintiffs’, transport, believes, defendants’, truck, summary judgment, highway, cases, undocumented immigrant, manufactured, driver, expert testimony, inclination, strikes, towing, fall asleep, immigration, pull, summary judgment motion, hearsay, jurors, lost earnings, reply brief, authorization, weaknesses, shoulder, parties

Counsel:  [*1] For Elmer Mendez, Elena Mejia-Mendez, On Behalf of All Wrongful Death Beneficiaries of Carlos Mejia-Mendez, Deceased, Ever Alexander Amaya-Mendez, On Behalf of all Wrongful Death Beneficiaries of Marvin Noe Amaya-Mendez, Deceased, Plaintiffs: Madison Coburn Keyes, Robert Allen Smith, Jr., LEAD ATTORNEYS, The Smith Law Firm, PLLC, Ridgeland, MS.

For Gregory Burns, Defendant: James R. Moore, Jr., COPELAND, COOK, TAYLOR & BUSH, Ridgeland, MS; Ronald E. Toney, Copeland, Cook, Taylor & Bush P.A., Mississippi, Ridgeland, MS.

For Hamby Trucking, Inc., doing business as, Hamby Escort, Defendant: Chad Alan Ruhr, LEAD ATTORNEY, Galloway Johnson Tompkins Burr & Smith, Gulfport, MS.

Judges: Michael P. Mills, UNITED STATES DISTRICT JUDGE.

Opinion by: Michael P. Mills

Opinion


ORDER

This cause comes before the court on various summary judgment and Daubert motions filed by the parties in the above-entitled action. The court, having considered the memoranda and submissions of the parties, is prepared to rule.

This is a tort action arising from a July 1, 2020 automobile accident on the intersection of Highway 25 and 45 in Monroe County, Mississippi. The accident occurred when a vehicle driven by Jose Mendez veered from its proper driving [*2]  lane and ran into the back of a newly-manufactured mobile home which had been stopped alongside of the highway. The mobile home was being transported from the Alabama factory of defendant Winston Housing Group, Inc. (“Winston”) to a purchasing dealer in Mississippi, and defendant Summit Housing Transport, LLC (“Summit”) had been hired by Winston as an independent contractor to perform the transport of the vehicle. Defendant Gregory Burns was acting as the driver, on behalf of Summit, of the Peterbilt truck which was towing the mobile home to its destination.

As noted above, defendants have filed both summary judgment and Daubert motions in this case, and this court will, in this order, discuss the experts whom defendants seek to strike alongside the summary judgment issues to which the proposed testimony of those experts relate. It is well settled that summary judgment is appropriate when “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 “genuine” dispute arises “if, based on the evidence, a reasonable jury could return a verdict for the nonmoving party.” Lett v. Omega Protein, Inc., 487 F. App’x 839, 843 (5th Cir. 2012) (citation omitted). A fact is material [*3]  if it is one that might affect the outcome of the suit under the governing law. Anderson v. Liberty Lobby, 477 U.S. 242, 248, 106 S. Ct. 2505, 91 L. Ed. 2d 202 (1986)).

Expert testimony is not admissible unless the expert is qualified and the opinion is scientifically valid and methodologically sound. Daubert v. Merrell Dow Pharms., Inc., 509 U.S. 579, 592-93, 113 S. Ct. 2786, 125 L. Ed. 2d 469 (1993). The party offering the expert testimony bears the burden of proving that the testimony is admissible. Smith v. Goodyear Tire & Co., 495 F.3d 224, 227 (5th Cir. 2007). The expert must base the opinion on sufficient facts or data, employ reliable principles and methods in forming the opinion, and reliably apply the principles and methods to the facts of the case. Fed. R. Evid. 702. The purpose of the Daubert inquiry is to ensure that the proposed expert “employs in the courtroom the same level of intellectual rigor that characterizes the practice of an expert in the relevant field.” Kumho Tire Co., Ltd. v. Carmichael, 526 U.S. 137, 152, 119 S. Ct. 1167, 143 L. Ed. 2d 238 (1999).

Before providing a specific discussion of the parties’ arguments, this court will provide its basic impressions of the factual merits of this case. The amended complaint in this case alleges, and it appears to be undisputed, that Burns’ truck had been forced to stop alongside the highway “due to the failure of the tow hitch used to connect the mobile home to the truck for transport.” [Amended complaint at 4]. As discussed below, Burns testified in his deposition that he was not [*4]  able to pull as far onto the shoulder as he ordinarily would have, given that rainy weather that day had made the ground wet. [Burns depo. at p. 89]. Plaintiffs allege that this decision on the part of Burns to minimize the risk of having his vehicle stuck in the mud at the expense of public safety, as well as the basic decision to transport the vehicle on a rainy day, constituted negligence on the part of one or more defendants. Plaintiffs further allege that the failure of the trailer hitch resulted from design and/or manufacturing defects by Winston, as well as from negligence arising from the decision to transport a mobile home using a trailer hitch which was insufficiently strong to tow the large mobile home in question. As a result of the collision, plaintiff Elmer Mendez suffered serious injuries and Carlos Mejia-Mendez and Marvin Noe Amaya-Mendez died. [Complaint at 5]. Carlos and Marvin’s wrongful death beneficiaries are plaintiffs in this action, but the driver Jose Mendez is not a party in this case.

Having noted the broad facts of this case, this court’s basic impression is that they give rise to certain strengths and weaknesses which each side must confront. As to plaintiffs, [*5]  it strikes this court that, while it seems possible that certain factors such as wet roads may have caused Jose’s vehicle to veer from its proper driving lane, it frankly seems more likely that this lane departure was the result of some form of negligence on his part, such as his falling asleep. Similarly, while it seems possible that the failure of a tow hitch transporting a newly-manufactured vehicle would be something which “just happened,” it frankly seems more likely to have been the result of either a failure in the design or manufacturing process or negligence in transporting this particular mobile home to its destination. More specifically, this court believes that plaintiffs’ arguments relating to the decisions to perform the transport on a rainy day and not to pull further onto the shoulder in the interests of public safety give rise to triable jury issues regarding negligence.

These factual strengths and weaknesses give rise to difficult causation issues in this case, since each side (predictably) seeks to emphasize the role which the opposing side’s alleged wrongdoing may have had in causing the accident.1 Indeed, in considering the parties’ causation arguments, it strikes [*6]  this court that each side can quite reasonably argue that the injuries in this case would not have occurred “but for” the negligence of the other. That is, defendants can quite reasonably argue that, if Jose’s vehicle had not veered from its proper lane, then it would not have struck the mobile home which was parked along the side of the highway. By the same token, plaintiffs have a quite reasonable argument that, if the mobile home had not been parked alongside the highway in the first place, then Jose’s vehicle would not have hit it and Elmer and Carlos would still be alive today. In this vein, this case appears to involve, from a causation standpoint, an example of an irresistible force colliding with an immovable object, and this court must therefore grapple with the difficult question of what the legal result of this collision should be.

While, as discussed below, Mississippi law is not entirely clear as to how difficult causation issues such as these should be dealt with on summary judgment, this court’s general inclination, when presented with a case where both sides have reasonable arguments relating to both negligence and causation, is to allow them to present those arguments [*7]  at trial and allow jurors to sort these issues out. This inclination is particularly strong in a case such as this one, in which the lawyering on both sides seems quite good, and both sides appear to be making diligent and competent efforts to represent their clients.

Given that both sides have legitimate negligence arguments to make and are diligently attempting to do so, this court will give each side considerable leeway to continue to represent their clients in the manner which they have done to date. In this vein, this court notes that while various defendants have sought summary judgment on a wide range of damages and liability issues, its general practice, in cases where it is clear that a trial will be required, is to reserve a final ruling on many specific liability and damages issues for the directed verdict and/or jury instruction phases of trial. This court’s inclination to do so arises from the simple fact that, in cases where a trial will be required regardless, it makes sense to reserve ruling upon most damages and liability issues until the point when this court has already viewed the evidence at trial and accordingly has a much better factual grasp of the case. At the [*8]  same time, this court recognizes that defendants do raise certain issues which should be discussed in this summary judgment order, partly so that the parties may respond to its inclinations expressed herein with further argument and/or authorities at trial.

The first issue which this court will address in this order is the primary argument raised both by Summit/Burns and Winston in their respective summary judgment motions, which is that they should be dismissed from this action because the negligence of Jose Mendez in departing from his proper lane of travel was the sole proximate cause of the accident in this case. This court has already previewed its ruling on this issue above, but, in providing a more specific discussion of its inclination in this regard, it will make two primary points. The first point is to note that both sides appear to have made a tactical choice not to depose Jose, and this court believes that decision has left a rather sparse factual record which works in plaintiffs’ favor on summary judgment.

After ascertaining that neither side had deposed a crucial fact witness such as Jose, this court, through its staff, emailed the counsel for both sides to inquire regarding [*9]  their failure to do so. This court specifically wondered whether Jose, as an undocumented immigrant, might have made himself unavailable for depositions, but it was assured that this was not the case and that his residence in Memphis was known to all parties. It thus seems clear that the decision not to depose Jose was a tactical choice made by both sides, presumably based on fears that certain elements of Jose’s testimony would be harmful to their respective clients. This court will not second-guess that tactical decision here, but the simple fact is that, at the summary judgment stage, this court must view the facts in the light most favorable to plaintiffs, and it must resolve any factual ambiguities in their favor as well. That being the case, defendants leave themselves in a poor position to seek summary judgment based on Jose’s negligence when they could have deposed him but chose not to do so. This is particularly true considering that there are very serious doubts regarding whether some of the most important evidence cited by defendants in support of their negligence arguments constitutes admissible evidence at all.

Winston notes in its brief that “[a]ccording to hospital records, [*10]  Jose told emergency room staff that ‘he thinks he fell asleep,'” [reply brief at 3] and this court agrees that, if admissible, this statement would represent strong evidence of negligence on his part. However, plaintiffs rather predictably argue that Jose’s alleged statement is hearsay, to which Winston argues that:

Regarding Jose Mendez’s comments/remarks to medical personnel that he fell asleep while operating the Nissan pickup truck, the same is not “impermissible hearsay”. The fact that Jose Mendez fell asleep while operating the Nissan which he drove into the rear of the manufactured home is specifically noted within the Mississippi Uniform Crash Report. [204-1], 3 p. 7, § DRIVER CONDITION AND CIRCUMSTANCES (“Asleep or fatigued”). Meaning both Jose Mendez’s treating physicians and the officer who drafted the Crash Report knew and provided specific comment that Jose Mendez fell asleep while operating the Nissan at issue.

[Reply brief at 2-3].

Notably absent from defendant’s argument is any citation to an applicable exception to the hearsay rule, or any discussion of hearsay law whatsoever for that matter. While this court does not intend to argue with itself over this issue, its first [*11]  impression is that, unless defendants have identified and will call to testify at trial the hospital employee or police officer who allegedly heard Jose make the statement in question, then the notation regarding Jose’s statement would not only be hearsay but double hearsay.2 It further strikes this court that, while Jose is not a party to this lawsuit so as make his alleged statement an admission by a party opponent, it arguably constitutes a declaration against interest under Federal Rules of Evidence 804(b)(3). However, this particular exception to the hearsay rule only applies if the declarant in question is unavailable, and, as noted above, the parties have assured this court that Jose is available to testify. This court therefore believes that defendants should seriously considering calling Jose to testify at trial, where they will presumably ask him about his alleged statement in this hospital and, at least potentially, introduce the records in question as impeachment evidence if he denies having said that he “thinks he fell asleep.” As things stand now, however, the evidentiary basis for introducing Jose’s alleged statement strikes this court as very much unclear, and this necessarily works to defendants’ detriment [*12]  in seeking summary judgment.

The failure to depose Jose aside, Summit concedes in its reply brief that “it was raining lightly at the time of the collision,” [reply brief at 3] which strikes this court as a potential contributing factor for Jose’s having left his proper lane of travel which would not involve his own negligence. Summit argues that the record is simply unclear as to whether wet road conditions played a role in this regard, writing in its reply brief that:

Plaintiffs do not appear to argue that the weather conditions at the time of the collision played any part in causing this collision. If they are, there is no evidence in the record to support this argument. And Plaintiffs have chosen to forego an explanation from Jose Mendez as to why he left his lane of travel entirely. Without Jose’s testimony, it is pure speculation to assume that weather played any part in his actions.

[Reply brief at 3-4].

This court’s reading of plaintiffs’ briefing is that, contrary to defendant’s assertion, they maintain that wet weather figures very prominently in the events of this case. For example, plaintiffs argue in their brief that:

The Crash Report and testimony of the drivers suggest that [*13]  it had been raining before the collision and at the time of impact. Inclement weather alone in these instances has been found to be sufficient to preclude judgment as a matter of law. Dallas v. Premier Vehicle Transp., Inc., 2017 U.S. Dist. LEXIS 124096, *4 (S.D. Miss. 2017).

[Plaintiff’s brief at 9-10]. While plaintiffs did not specifically argue that wet road conditions caused Jose to leave his proper lane, they clearly seem to argue that the effect of wet road conditions on an accident is a factual wild card of sorts which is best addressed by a jury, rather than a court. This court agrees, and, in so doing, it emphasizes defendant’s concession that “[w]ithout Jose’s testimony, it is pure speculation to assume that weather played any part in his actions.” Id. In so arguing, defendant seems to suggest that uncertainty regarding a potentially crucial factual issue supports the entry of summary judgment in its favor, but this court regards the existence of fact issues regarding weather conditions at the time of the accident as a factor which militates in favor of further inquiry at trial, and not dismissal of the case based on a sparse summary judgment record.

The above observations [*14]  seem particularly apt in this case, considering that defendants could have deposed Jose themselves but chose not to do so. Moreover, while it is true that plaintiffs bear the ultimate burden of proof regarding causation, it appears that, by alleging negligence on the part of a non-party such as Jose, defendants are attempting to avail themselves of the so-called “empty chair defense” to their own liability. In this vein, this court notes that, in a 2009 decision, Judge Aycock observed that “[d]efendants are allowed to present the ’empty chair’ defense and show that plaintiff’s damage was caused by the sole or intervening fault or acts of third parties.” Cooper Tire & Rubber Co. v. Farese, 2009 U.S. Dist. LEXIS 146030, 2009 WL 10675478, at *4 (N.D. Miss. Jan. 8, 2009). The Fifth Circuit has similarly referred to the allocation of fault to third parties under Mississippi’s comparative fault statute as the “empty chair defense,” Whitehead v. Food Max of Mississippi, Inc., 163 F.3d 265, 279 (5th Cir. 1998) citing § 85-5-7, and this court’s understanding of defenses is that defendants bear the burden of proving them. Judge Aycock clearly seems to have this understanding as well, inasmuch as, in Cooper, she referred to the fault of absent non-parties as something the defendant must “show.” Cooper,  2009 U.S. Dist. LEXIS 146030, 2009 WL 10675478 at 4. In any event, this court is presently considering defendants’ summary judgment motion, and it is clear [*15]  that, in doing so, it must resolve factual ambiguities in plaintiffs’ favor. This court therefore regards the absence of Jose’s deposition testimony as something which clearly militates against granting defendants’ summary judgment motions.

This court notes that, in their briefing, plaintiffs cite wet road conditions as a crucial factor in analyzing the actions of the driver Burns in this case, as well as the basic decision on the part of various defendants to transport the mobile home on a rainy day. For example, plaintiffs rely upon Burns’ deposition testimony that:

Gregory Burns’ testimony illustrates that he was more concerned with the possibility that the mobile home might become stuck in the wet ground than in removing the truck and home completely from the roadway. When asked whether he pulled the truck over as far as possible, he gave a qualified answer, “I did as far as I could with the—with the ground as wet as it was, yes, ma’am, I did.” See Exhibit “2” p. 85, lines 3-7. This conversation continued:

Q: So is there a specific reason, though, that you could not have gotten the entire manufactured home farther over to the shoulder, even into the grassy area?

A: No, I couldn’t have [*16]  gotten over there. The ground was too soft, ma’am. And dragging that house and it down in the front, no, ma’am, I couldn’t have got out in the grass.

Q: Why was the ground too soft?

A: Because it had rained.

[Brief at 4-5, citing Burns depo. at p. 89]. Burns thus made it clear in his deposition that while he could have physically moved his truck further onto the shoulder, he chose not to do so based on concerns that his vehicle would get stuck in the mud.

It strikes this court that, in making this choice, Burns made a conscious decision to accept the evident danger to motorists which results from not pulling over as far as he would ordinarily prefer to do, in order to avoid his vehicle potentially having to be towed out of the mud. This court further believes that, in making this choice, Burns made a decision which plaintiffs can reasonably argue to the jury constituted negligence on his part. Moreover, even if jurors conclude that Burns made the correct choice in not parking his vehicle on wet ground, they may decide that Winston or some other defendant should not have chosen to transport the vehicle on a rainy day and thereby potentially subject the driver to this choice. That is, plaintiffs [*17]  would appear to have a reasonable jury argument that Winston or some other defendant should have known that, if problems arose which required the driver to pull over, wet conditions might prevent him from pulling over as far as motorist safety considerations would recommend. This court therefore concludes that plaintiffs have reasonable arguments that wet weather conditions assist them in making out their claims. In the court’s view, this makes it that much more important that defendants support their allegations of Jose’s negligence with a greater amount of competent and admissible summary judgment evidence than they have produced in support of their motions.

The sparse summary judgment record aside, the second, and perhaps more important, conclusion supporting this court’s denial of summary judgment is its conclusion that Mississippi appellate precedent casts serious doubt upon defendants’ contention that any presumed negligence on the part of Jose, such as his allegedly falling asleep at the wheel, would necessarily preclude liability on their part. Defendants’ position in this case appears to be that, since Jose fell asleep or was otherwise negligent in veering from his driving [*18]  lane and running into the back of a wide load trailer, it is essentially irrelevant whether one or more defendants were themselves negligent in allowing that trailer to be on the side of the highway in the first place. For example, Summit writes in its summary judgment brief that:

Plaintiffs have failed to produce any substantiated, admissible evidence that anyone other than Jose Mendez was a proximate, contributing cause of this accident. Just last week, the Mississippi Court of Appeals unanimously upheld the granting of summary judgment in a case with strikingly similar facts to the instant case. Carter v. C&S Canopy, Inc., 381 So. 3d 399, 406 (Miss. Ct. App. 2024). In Carter, a vehicle in which the plaintiff was a passenger sideswiped a fixed-body truck that was parked on the paved shoulder alongside Interstate 10 and out of the lanes of travel. Plaintiff sued the truck driver (Ballew) and his employer (C&S) for negligence. Just like in the instant case, the driver of Plaintiff’s vehicle veered out of his lane “for unknown reasons” and sideswiped Ballew’s truck. Id. at *402. The defendants moved for summary judgment, arguing that Plaintiff was unable to establish that either defendant breached a duty or that any alleged breach proximately caused the crash. The circuit [*19]  court granted the motion, noting “there is an analytical gap in the evidence demonstrating how a purported failure [in warning triangle placement] proximately contributed to the cause of the accident in this case.” Id. at *402.

[Brief at 7].

While defendant appears to be correct that Carter is the most factually analogous Mississippi authority on point, this court believes that the evidence of its own negligence in this case is considerably stronger than the plaintiff’s proof of negligence was in Carter. In so stating, this court notes that the evidence in Carter indicated that the driver of the truck in that case was forced to stop by an unexpected and serious mechanical issue which was no fault of his own. Carter, 381 So. 3d at 402. Clearly, unexpected mechanical issues are something which can happen to any driver, and the fact that one occurs does not constitute proof of negligence. This case, by contrast, involves the failure of the trailer hitch connecting the mobile home and the vehicle which was towing it. In the court’s view, a failure of this nature raises more obvious questions of negligence than a more routine mechanical breakdown, since it raises questions regarding, among other things, the choices which were made by defendants [*20]  regarding the means which were used to transport the mobile home in question. In opposing summary judgment, plaintiffs buttress these rather suspicious circumstances with expert testimony suggesting that one or more defendants selected a trailer hookup which was inadequate to transport a home as large as the one at issue in this case.

While plaintiffs offer other allegations of negligence in this case, including that Burns did not pull far enough onto the shoulder of the highway, any proof that defendant’s negligence caused the vehicle to be on the side of the road in the first place seems particularly compelling. This is because, while the Mississippi Court of Appeals in Carter cautioned against relying upon overly speculative proof that the defendant’s specific actions (such as not adequately warning motorists of the stopped vehicle) caused the accident in question, it is hardly speculative to argue that Jose would not have run into defendant’s vehicle if it had not been on the side of the highway at all. This is, to the contrary, seemingly an indisputable fact. Moreover, unlike in Carter, plaintiffs do, in fact, have a coherent theory, supported by expert testimony, that the negligence of one [*21]  or more defendants in selecting the towing arrangement in this case caused the vehicle to be on the side of the highway in the first place. Indeed, expert testimony aside, this court believes that jurors may well conclude that mechanical hookups tend not to simply fail for no good reason and that the apparent failure of defendant’s towing arrangements in this case is something regarding which it owes a good explanation.

In the court’s view, another important factor which renders plaintiffs’ proof of negligence stronger than in Carter arises from the simple fact that this case involves the transporting of a large mobile home over public highways. While defendants do not face strict liability while transporting wide loads, the fact that towed mobile homes are (at least in this court’s experience) invariably accompanied by escort vehicles clearly constitutes a nod to the risks which are inherent in this undertaking. That being the case, this court believes that plaintiffs, and their experts, can more reasonably argue to the jury that defendants acted negligently in towing their mobile home on a rainy day and in not adequately insuring that the trailer hitch was adequate for the load in this [*22]  case, than if they had been towing an object which was not oversized. This court further concludes that plaintiffs have potentially strong arguments that some form of manufacturing and/or design failure on the part of Winston contributed to the fact that its mobile home found itself parked along the side of a highway on the day in question.

In so stating, this court would observe that, by their very nature, mobile homes should be designed to withstand transport on public roads and highways, otherwise they cannot reach their end users. Moreover, the simple fact is that the mobile home at issue here did not, in fact, withstand the transport process, and this court believes that jurors will be looking to defendant to provide a good explanation for this fact. This court notes that Winston itself appears to be somewhat uncomfortable with the basic facts of this case, since it writes that in its brief that:

Around 7:45 am on July 1, 2020, before entering onto U.S. Hwy. 45A South from M.S. Hwy. 25 an issue arose during transport which prompted Burns to pull over as far onto the shoulder as he could and ensured that no portion of Burns’ vehicle and/or manufactured home extended into the two [*23]  southbound lanes of U.S. Hwy. 45A South.

[Reply brief at 8]. In the court’s view, saying that “an issue arose during transport” is a rather dry description of what happened to the newly manufactured mobile home in this case, and it seems possible that jurors will offer a less charitable characterization of it.

This court believes that the fact that triable fact issues exist regarding Winston’s liability seems clear enough from its reply brief, where it writes that:

In regard to plaintiffs’ alleged “failure” of the hitch, the very testimony they cite to in support of their position demonstrates that the issue with the hitch only arose after the toter hit “[a] pretty rough — a pretty bad rough spot.” [205], Ex. “4,” pp. 89 – 90. As such, this atypical road condition does not support Plaintiffs’ position that the manufactured home’s design lacked sufficient durability.

[Reply brief at 6-7]. Defendant thus emphasizes allegedly rough road conditions at the accident location, but, to be clear, at the time he was forced to pull over, Burns was not driving over a bumpy dirt road; he was traveling on a public highway. It at least seems arguable to this court that, since mobile home occupants do [*24]  sometimes live on bumpy dirt roads, a manufacturer should design a mobile home which is sufficiently durable to withstand transport even under those truly difficult road conditions. In any event, Winston’s argument that the stretch of highway at issue here was so “atypical” as to excuse the failure of its trailer hitch is clearly one that it will need to make to jurors, since it does not constitute a proper basis for summary judgment.

In light of the foregoing, this court regards plaintiffs’ negligence and products liability claims, considered together, as being considerably stronger than the plaintiff’s proof of negligence in Carter. Perhaps more importantly, it seems implicit from the Court of Appeals’ analysis in Carter that the presumed negligence of a plaintiff in running into the back of a parked vehicle does not render the question of the defendant’s own negligence an irrelevant one. Indeed, given the clear similarities between the facts of this case and Carter, it is problematic for defendants that, even though the Court of Appeals expressly wrote that “we can only conclude that the plaintiff fell asleep or failed to pay attention” id. at 406, it nevertheless spent most of its opinion discussing, and rejecting, [*25]  the various theories offered by the plaintiff as to how the defendant had been negligent.

In introducing its lengthy discussion of these theories, the Court of Appeals wrote that:

On appeal, Carter argues that Ballew negligently continued to drive a “sluggish” truck down the interstate rather than exiting; that C&S negligently failed to have the truck towed sooner; that Ballew violated Federal Motor Carrier Safety Regulations (FMCSRs) by placing emergency reflective triangles at incorrect distances behind his truck; that “Ballew broke the law” by parking the disabled truck on the shoulder of the interstate; that C&S lacked authority to operate as a “for-hire motor carrier”; that C&S failed to train Ballew; and that these various acts or omissions caused the subject crash. We address Carter’s various arguments in turn.

Id. at 404.

Thus, not only did the Court of Appeals in Carter not appear to regard the question of the defendant’s negligence as irrelevant in light of the plaintiff’s presumed negligence; it spent most of its opinion rejecting, one after the other, each of the plaintiff’s factual arguments as to how defendant might have been negligent. This court emphasizes once again that the [*26]  Court of Appeals in Carter expressly assumed that the plaintiff in that case fell asleep or otherwise acted negligently in running into the back of the truck in that case. It strikes this court that, if defendant’s understanding of Mississippi law were correct, then the Court of Appeals would have simply stopped at that point. Instead of doing so, the Court provided an extensive discussion of the plaintiff’s various theories of negligence, and this court must wonder why it would have done so if, as defendant suggests, the plaintiff’s contributory negligence were the beginning and end of liability issues of this nature.

While the Court of Appeals in Carter found the plaintiff’s proof that various steps such as better placement of warning signs would have prevented the accident in that case to be “speculative,” it is, to reiterate, not speculative to argue that the accident in this case would not have occurred if Burns had not been forced to pull off the road in the first place. In so stating, this court notes that photos of the accident scene reveal that the stretch of highway where the accident occurred was surrounded by gently sloping grass leading into a cornfield. That being the case, it seems [*27]  highly likely to this court that, if defendant’s truck had not been parked alongside the highway, then Jose would have paid for any alleged negligence in falling asleep by, at worst, having his vehicle towed from a corn field. Indeed, this court suspects that most drivers have, at one time or another in their lives, nodded off while driving on a highway, only to be jarred awake by the sound of their vehicle hitting the shoulder of the road and/or by the alarmed cries of passengers. While falling asleep at the wheel clearly does appear to constitute negligence in most cases, it is a form of negligence which ordinarily does not result in the loss of life. In this case, however, Jose paid for any presumed negligence on his part by having two of his passengers killed, and plaintiffs provide substantial arguments that the crucial factor distinguishing trivial or non-existent injuries from fatal ones in this case was the negligence of one or more defendants.

Under these circumstances, this court can discern very strong public policy arguments that the law should provide legal incentives for those transporting a large trailer on a highway to exercise due care in ensuring that the transport [*28]  arrangements are planned and executed in a manner consistent with public safety. This court does not believe that these public policy arguments lose their force even if it is assumed that the vast majority of attentive drivers would recognize the large mobile home parked ahead of them and avoid it without difficulty. To the contrary, this court submits that there are strong public policy arguments in favor of encouraging mobile home transporters to exercise due care in putting their dangerous instrumentality on public highways in such a manner as to ensure that even negligent drivers do not unnecessarily pay for simple negligence with their lives.

In light of the foregoing, this court concludes that both sides have legitimate liability and causation arguments to make to the jury, and this conclusion heavily informs its consideration of defendants’ Daubert motion to strike the testimony of plaintiffs’ designated expert witnesses Joseph Russo, Jeffrey E. Hofmann and Bruce Enz. In their brief, plaintiffs note that:

Russo has “more than 39 years experience as a hands-on business owner-operator” in the manufactured and modular home industry. Russo has performed and directed performance of manufactured/mobile [*29]  home “service, installation, take down, delivery…project design..home transporting on and off highway with specialized heavy equipment, [and] home installation.” He also has provided expert witness services related to the industry, providing analysis in more than 150 litigation matters throughout the United States and twice for the Contractors State License Board. Because of his practical experience, Russo is familiar with manufactured/mobile home transportation, service, repair (including of structures, chassis, and axles), and manufacturing procedures. Response Exhibit “1,” Russo CV. Jeffrey Hofman is a licensed professional engineer, having obtained his license in 1991 in the State of California. He received his B.S. degree in Civil Engineering from California State University in 1988. He has significant experience in the engineering aspects of manufactured home design. Response Exhibit “2,” Hofmann CV.

[Brief at 2]. As to Enz, plaintiffs write that:

Enz is an expert in accident reconstruction, vehicle underride crash analysis [this case was an underride crash], and fleet safety involving commercial vehicles. Enz holds a bachelor’s degree from the University of Illinois, which was [*30]  conferred in 1977. Prior to obtaining his college degree, Enz served in the military and in law enforcement. … He has taken various accident investigation courses, including completing the Multidisciplinary Highway Collision Training Course sponsored by the U.S. Department of Transportation (USDOT), National Highway Traffic Safety Administration (NHTSA), in 1978. He has also taken graduate level courses in forensic sciences. Response Exhibit “1,” Enz CV. Since 1978, Enz has worked professionally in the area of accident investigations and reconstruction. This experience has included serving on a Multidisciplinary Accident Investigation Team under a contract awarded by USDOT/NHTSA. He has also provided traffic accident investigation and analysis to various government agencies and private parties. In his present position, held since 1997, Enz has been involved in accident investigation, reconstruction and analysis in a variety of settings.

[Brief at 2].

This court agrees with plaintiffs that these experts are fully qualified to offer testimony regarding various liability issues in this case, and, for the reasons discussed above, it believes that the basic facts of this case give them [*31]  considerable factual material to work with in arguing that one or more defendants violated applicable legal standards in this case. In considering the reliability of fully qualified expert witnesses, this court is much more inclined to strike those opinions if the experts are offering opinions which seem suspect based on this court’s understanding of the facts of the case. That is not the case here. Moreover, this court would emphasize that striking a particular expert is not necessarily in order if the opposing side is able to adequately demonstrate to the jury the weaknesses of that expert’s methodologies on cross-examination. Indeed, this court can recall more than one instance in which effective cross-examination managed to turn a supposed expert for one side into a de facto expert for the opposing side. This strikes this court as an entirely normal and desirable part of the fact-finding process, and it obviously would not have occurred if the expert in question had been struck outright before trial.

In reading defendants’ Daubert motions, this court’s impression is that, at certain points, they appear to “score points” in pointing out certain weaknesses in a particular opinion offered [*32]  by plaintiffs’ experts. This is hardly surprising, however, and it does not constitute sufficient basis to strike the experts outright. As noted previously, this court believes that both sides have factual strengths and weaknesses in this case, and, that being the case, it anticipates that both sides will, in fact, be able to “score points” in cross-examining the other side’s experts. This court believes that plaintiffs have valid liability and causation arguments to make in this case, however, and it concludes that they have retained fully qualified experts who seek to offer opinions which, while hardly unimpeachable, fall well within the range of admissible expert testimony under Daubert. Defendants’ motions to strike the expert testimony of Russo, Hoffman and Enz will therefore be denied.

This court will provide a separate discussion of defendants’ motion to strike the expert testimony of plaintiffs’ economics/damages expert Bill Brister, since his proposed testimony relates to certain difficult legal issues which require extensive consideration in this order. Plaintiffs have designated Brister to provide expert testimony regarding the present net cash value of the life expectancy of Carlos [*33]  Mejia-Mendez and Marvin Noe Amaya-Mendezm, the two men who died in the subject collision. In their brief, plaintiffs note that:

Dr. Brister holds a B.S. degree in Economics, an MBA in Economics, and a Ph.D. in Finance. Dr. Brister is an Assistant Professor of Finance at Millsaps College in Jackson, Mississippi. Dr. Brister has taught at Millsaps College for over 30 years, since 1989. Prior to that, he held other teaching positions at the University of Arkansas and the University of Southern Mississippi. As a college professor, Dr. Brister has taught a variety of courses in his field, including Principles of Economics and Business Statistics. Dr. Brister is a frequent author and speaker in the field of economics, including loss valuation in legal cases and statistics. He is a member of the National Association of Forensic Economics, “an organization for the advancement and exchange of research and methods in the field of forensic economics.” Dr. Brister has also been qualified as an expert witness and testified extensively in state and federal courts.

[Brief at 1-2]

This court agrees with plaintiffs that Dr. Brister is fully qualified to offer expert testimony, and it notes that having [*34]  an economist testify regarding the present net cash value of the decedent’s life is a well-established part of a wrongful death action in this state. The difficulty faced by plaintiffs in this case relates not to Dr. Brister’s qualifications or the general nature of his testimony, but, rather, to the fact that the two decedents in this case were undocumented immigrants. This gives rise to difficult issues which plaintiffs must confront, of both a legal and factual nature. This court notes that defendants’ motion to strike Brister’s testimony is closely related to their motion for summary judgment as to plaintiffs’ claims for specific damages, and this court will consider them together.

While conceding much of defendants’ summary judgment motion on specific damages,3 plaintiffs take strong issue with the motion to strike their claims for lost wages. As to these damages, defendants argue that (1) plaintiffs’ immigration status precludes recovery for such wages as a matter of law based on U.S. Supreme Court precedent (2) plaintiffs’ factual support for such damages is insufficient since their undocumented work history left a sparse “paper trail” and (3) the plaintiffs seek to make impermissible [*35]  use of hearsay from the two decedents to establish the amount of their lost wages. [Summit’s rebuttal brief at 1]. This court believes that defendants have good faith arguments on each of these points, and it will discuss them in turn.

In arguing that plaintiffs’ immigration status precludes their recovery of lost wages, defendants rely primarily upon the U.S. Supreme Court’s decision in Hoffman Plastics Compounds, Inc. v. N.L.R.B., 535 U.S. 137, 122 S. Ct. 1275, 152 L. Ed. 2d 271 (2002). In Hoffman, the Supreme Court considered a challenge brought under the National Labor Relations Act (“NLRA”) by an undocumented immigrant who was not lawfully entitled to be present in the United States and who had used false documentation to obtain employment in violation of provisions of the Immigration Reform and Control Act of 1986 (“IRCA”). 535 U.S. at 141, 122 S. Ct. 1275. The Supreme Court held that federal immigration policy, as expressed in IRCA, precluded the NLRB from awarding backpay to the undocumented alien, despite the employer’s violation of labor laws. Id. at 149, 151, 122 S. Ct. 1275. The Court noted that the IRCA regime makes it “impossible for an undocumented alien to obtain employment in the United States without some party directly contravening explicit congressional policies” because “[e]ither the undocumented alien tenders fraudulent identification, which subverts the cornerstone [*36]  of IRCA’s enforcement mechanism, or the employer knowingly hires the undocumented alien in direct contradiction of its IRCA obligations.” Id. at 149, 122 S.Ct. 1275. To thus allow an undocumented alien to recover backpay, the Court concluded, “for years of work not performed, for wages that could not lawfully have been earned, and for a job obtained in the first instance by criminal fraud,” id., would “encourage the successful evasion of apprehension by immigration authorities, condone prior violations of the immigration laws, and encourage future violations,” id. at 151, 122 S.Ct. 1275.

The Supreme Court’s decision in Hoffman has given rise to an almost bewildering maze of interpretive precedent, in various legal contexts, and the courts deciding those issues have reached widely divergent results. This court is presently concerned with the state tort law implications of Hoffman, and, as noted by one commentator in a recent law journal article:

The battle surrounding undocumented tort plaintiffs’ ability to recover future lost wages has been fought on multiple fronts in both state and federal courts, many of which provide conflicting analyses and holdings. Some courts center their review on federal [*37]  preemption doctrine to analyze whether Hoffman and IRCA preempt state law claims by undocumented plaintiffs for future lost wages. Others focus on whether evidence of immigration status should be permitted under evidentiary rules of relevance. Even when courts agree on issues of preemption and relevancy, they diverge with respect to what standard should be used to calculate future lost wages. Some permit weighing of immigration status when the plaintiff used fraudulent documentation to obtain past employment,26 some limit awards to wage rates in a plaintiff’s country of origin, some require proof that a plaintiff is more likely than not to be deported before permitting immigration status evidence,28 and some prohibit this evidence altogether. To confuse matters further, many of these cases rely on earlier caselaw that does not sound in tort but rather, examines claims under state employment and labor laws.

Shefali Milczarek-Desai, Disentangling Immigration Policy from Tort Claims for Future Lost Wages, 16 J. Tort L. 2, 255, 257-59 (2023)(citations omitted).

A number of federal courts have concluded that, Hoffman notwithstanding, the question of whether undocumented immigrants are entitled to recover lost wages in tort actions is, in [*38]  diversity cases, a question of state law to be decided by a state’s highest court. Typical of these decisions is an Illinois district court decision which observed that:

Because state law governs substantive issues in a diversity action, Gacek v. American Airlines, Inc., 614 F.3d 298, 301 (7th Cir. 2010), it is necessary in this case to determine whether an undocumented alien may recover future lost earnings under Illinois law. The Illinois Supreme Court has not answered this question. See Fidelity Union Trust Co. v. Field, 311 U.S. 169, 177, 61 S. Ct. 176, 85 L. Ed. 109 (1940) (“The highest state court is the final authority on state law.”). In the absence of Illinois Supreme Court precedent, this court looks to decisions of the Illinois Appellate Court. See id. at 177-78, 61 S.Ct. 176; see also Arnold v. Metro. Life Ins. Co., 970 F.2d 360, 361 (7th Cir.1992).

Wielgus v. Ryobi Techs., Inc., 875 F. Supp. 2d 854, 858-59 (N.D. Ill. 2012).

As a district court located in the Fifth Circuit, this court is particularly interested in case law arising from this circuit. This court therefore regards it as significant that Texas federal courts have, like the Illinois district court, regarded this as a question of state law. Moreover, Texas federal district courts have, in multiple decisions, applied a 2003 Texas state appellate court decision which held that “Texas law does not require citizenship or the possession of immigration work authorization permits as a prerequisite to recovering [*39]  damages for lost earning capacity.” See Tyson Foods, Inc. v. Guzman, 116 S.W.3d 233, 244 (Tex. App. -Tyler 2003, no pet.). In a 2007 decision, for example, a Texas district court wrote that:

“Texas law does not require citizenship or the possession of immigration work authorization permits as a prerequisite to recovering damages for lost earning capacity.” Id.; see also Madeira v. Affordable Housing Foundation, Inc., 469 F.3d 219, 228 (2nd Cir. 2006). It is, therefore, ORDERED that the Defendants’ “Motion for to Exclude Damages for Lost Earning Capacity”, filed on September 18, 2007 is DENIED.

Del Carmen Contreras v. KV Trucking, Inc., 2007 U.S. Dist. LEXIS 70129, 2007 WL 2777518, at *1 (E.D. Tex. Sept. 21, 2007). Similarly, a Texas federal judge wrote in a 2010 decision that:

The Court finds that “Texas law does not require citizenship or the possession of immigration work authorization permits as a prerequisite to recovering damages for lost earning capacity.” See Contreras v. KV Trucking, Inc., 2007 U.S. Dist. LEXIS 70129, 2007 WL 2777518 (E.D. Tex. 2007); Tyson Foods, Inc. v. Guzman, 116 S.W.3d 233, 244 (Tex. App. -Tyler 2003, no pet.). Thus, despite evidence showing that the decedent did not have authorization to work in the United States and that he had obtained employment fraudulently by using a false social security number, the Court will allow the Plaintiffs to recover for lost earning capacity of the decedent. However, the Court finds that Defendants can offer evidence indicating the decedent’s immigration status, that he did not have a work permit, and that he used a social security number fraudulently. The Court finds that [*40]  this evidence goes to the nature and extent of any recovery for lost earnings.

Sanchez v. Commerical Transportation, Inc., 2010 U.S. Dist. LEXIS 163826, Inc., 2010 WL 11627661, at *1 (E.D. Tex. Jan. 26, 2010). See also Figueroa v. Williams, 2010 U.S. Dist. LEXIS 133729, 2010 WL 5387599, at *8 (S.D. Tex. Dec. 17, 2010)(noting Texas law on this issue as stated in Tyson).

This court notes that the Texas state appellate court decision (Tyson) relied upon by these Texas federal judges was decided in 2003, which was the year after Hoffman was decided. Indeed, the Texas appellate court expressly distinguished Hoffman from the state tort law context, writing that:

Tyson argues that the Court’s holding in Hoffman demonstrates a federal congressional policy to refrain from awarding undocumented alien workers compensation for lost earning capacity. We disagree. First, this holding only applies to an undocumented alien worker’s remedy for an employer’s violation of the NLRA and does not apply to common-law personal injury damages. Next, Texas law does not require citizenship or the possession of immigration work authorization permits as a prerequisite to recovering damages for lost earning capacity. See Wal—Mart Stores, Inc. v. Cordova, 856 S.W.2d 768, 770 n. 1 (Tex. App. El Paso 1993, writ denied).

Tyson, 116 S.W.3d at 244. The Tyson court thus noted that the Texas law which supports allowing recovery of lost wages by undocumented immigrants dates back to 1993, although Tyson strikes this court as being a more significant decision, since it re-affirmed that holding [*41]  post-Hoffman.

As far as this court is aware, the Fifth Circuit has not, in the twenty-one years since Tyson was decided, cast doubt upon that decision even though, as noted above, the holding has been applied in Texas federal district courts. While it is dangerous to read too much into a court’s silence on a particular issue, twenty-one years strikes this court as being a very lengthy period of time for Tyson to have stood without criticism from the Fifth Circuit. This is particularly true considering that there are, presumably, a large number of tort actions filed by undocumented immigrants in the state of Texas.

This court additionally observes that, in Hernandez v. M/V Rajaan, 848 F.2d 498 (5th Cir. 1988), the Fifth Circuit rejected an employer’s argument that an injured illegal alien longshoreman should be deemed ineligible to recover lost future United States wages because he was not entitled to be present and employed in the United States for the remainder of his life. Id. at 500. Hernandez was a personal injury case brought pursuant to section 905(b) of the Longshore and Harbor Worker’s Compensation Act, not a state court action, and it preceded the U.S. Supreme Court’s decision in Hoffman. It is, therefore, difficult to say exactly how much precedential weight Hernandez should carry today, but at least one district judge in the Fifth Circuit [*42]  has concluded that it carries heavy precedential weight even after Hoffman.

In Minerva Avalos v. Atlas World Grp., Inc., 2005 WL 6736327, at *3 (S.D. Miss. Apr. 4, 2005), U.S. District Judge Lance Africk emphasized that, while Hernandez was decided before Hoffman, the Fifth Circuit in Hernandez had reached its holding largely by distinguishing the U.S. Supreme Court’s decision in decision in Sure—Tan, Inc. v. N.L.R.B., 467 U.S. 883, 104 S. Ct. 2803, 81 L. Ed. 2d 732 (1984).4 Judge Africk noted that Sure-Tan constituted a major precedential basis for Hoffman and that, since the Fifth Circuit had distinguished Sure-Tan in Hernandez, the rationale for the Fifth Circuit’s holding in Hernandez survived Hoffman.

Specifically, Judge Africk wrote in Minerva that:

Distinguishing the Supreme Court’s decision in Sure—Tan, the Fifth Circuit noted that “[a]s a private citizen, [plaintiff’s] relationship to [defendant] is not the same as the plaintiffs’ relationship with their employer in Sure—Tan, in which a back-pay remedy applied by the National Labor Relations Board was found to implicate labor policy considerations.” Id. Instead, the Fifth Circuit held that it was not error to grant damages based upon an injured plaintiff’s employment status at the time of injury and for a lengthy period preceding such injury. Id. The Fifth Circuit stated that once an injured illegal alien established future damages based upon United States wages, the [*43]  burden shifted to the defendant to establish that the use of such wages was “factually improper and, if so, what a proper measure of damages should be.” Id. The Fifth Circuit concluded that because there was no proof that the plaintiff was about to be deported or would surely be deported, it was not error to calculate future lost wages on an illegal alien’s past earnings stream.

Minerva, 2005 WL 6736327, at *3. Judge Africk thus concluded that Hernandez supported a conclusion that the plaintiff’s immigration status should not, per se, bar him from recovering lost wages in the tort action before him. Id. Minerva plainly constitutes additional persuasive authority for plaintiffs on this issue, even though Judge Africk ultimately barred the recovery of lost wage damages in that case based upon certain case-specific weaknesses in the expert testimony offered by the plaintiff.5

While there is thus a considerable amount of helpful Fifth Circuit authority for plaintiffs on this issue, defendant emphasizes that there is one Mississippi district court decision which supports its position in this case. In a 2010 decision, Judge Guirola barred the claims of undocumented plaintiffs based both upon his reading of Hoffman Plastic and based also upon [*44]  what he found to be factual weaknesses in the plaintiffs’ proof of lost wages. Garcia-Lopez v. Bellsouth Telecommunications, Inc., 2010 U.S. Dist. LEXIS 44741, 2010 WL 1873042, at *7 (S.D. Miss. May 7, 2010). Specifically, Judge Guirola wrote that:

All of the plaintiffs testified at their depositions that they live in either Texas or Louisiana. None of the plaintiffs have expressed any intention to return to their native countries or produced any evidence to support their lost wages and loss of earning capacity claims. For example, Garcia and Sorto claim that they are entitled to $500 a week in lost wages for the next twenty years. They have never filed tax returns, were paid cash for all previous work, and claim that they do not remember the name of their past employers. Uresti claims that he is entitled to approximately $40,000 in lost wages, but he has never filed a tax return and states that he was paid cash.

The Court finds that the plaintiffs’ lost wages and loss of earning capacity claims are barred by IRCA and Hoffman Plastic, because any work performed by the plaintiffs in the United States would be illegal. The Court further finds that any claim for lost wages or earning capacity whether pertaining to the United States or the plaintiffs’ native countries would be entirely speculative. See Potts v. Miss. Dep’t of Transp., 3 So.3d 810, 814 (¶ 11) (Miss. Ct. App. 2009) (holding that proof of lost [*45]  or diminished earning capacity must be established by substantial evidence and cannot be left to mere conjecture).

Garcia-Lopez, 2010 U.S. Dist. LEXIS 44741, 2010 WL 1873042, at *7.

This court notes that, at no point in his decision in Garcia-Lopez did Judge Guirola indicate that Mississippi state appellate courts have taken a position either way on this issue, and this court is unaware of any Mississippi appellate court decisions on this issue either. Judge Guirola did appear to disagree with the four decisions cited above which concluded that Hoffman does not, based on its own precedential weight, support barring lost wage claims by undocumented immigrants in state tort claims. This court believes that this disagreement reflects the fact noted in Milczarek-Desai’s law review article quoted above, namely that this is a close and difficult issue regarding which reasonable judges have differed and will continue to do so.

While this court will reserve a final ruling on this issue until the directed verdict and/or jury instruction phase of trial, its present inclination is to agree with the courts which have concluded that the ability of undocumented immigrants to recover damages for lost wages in tort action is a question of state law whose result is not dictated, [*46]  either way, by Hoffman or any other federal precedent. In expressing this inclination, this court is heavily influenced by the collective weight of the state and federal authority discussed above, and it finds the analyses offered in those opinions to be persuasive. Moreover, since no Mississippi appellate courts appear to have weighed in on this issue either way, this court believes that the operating assumption, in the absence of any indication to the contrary, should be that the Mississippi legal standards for the recovery of lost wages should apply equally to all plaintiffs, regardless of their immigration status.

In so stating, this court notes that tort law has its own logic and policy goals which it seeks to advance, which include encouraging individuals to exercise due care in their actions which affect others, lest they be held financially responsible when they fail to do so. That being the case, it is unclear to this court what tort policy goals would be advanced by letting it be known that it is “cheaper” to negligently injure or kill an undocumented immigrant than a United States citizen, since compensation for lost wages will not have to be paid in the former case. While this [*47]  court believes that these policy considerations apply in all tort cases, it submits that they weigh particularly heavy in wrongful death cases such as this one. In such cases, a human life has been taken and, in most cases, surviving relatives have seen their financial support greatly reduced or eliminated. In many cases, these relatives will include young children who played no role in the decision to illegally enter this country or who stayed in their home countries yet depended financially upon their parent working in the United States. In this sense, preventing the recovery of loss of earnings damages by surviving relatives in wrongful death cases strikes this court as being one of the worst potential policy means to encourage compliance with national immigration laws, since it would disproportionately impact innocent and vulnerable individuals.

This court further believes that, if one were to assume that this is an issue which requires an Erie-guess regarding how the Mississippi Supreme Court would decide this issue, then it tends to suspect that that Court would follow the lead of Texas appellate courts and conclude that undocumented immigrants should be allowed to recover lost [*48]  wages in tort actions. In so stating, this court notes that, while conservative views regarding illegal immigration prevail among many citizens in this state, this is most certainly the case with Texas as well. Texas appellate courts have nevertheless concluded since 1993, and re-affirmed shortly after Hoffman, that national immigration policy issues should be kept separate and distinct from tort damages issues. Once again, Texas federal district courts have followed this approach as well, and this court believes that, considering Texas’ very extensive experience in dealing with issues relating to undocumented immigrants, the Mississippi Supreme Court would likely defer to its approach in this regard. To reiterate, the Fifth Circuit has not (to this court’s knowledge) cast doubt upon this approach, to the contrary, it itself allowed undocumented immigrants to recover lost wages in a distinct but arguably related context in Hernandez. These considerations make this court even more inclined to follow the Texas approach in this case, and, accordingly, it is disinclined to bar plaintiffs from pursuing their claims for lost wages at trial, based solely on Hoffman. This court is open to additional authorities [*49]  and arguments on this issue, however, and the parties may submit such in a trial brief, if they wish to do so.

Having expressed its inclination regarding the legal issues arising from Hoffman, this court will now address defendants’ argument that plaintiffs are unable to offer sufficiently reliable and admissible evidence to support their claim for lost wages. In considering these arguments, this court agrees with defendants that plaintiffs’ status as undocumented immigrants working “off the books” has, as with many similar plaintiffs nationwide, left them with serious weaknesses in the proof of lost wages which they are able to offer. Defendants argue that this is particularly true in the case of the two deceased plaintiffs, who are not able to take the stand at trial and testify regarding their lost wages and must instead rely upon statements from surviving relatives which, defendants contend, are inadmissible hearsay. Plaintiffs note, however, that Federal Rule of Evidence 703 makes it clear that evidence need not necessarily be admissible at trial for an expert to rely upon it in forming his opinions. Specifically, Rule 703 provides that:

An expert may base an opinion on facts or data in the case that the expert has been [*50]  made aware of or personally observed. If experts in the particular field would reasonably rely on those kinds of facts or data in forming an opinion on the subject, they need not be admissible for the opinion to be admitted. But if the facts or data would otherwise be inadmissible, the proponent of the opinion may disclose them to the jury only if their probative value in helping the jury evaluate the opinion substantially outweighs their prejudicial effect.

Id.

It appears to this court that both sides have reasonable arguments to make on this issue, and, since the crucial factor in this context appears to be the reliability and probative value of plaintiffs’ proof of lost wages, it intends to hold a special hearing at trial, outside of the presence of the jury, where both sides can preview the proof they wish to present on this issue so that its reliability may be assessed. While it is not clear to this court whether plaintiffs will be able to support their claims for lost wages with sufficiently reliable evidence at trial, it believes that, in cases where a close call is presented, judicial economy considerations tend to support allowing plaintiffs to present their best proof on an [*51]  issue at trial, subject to this court potentially disallowing any recovery for lost wages at the directed verdict, jury instruction or JNOV stage of trial.

In so stating, this court emphasizes that there is no irrevocable harm which can occur by allowing plaintiffs to make their best efforts to establish their claim for lost wages at trial, since it can always decide after the fact that they have presented insufficient proof to allow this element of damages to go to the jury or to allow a jury verdict to stand. Indeed, it arguably makes the most sense to decide particularly close issues at the JNOV stage of trial, since this gives the Fifth Circuit jury findings to work with, which it can either affirm or vacate on appeal. Without such jury findings, the Fifth Circuit’s only option, if it concludes that this court erred in taking the issue from the jury, is to remand for a new trial on damages. This court therefore believes that judicial economy considerations support erring on the side of allowing jurors who have given their time and effort listening to the evidence at trial to make too many, rather than too few, findings of fact. Judicial economy considerations aside, this court notes [*52]  that the unsettled legal issues arising from Hoffman are some of the thorniest ones which it has encountered, and it arguably makes sense to “tee these issues up” for the Fifth Circuit to make whatever ruling it sees fit. This court is inclined to think that the best way to do this is to at least allow jurors to make fact findings regarding lost wages if their proof at trial supports this court of action.

It strikes this court that plaintiffs’ fundamental difficulty in proving their loss of earnings damages arise not from a lack of diligence on their part during discovery, but, rather, the basic facts that 1) they, or their decedents, were working “off the books” as undocumented immigrants in this country and 2) two of the plaintiffs’ decedents died in the accident at issue in this case and are accordingly unavailable to testify regarding their work experiences. While these facts do not authorize this court to overlook the rules of evidence, and it will not do so in this case, it does believe that they support taking a “wait and see” approach regarding whether plaintiffs will be able to offer admissible evidence at trial which is sufficient to establish triable jury issues regarding their [*53]  loss of earnings damages.

This court believes that, while FRE 703 does allow experts to rely upon hearsay evidence in certain circumstances, it would be to plaintiffs’ advantage to offer whatever non-hearsay evidence they can to support their claim for lost wages. For example, this court believes that testimony that a witness personally observed one or both decedents doing construction work would be of at least some value in establishing the nature of the work they did in this country. It further seems possible that plaintiffs will be able to use Brister’s expert testimony to try to establish what an undocumented worker would be able to earn working in construction over the decedents’ remaining life expectancy. Defendants argue that such proof would be insufficient to establish triable jury issues regarding loss wages, but this court is inclined to reserve judgment on this issue and rule upon it after the presentation of evidence at trial, including Brister’s testimony.

In noting its inclination in this regard, this court observes that defendants’ own favored approach is for it to essentially instruct the jurors to offer no recovery at all for the present net cash value of decedents’ work life [*54]  experience. This strikes this court as a highly questionable result in its own right, since, if plaintiffs are able to establish, through admissible evidence at trial, that the decedents were working in a certain capacity in this country, then the notion that they would have earned nothing at all during their lives would clearly represent an incorrect calculation of damages. This court further observes that there is a large amount of guesswork inherent in predicting what most decedents would earn during their life expectancy, since one is dealing with future events which are, by their very nature, difficult to predict in most cases. In this vein, this court notes that the decedents in this case were not GS-salaried government workers who could be assured that they would get predictable step increases over the course of their careers. They were, to the contrary, undocumented workers, and it seems clear that the future earning potential of such workers would depend upon a number of factors which are very difficult to predict. This does not necessarily mean, however, that this court should simply throw up its hands and despair of making any fact-findings on this issue.

In so stating, this [*55]  court emphasizes that there are two things which it does know with certainty, namely 1) that the decedents were not working for free in any jobs they may have performed and that, as a result 2) the present net cash value of their lives has at least some value. That being the case, it is unclear to this court why it should favor the zero valuation of the net cash value of the decedents’ lives urged by defendants, when it knows this valuation to be incorrect, when it could instead submit the best available evidence to jurors so that they may exercise their best judgment in this regard. Having said that, this court does agree that there are limits to the leniency which it may demonstrate to plaintiffs in offering proof in this regard, and it will attempt to ascertain at the hearing just how weak or strong their evidence on this issue is. With this caveat, defendants’ summary judgment motion seeking to prevent plaintiffs from offering evidence on this issue at trial, and their associated motion to strike Brister’s expert testimony, will be denied at this juncture.

The final motion for consideration is defendants’ motion for summary judgment as to plaintiffs’ claim for punitive damages, [*56]  which this court finds to be well taken. In so stating, this court notes that, while it believes that plaintiffs have potentially strong arguments that the presence of the mobile home along the side of the highway was the result of negligence and/or a product defect attributable to one or more defendants, it does not believe that any of defendants’ alleged conduct was of a sufficiently reprehensible nature to warrant the imposition of punitive damages. In arguing otherwise, plaintiffs point to Burns’ decision not to pull his truck over as far as he would have otherwise done, based on concerns that his truck would get stuck in the mud. While this court believes that this decision was quite arguably negligent, it simply does not regard it as sufficiently reckless or outrageous to warrant an imposition of punitive damages. Having said that, this court notes that Miss. Code Ann. § 11-1-65(1)(c) provides that:

(c) If, but only if, an award of compensatory damages has been made against a party, the court shall promptly commence an evidentiary hearing to determine whether punitive damages may be considered by the same trier of fact.

Id. This “shall” language arguably makes a punitive damages hearing mandatory in cases where [*57]  a jury awards compensatory damages, see Bradfield v. Schwartz, 936 So. 2d 931, 939 (Miss. 2006) and this court may have no choice but to conduct such a hearing if plaintiffs request one after obtaining a jury verdict on compensatory damages. With this caveat, this court does not regard the facts of this case as supporting punitive damages, and defendants’ motion for partial summary judgment on punitive damages will therefore be granted.

In light of the foregoing, it is ordered that defendants’ motions for summary judgment as to liability [176-1, 189-1] are denied; defendants’ motion for summary judgment as to specific damages [180-1] is granted in part and denied in part; defendants’ motion for summary judgment as to punitive damages [178-1] is granted; defendants’ motions to strike plaintiffs’ experts [182-1, 184-1, 192-1, 194-1] are denied. Plaintiffs concede that they lack viable claims against defendant Hamilton Home Builders, LLC, and it is therefore dismissed from this action.

This, the 28th day of May, 2024.

/s/ Michael P. Mills

UNITED STATES DISTRICT JUDGE

NORTHERN DISTRICT OF MISSISSIPPI


End of Document


This court reiterates that Jose is not a plaintiff in this lawsuit, and he is therefore not, strictly speaking, on plaintiffs’ “side.” Nevertheless, plaintiffs clearly have an interest in de-emphasizing Jose’s alleged wrongdoing and emphasizing defendants’ alleged wrongdoing, thus rendering them effectively aligned with Jose in this case.

It seems possible that defendants might be able to avoid calling the hospital employee by establishing that the notation constitutes a business record under FRE 803(6). However, this would still leave Jose’s alleged statement as hearsay, for which defendants would presumably need to find some applicable hearsay exception.

In responding to that motion, plaintiffs concede that their claims for future medical expenses, conscious pain and suffering, and funeral expenses should be dismissed, [brief at 1]. and summary judgment will accordingly be granted as to these elements of damages.

This court notes that Minerva was a Southern District of Mississippi decision, even though Judge Africk normally serves as a Louisiana district court judge. It is unclear to this court what circumstances led this to occur.

Specifically, Judge Africk found that the plaintiff’s expert had improperly calculated his lost wages based on the assumption that he would work in the United States until age sixty-six, even though the decedent had expressed an intent to return to Mexico in two years. Id. at *4.

Rodriguez v. Vaniperen

United States District Court for the District of South Dakota, Southern Division

June 4, 2024, Decided; June 4, 2024, Filed

4:23-CV-04006-KES

Reporter

2024 U.S. Dist. LEXIS 101901 *; 2024 WL 2831837

MATTHEW RODRIGUEZ, Individually and as Special Administrator of the Estate of Kelley Rodriguez Estate of Kelley Rodriguez, Plaintiff, vs. JAMES VANIPEREN and HARMS OIL COMPANY, Defendants.

Core Terms

punitive damages, damages, defendants’, survival, contributory negligence, summary judgment, reasonable jury, disputing, fuel, certification, wrongful death claim, cause of action, wrongful death statute, driving, assume a risk, authorizes, hit, interstate, driver, truck, crash, summary judgment motion, assumption of risk, pecuniary damage, genuine dispute, decisions, certify, trailer, shoulder, reasons

Counsel:  [*1] For Matthew Rodriguez, Individually and as Special Administrator of the Estate of Kelley Rodriguez, Estate Of, Kelley Rodriguez, Plaintiff: Michael D. Bornitz, LEAD ATTORNEY, Abigale Farley, Kimberly R. Wassink, Cutler Law Firm, LLP, Sioux Falls, SD.

For James Vaniperen, Harms Oil Company, Defendants: Cesar A. Juarez, LEAD ATTORNEY, Lynn, Jackson, Shultz & Lebrun, P.C., Sioux Falls, SD; Robert L. Barlow, PRO HAC VICE, Garnett Powell Maximon Barlow, Denver, CO.

Judges: KAREN E. SCHREIER, UNITED STATES DISTRICT JUDGE.

Opinion by: KAREN E. SCHREIER

Opinion

ORDER GRANTING IN PART AND DENYING IN PART PLAINTIFF’S PARTIAL MOTION FOR SUMMARY JUDGMENT; GRANTING IN PART AND DENYING IN PART DEFENDANTS’ MOTION FOR SUMMARY JUDGMENT; DENYING DEFENDANTS’ MOTION TO STRIKE; DENYING PLAINTIFF’S REQUEST TO CERTIFY; GRANTING IN PART AND DENYING IN PART PLAINTIFF’S JUDICIAL NOTICE REQUEST; DENYING DEFENDANTS’ MOTION FOR HEARING; DENYING PLAINTIFF’S MOTION TO SUPPLEMENT EVIDENTIARY RECORD

This case centers around a tragic vehicle collision near Brookings, South Dakota. See Docket 48 ¶¶ 1, 12. Defendant, James VanIperen,1 an employee of defendant, Harms Oil Co., drove a truck, crashed into Kelley Rodriguez’s car parked in the right-hand lane [*2]  of I-29, and ultimately killed Kelley. Docket 61 ¶¶ 15, 17 (not disputing that VanIperen collided into Kelley’s vehicle), 21; Docket 41-3 (showing Kelley’s car in right-hand lane). Plaintiff, Matthew Rodriguez, individually and as special administrator of the Estate of Kelley Rodriguez, sued VanIperen and Harms Oil, bringing survival and wrongful death claims. See Docket 6.2

Defendants move for summary judgment, arguing plaintiff is barred from recovery because Kelley was contributorily negligent and assumed the risk. See Docket 38; Docket 39 at 4-17. In the alternative, defendants move for summary judgment on plaintiff’s survival claim (on different grounds) and for partial summary judgment on plaintiff’s request for punitive damages with respect to plaintiff’s wrongful death claim. See Docket 39 at 17-22. Defendants also move to strike various filings by plaintiff. See Docket 67. Additionally, defendants move for oral argument on the various issues in the case. Docket 62.3

Plaintiff opposes defendants’ motion for summary judgment, and cross motions for partial summary judgment on the issue of defendants’ affirmative defenses.4 Docket 46; Docket 47. Plaintiff also opposes [*3]  defendants’ motion to strike its filings, moves the court to take judicial notice of various documents, and moves the court to certify the issue of whether punitive damages are available in wrongful death claims to the South Dakota Supreme Court. See Docket 55; Docket 57; Docket 71. Defendants object to some, but not all, of plaintiff’s request to take judicial notice of certain documents and opposes certification of the punitive damages issue to the South Dakota Supreme Court. See Docket 65; Docket 66. Finally, plaintiff also moves to supplement the evidentiary record pursuant to Rule 56(d)(3) in support of plaintiff’s opposition to defendants’ pending motion for summary judgment. Docket 79.5

After carefully considering the parties’ submissions and arguments, the court finds oral argument unnecessary and thus denies defendants’ request for oral argument. The court issues the following order:


FACTS6

The undisputed facts are:

On November 15, 2022, Kelley Rodriguez rented a 2020 Chevy Equinox and began a trip from Lincoln, Nebraska to Fargo, North Dakota. Docket 61 ¶ 2 (not disputing that Kelley was headed towards Fargo, North Dakota). The Equinox’s fuel tank was [*4]  empty, so Kelley filled it with 13.831 gallons of fuel at a gas station near Gretna, Nebraska. Id. ¶ 3. On her way to Fargo, Kelley stopped somewhere (the parties disagree where specifically) to spend the night. Id. ¶ 4 (outlining disagreement but not disputing Kelley stopped somewhere).

The next day, on November 16, 2022, Kelley headed north on I-29, and drove toward Brookings, South Dakota. See Docket 48 ¶ 1. Kelley’s car stopped working (for reasons the parties dispute). See Docket 61 ¶ 7 (not disputing Kelley’s car was stationary in the right northbound lane of I-29 but disputing whether the Equinox ran out of gas or just stalled). Kelley’s car was in the right northbound lane of I-29 and was not on the safety shoulder. See Docket 48 ¶ 5 (disputing only the relevance and reasons for being in the lane rather than the shoulder). The Equinox’s tires, however, were pointed towards the safety shoulder, and Kelley activated the Equinox’s hazard lights. See Docket 41-3 (dash camera footage); see also Docket 41-1 (sound of hazards in background and Kelley saying she has her hazards on); Docket 41-2 (sound of hazards).

Kelley remained in her car and called AAA. See Docket 41-1 (first AAA [*5]  call); Docket 41-2 (second AAA call). The first AAA agent Kelley spoke to asked Kelley, “Are you in a safe location?” to which Kelley replied, “Um, I’m not really sure if I’m in a safe location. I’m just like . . . I’m on the interstate, like in the first lane. I couldn’t . . . I’m driving a rental car and it told me that I had backup fuel but like apparently I didn’t and the car just like stopped.” Docket 41-1. A moment later, the same AAA agent asked, “Are you in such a situation that you may need to call the police, because of the traffic?” Id. Kelley responded, “I mean I don’t think so, I have my hazards lights on . . . But the heats off in the car and I only have like on a short sleeved shirt because I’m going to a business meeting, so . . . I didn’t plan on spending any time out of the car, ya know?” Id. The AAA agent replied, “Okay. Just want to make sure if you are in a dangerous situation, think about if you need to call the police or not so they can help you out.” Id. Kelley said, “Okay.” Id. The agent then transferred Kelley to a different AAA associate. Id.

After the transfer, the second AAA representative asked, “Are you in a safe location?” Docket 41-2. Kelley stated, [*6]  “I am . . . like I’m kinda in a safe location, I’m in the right lane of I-29 Interstate and I just need somebody to come here quickly so I can . . . so I can get gas in my car and not like freeze.” Id. Kelley also stated:

I’m in a rental car, and it told me that I had like this thing called fuel reserve . . . [i]t said that my fuel was low, but then it said I had like 20 miles of fuel for reserves so I was like alright well I’m a mile from a gas station I should be fine, but then the car just stopped.

Id. Shortly afterwards, there is a faint crash noise. Id. The AAA agent then asked, “And you say you need gas? You want us to come bring you gas? Hello? Hello? Hello? Hello? Hello?” Id.

Kelley did not call 911 at any point. Docket 48 ¶ 8 (only disputing the relevance of such fact). But another individual did: before the collision, a 911 caller reported seeing Kelley’s car in the middle of the lane and that “somebody almost hit them.” Docket 50-2. The caller further explained that “when people are going this fast on the interstate and it’s a white car, you don’t notice that they’re stopped completely[.]” Id.

Kelley also did not attempt to leave her car at any point. Docket 48 ¶ 6 (not disputing [*7]  that Kelley remained in the car but disputing this fact’s relevance). The temperature outside was 18 degrees Fahrenheit. Docket 41-4 at 3. The record contains ambiguities over whether there was a coat inside of Kelley’s car for her to wear. Compare Docket 41-1 (showing Kelley’s statement to AAA representative that “the heat’s off in the car and I only have like on a short sleeve shirt because I’m going to a business meeting so . . . um . . . I didn’t plan on spending anytime like out of the car, you know?”); with, Docket 51 ¶ 8 (Kelley’s husband’s affidavit stating that when he retrieved Kelley’s personal items from the car, he received Kelley’s winter coat).

That same day, VanIperen was driving a 2020 semi-truck loaded with fuel, traveling north on I-29 near Brookings, South Dakota. Docket 61 ¶ 15. VanIperen was an employee of Harms Oil Company. Id. While driving in the right hand lane, VanIperen crossed over the fog line into the right shoulder multiple times. See Docket 41-3; see also Docket 61 ¶ 16 (only disputing relevance). The weather outside was clear and the visibility was about 9.9 miles. Docket 41-4 at 3.

Minutes after weaving twice over the fog line, VanIperen crashed into [*8]  Kelley’s vehicle. Id. VanIperen’s truck destroyed the rear half of the Equinox and killed Kelley. Docket 61 ¶¶ 20-21; see also Docket 50-3. Kelley’s death certificate lists Kelley’s interval of death as “instant.” Docket 41-7 at 2.

At the time VanIperen ran into Kelley, there was nothing on the road blocking his view of the Equinox. See Docket 41-3. Additionally, VanIperen did not attempt to stop or swerve the truck at any point. Id. Leading up to the crash, VanIperen was on his phone using Tik Tok and making online purchases. See Docket 61 ¶ 23 (disputing only the relevance). At the time of the collision, VanIperen had an application open on his phone called “Balls Crush — Bricks Breaker.” Id. (only disputing the relevance).


STANDARD

Summary judgment is appropriate if “the movant shows that there is no genuine dispute as to any material fact and the movant is entitled to judgment as a matter of law.” Fed. R. Civ. P. 56(a). The moving party can meet this burden by presenting evidence that there is no genuine dispute of material fact or that the nonmoving party has not presented evidence to support an element of its case on which it bears the ultimate burden of proof. Celotex Corp. v. Catrett, 477 U.S. 317, 322-23, 106 S. Ct. 2548, 91 L. Ed. 2d 265 (1986). The moving party must inform the court [*9]  of the basis for its motion and identify the portions of the record that show there is no genuine issue in dispute. Hartnagel v. Norman, 953 F.2d 394, 395 (8th Cir. 1992) (citation omitted).

To avoid summary judgment, “[t]he nonmoving party may not ‘rest on mere allegations or denials, but must demonstrate on the record the existence of specific facts which create a genuine issue for trial.'” Mosley v. City of Northwoods, 415 F.3d 908, 910 (8th Cir. 2005) (quoting Krenik v. Cnty. of Le Sueur, 47 F.3d 953, 957 (8th Cir. 1995)). Summary judgment “must be denied if on the record then before it the court determines that there will be sufficient evidence for a jury to return a verdict in favor of the nonmoving party.” Krenik 47 F.3d at 957. It is precluded if there is a genuine dispute of fact that could affect the outcome of the case. Anderson v. Liberty Lobby, Inc., 477 U.S. 242, 247-48, 106 S. Ct. 2505, 91 L. Ed. 2d 202 (1986).

Generally, when considering a motion for summary judgment the court views the facts and the inferences drawn from such facts “in the light most favorable to the party opposing the motion.” Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475 U.S. 574, 587-88, 106 S. Ct. 1348, 89 L. Ed. 2d 538 (1986) (quoting United States v. Diebold, Inc., 369 U.S. 654, 655, 82 S. Ct. 993, 8 L. Ed. 2d 176 (1962)). In cases involving cross motions for summary judgment, however, the standard summary judgment principles apply with equal force, though the approach is slightly modified. See Woodstone Ltd. P’ship v. City of Saint Paul, 674 F. Supp. 3d 5712023 WL 3586077, at *5 (D. Minn. 2023). “[T]he court views the record in the light most favorable to plaintiff when considering defendant’s motion, and the court views the record in the light most favorable to defendant [*10]  when considering plaintiff’s motion.” Thompson-Harbach v. USAA Fed. Sav. Bank, 359 F. Supp. 3d 606, 614 (N.D. Iowa 2019).


APPLICABLE LAW

Federal courts sitting in diversity apply the substantive law of the forum state. See Chew v. Am. Greetings Corp., 754 F.3d 632, 635 (8th Cir. 2014). In doing so, federal courts must follow the decisions of the state’s supreme court interpreting the forum’s law. See C.S. McCrossan Inc. v. Fed. Ins. Co., 932 F.3d 1142, 1145 (8th Cir. 2019). If a state’s supreme court has not directly spoken on an issue, the court must predict how the state’s supreme court would decide such issue. GEICO Cas. Co. v. Isaacson, 932 F.3d 721, 725-26 (8th Cir. 2019). In making this prediction, the court relies on “relevant precedent, analogous decisions, considered dicta, and any other reliable data.” Thompson v. Harrie, 59 F.4th 923, 926 (8th Cir. 2023). Here, the court is sitting in diversity and thus South Dakota substantive law applies. See Docket 6.


DISCUSSION

This discussion section consists of three broad sub-sections. First, the court addresses plaintiff’s and defendants’ cross-motions for summary judgment on the issue of whether Kelley was contributorily negligent. Docket 39 at 4-14; Docket 47 at 12-17. Second, the court addresses plaintiff’s and defendants’ cross-motions for summary judgment on the issue of whether Kelley assumed the risk. Docket 39 at 14-17; Docket 47 at 5-11. And third, the court addresses defendants’ motion for summary judgment on plaintiff’s survival claim, defendants’ motion [*11]  for summary judgment on the availability of punitive damages under plaintiff’s wrongful death claim, plaintiff’s request to take judicial notice of various documents, and plaintiff’s request for the court to certify the punitive damages issue to the South Dakota Supreme Court. See Docket 39 at 17-21; Docket 47 at 17-30; Docket 55; Docket 57. The court addresses defendants’ motion to strike throughout the order, as the relevant portions naturally arise during the court’s discussion of the issues. Docket 67.


I. Contributory Negligence

“When an action sounds in negligence,7 contributory negligence is available to temper the defendant’s liability.” Thompson v. Mehlhaff, 2005 SD 69, 698 N.W.2d 512, 524 (S.D. 2005). “Contributory negligence is negligence on the part of a [decedent] which, when combined with the negligence of a defendant, contributes as a legal cause in the bringing about of the injury to the [decedent].” Klutman v. Sioux Falls Storm, 2009 SD 55, 769 N.W.2d 440, 450 (S.D. 2009) (quoting Steffen v. Schwan’s Sales Enters., Inc., 2006 SD 41, 713 N.W.2d 614, 619 (S.D. 2006)). “The fact that the [decedent] may have been guilty of contributory negligence does not bar a recovery when the contributory negligence of the [decedent] was slight in comparison with the negligence of the defendant . . . .” SDCL § 20-9-2. But if a decedent’s negligence is more than slight compared to defendants’ negligence, the plaintiff [*12]  is barred from recovery. See Johnson v. Armfield, 2003 SD 134, 672 N.W.2d 478, 481 (S.D. 2003). If the record contains evidence to support the issues, questions of negligence and contributory negligence are for the jury in all but the rarest of cases. Jensen v. Menard, 2018 SD 11, 907 N.W.2d 816, 820 (S.D. 2018); see also Johnson v. Matthew J. Batchelder Co., Inc., 2010 SD 23, 779 N.W.2d 690, 693-94 (S.D. 2010) (explaining that questions regarding negligence and contributory negligence are generally questions for the jury and that it is “rare[]” for such questions to be purely legal ones).

“The question of a [decedent]’s contributory negligence is a two-step inquiry.” Westover v. East River Elec. Power Co-op., Inc., 488 N.W.2d 892, 897 (S.D. 1992). First, the factfinder must decide whether the decedent and defendant were negligent. See id. Second, assuming both were, the factfinder must compare the decedent’s and defendant’s negligence. See id. Where a decedent’s negligence is more than slight compared to the defendant’s negligence, the plaintiff may not recover so long as the decedent’s negligence is the proximate cause of the injury. See Johnson, 672 N.W.2d at 481.


A. Whether Kelley was Negligent

Plaintiff argues that contributory negligence is inapplicable here because no reasonable jury could find that Kelley was negligent at all. See Docket 47 at 13-17. In support, plaintiff relies on Steffen, where the South Dakota Supreme Court held that the trial judge erred in instructing the jury on contributory [*13]  negligence because the plaintiff was lawfully stopped on the road at the time a driver rear-ended plaintiff. See 713 N.W.2d at 620-21. In Steffen, the plaintiff, Steffen, drove on a road without shoulders when an emergency vehicle came towards her with its lights and sirens on. See id. at 616. As required under South Dakota law, Steffen pulled over and waited for the emergency vehicle to pass. See id. The driver of a delivery truck, Koch, was headed the same direction as Steffen. See id. According to Steffen, Koch was not looking forward, but rather to the left. See id. Steffen could not move because there were two parked cars in front of her. See id. at 618. Koch tried to stop when he noticed Steffen, but could not and rear-ended Steffen. See id. At trial, the defendant (Koch’s employer) asked for a contributory negligence instruction, and the trial court gave one over Steffen’s objection. See id. at 617.

The South Dakota Supreme Court reversed, holding the trial court erred in giving a contributory negligence instruction. Id. at 621. As is relevant here, the Court noted that Steffen was lawfully stopped in the road due to the emergency vehicles that had driven past her moments before. See id. at 620-21. Even though Steffen had started to move her vehicle after [*14]  the emergency vehicles had passed, the Court observed that “drivers should not be held contributorily negligent merely because they fail to resume travel fast enough to avoid being rear-ended.” Id. at 620. Because Steffen was lawfully stopped and defendant did not challenge her testimony that she could not move because of the two stationary vehicles in front of her, the Court found defendant failed to meet its burden to justify the giving of a contributory negligence instruction. See id. The Court also observed that contributory negligence “should be limited to instances where the rear ended driver stopped both unexpectedly and unwarrantedly.” Id. at 620 n.3 (emphasis omitted).

Analogizing Kelley’s situation to that of Steffen’s, plaintiff argues the court must grant summary judgment on finding contributory negligence inapplicable here because “Kelley did not stop both abruptly and unwarrantedly,” as required under Steffen. See Docket 47 at 13-14. The court disagrees. Unlike in Steffen, where the evidence showed that Steffen justifiably stopped in the middle of the lane (because of the emergency vehicle, the presence of two stationary vehicles in front of her, and the fact that there was no shoulder on the road), [*15]  here, the parties have submitted a genuine dispute on whether Kelley justifiably stopped without pulling over to the shoulder of the interstate.

Viewed in the light most favorable to defendants, the record shows that Kelley failed to fuel up with enough gas and failed to pull over to the side of the road. For example, during Kelley’s phone calls with AAA, Kelley explained “I’m driving a rental car, it told me I had backup fuel but like apparently I didn’t and the car just like stopped.” Docket 41-1. Kelley also stated,

I’m in a rental car, and it told me that I had like this thing called fuel reserve . . . [i]t said that my fuel was low, but then it said I had like 20 miles of fuel for reserves so I was like alright well I’m a mile from a gas station I should be fine, but then the car just stopped.

Docket 41-2. Furthermore, Kelley stated, “I’m in the right lane of I-29 interstate and I just need somebody to come here quickly so I can get gas in my car and not like freeze.” Id. 8 Based on Kelley’s repeated, real-time statements indicating that her fuel was low and that she believed she ran out of fuel, a jury could reasonably find that Kelley negligently failed to properly fuel her car [*16]  and that this failure caused her car to stop.

Even if the Equinox stopped working for reasons unrelated to running out of gas, a reasonable jury could find that Kelley was negligent for not pulling over to the shoulder of the road. It is undisputed that Kelley was driving on an interstate with a speed limit of 80 miles per hour. See Docket 41-4; Docket 48 ¶ 1. A reasonable jury could conclude that once Kelley’s engine stopped (regardless of the reason), her car’s momentum would not cause it to stop immediately. With the car still in motion, a reasonable jury could find that Kelley was negligent for not pulling over to the shoulder of the road as the car came to a gradual stop.

In short, because a reasonable jury could find Kelley either failed to properly fuel her car, failed to pull over to the shoulder of the road, or both, a jury could reasonably find that the position Kelley found herself in was unwarranted. For this reason, Kelley’s situation differs from Steffen, where it was undisputed that the driver was warranted in stopping for an emergency vehicle. See Steffen, 713 N.W.2d at 620-21.

Furthermore, the record contains additional evidence that would allow a jury to reasonably conclude Kelley acted negligently. [*17]  It is undisputed that Kelley did not call 911 immediately after finding herself stalled in the middle of the right-hand lane on the interstate, but rather decided to call AAA. See Docket 48 ¶ 8 (disputing only the relevance). A reasonable jury could find that a person stuck in the middle of an interstate with cars flying by should call 911 immediately so that emergency personnel can escort that person to safety or at the very least set up a few barriers to give drivers more warning of a stalled car, and that by not doing so, the person failed to exercise reasonable care. That is particularly so, given that the first AAA representative repeatedly asked Kelley whether Kelley was in a safe location and mentioned multiple times the possibility that Kelley call 911 due to her location. See Docket 41-1. If the AAA representative sensed there was potential danger, a reasonable jury could find that Kelley—who, unlike the AAA representative, was there to understand the full context of her situation—was negligent in failing to call 911 immediately.

Additionally, Kelley remained in the Equinox, even though she was in the right-hand lane of an interstate. See Docket 48 ¶ 9 (disputing only the relevance). [*18]  At least one individual was concerned about Kelley’s situation, because shortly before the crash, a person other than Kelley called 911 and reported seeing Kelley’s car parked in the interstate and that “somebody almost hit them.” Docket 50-2. A reasonable jury could find that Kelley knew, or should have known, of the danger she was in, that a car almost hit her, and that she should have left the car and moved herself to the side of the road. In short, a reasonable jury could find that Kelley acted negligently, and it would be up to the jury to determine if that negligence was more than slight compared to defendants. See SDCL § 20-9-2; see Johnson, 672 N.W.2d at 481. Summary judgment in favor of plaintiff on this issue is inappropriate.

Defendants, on the other hand, argue that the undisputed evidence shows Kelley was indeed negligent. Defendants analogize the facts of this case to those in Myers v. Quenzer, 79 S.D. 248, 110 N.W.2d 840, 843 (S.D. 1961) and Haase v. Willers Truck Serv., Inc., 72 S.D. 353, 34 N.W.2d 313, 317-19 (S.D. 1948), both of which the South Dakota Supreme Court confronted car accidents and held the plaintiffs were contributorily negligent. See Docket 39 at 6-9. In both cases, the Court explained that a person who unnecessarily places and maintains themself in danger is contributorily negligent. See Myers, 110 N.W.2d at 843 (“In such circumstances [plaintiff] would [*19]  be guilty of contributory negligence because she unnecessarily placed and maintained their car in a position of danger.”); Haase, 34 N.W.2d at 317 (“One may not unnecessarily place and maintain oneself in such a dangerous position and then require others who failed to discover his peril to respond in damages.”).

But at this summary judgment stage, neither case requires summary judgment in favor of defendants on the issue of contributory negligence. In Myers, the plaintiff stopped and backed up her vehicle, while on a two-lane highway, at the bottom of a hill. See 110 N.W.2d at 841, 843. When she started to drive forward, a pickup truck came over the hill and collided with plaintiff’s vehicle. Id. The Supreme Court found the trial court erred when it refused to instruct the jury on contributory negligence and stated, “[w]hether it was slight or more than slight under our comparative negligence would be for the jury.” Id. at 843.

Similarly in Haase, the decedent, Haase, was a tow truck driver who attempted to pull a car out of a ditch. See Haase, 34 N.W.2d at 314-15. A sheriff had parked his law enforcement vehicle near the car in the ditch and turned his hazard lights to warn oncoming traffic of their presence on the road. See id. at 315. Instead of moving his tow truck to [*20]  the shoulder of the road to work under the protection of the sheriff’s warning lights, Haase placed his tow truck in a way that blocked the traffic’s general view of the sheriff’s hazard lights and then crawled under the tow truck to begin working. See id. at 315-17. A passing truck struck the tow truck, causing the tow truck to crush Haase to death. See id. at 316.

The Court in Haase observed:

[Haase] took an unnecessary risk. He placed his truck so that it obstructed a portion of the 20-foot ribbon of pavement. No reason is or can be suggested which justified him in failing to remove his truck at least to the 8-foot shoulder while he was putting on his chains.

Id. at 316. Like in Myers, there were no circumstances that required Haase to place himself in danger—indeed, the South Dakota Supreme Court explicitly stated the opposite, in that there was no reason why Haase put himself in the place he did. See id.

But unlike both Myers and Haase, the record here contains a genuine dispute about whether Kelley unnecessarily placed herself in danger. Viewed in the light most favorable to plaintiff, a reasonable juror could find that Kelley’s car stopped unexpectedly and that she could not move her car to the shoulder in time. [*21]  Starting with the gas, on November 15, 2022 at 10:22 p.m. (the night before the car accident), Rodriguez purchased 13.83 gallons of gas. Docket 51-1; see also Docket 48 ¶ 1 (showing date of car accident as November 16, 2022). A retired law enforcement officer, Officer Daryl Reemtsma, test drove a 2020 Chevrolet Equinox with a 1.5-liter engine to determine its gas mileage on the trip from Gretna, Nebraska (Kelley’s starting destination) to Brookings, South Dakota. Docket 53 ¶¶ 1-2; see also Docket 51-1 (showing Kelley purchased gas in Gretna, Nebraska). Officer Reemtsma conducted this test starting at a gas station located in Gretna, Nebraska, and filled the Equinox up with fuel, documenting the mileage on the odometer, the temperature, and the wind speed. Docket 53 ¶¶ 2-3. Officer Reemtsma then stopped at a rest stop near Sergeant Bluff, Iowa, again recording the mileage on the odometer, the temperature, and the wind speed. Id. ¶ 5. Officer Reemtsma then drove to Sioux Falls, South Dakota, stopping the vehicle and documenting the mileage on the odometer, the temperature, and the wind-speed. Id. ¶ 6. Officer Reemtsma headed to Brookings, South Dakota, where he documented the odometer [*22]  mileage, temperature, and windspeed again. While in Brookings, South Dakota, Officer Reemtsma also filled the tank with 8.253 gallons of fuel. Id. ¶ 7.

During Officer Reemtsma’s trip, he drove the posted speed limits and used cruise control when possible. Id. ¶ 8. Officer Reemtsma determined that the trip from Gretna, Nebraska to Brookings, South Dakota, comprised approximately 253 miles, and the vehicle showed that he could have travelled 191 miles further until the gas tank was empty. Id. ¶ 9. Officer Reemtsma determined that the vehicle averaged approximately 30 miles per gallon, which would leave at least 6 gallons of fuel remaining in the tank. Id. ¶ 10. Based on Officer Reemtsma’s test drive, a reasonable jury could conclude that Kelley’s car did not run out of gas and that her car stalled for a different reason.

In response to Officer Reemtsma’s affidavit, defendants argue his “test drive” is insufficient to show a material dispute of fact about whether plaintiff’s car ran out of gas. Docket 60 at 8-9. First, defendants argue Officer Reemtsma’s test drive is too dissimilar from Kelley’s actual drive, given the potential differences is weather, wind, route, speed, and the fact [*23]  that Officer Reemtsma drove a different unit (but same model and year of car) as compared to Kelley. See id. But highlighting these differences goes to the weight the jury should place on Officer Reemtsma’s testimony and are thus questions for the jury. Second, defendants argue that the test drive does not present a genuine dispute of material fact about whether Kelley ran out of gas because of the statements she made moments after her car stopped running. According to defendants, Kelley’s statement, “I just need someone to come here quickly so I can get . . . so I can get gas,” “unequivocally” shows she ran out of gas, and nothing about Officer Reemtsma’s test drive contradicts her statement. See id.; see Docket 41-2. But Kelley’s statements, while relevant, are not dispositive on whether she was out of gas, because a reasonable jury could find that she made that statement based on her guess at the time, without complete information, as to why her car stopped running. In other words, Kelley could have been wrong. Furthermore, contrary to defendants’ suggestion, Kelley’s contemporaneous statements do not definitively prove the car ran out of gas because she stated that when her fuel [*24]  light went on, the car indicated it could go 20 more miles and that she was approximately one mile away from the gas station when the car suddenly stopped. See Docket 41-2.

Even if the vehicle stopped because it ran out of fuel, a reasonable jury could find that Kelley reasonably relied on the fuel light indicating the car could drive for 20 additional miles, and that her attempt to get to the next gas station was reasonable. See id. Thus, a reasonable jury could conclude that even if Kelley did in fact run out of gas, Kelley reasonably believed she could make it to the next gas station. In short, the record contains material disputes of fact about whether Kelley acted negligently.

Next, defendants argue that even if Kelley’s car stopped for reasons unrelated to running out of gas, Kelley negligently failed to maneuver her car to the shoulder of the road once the car stopped accelerating. See Docket 39 at 6-7, 10. While a reasonable jury could so find, a reasonable jury could also find that Kelley’s failure to move to the shoulder of the road was reasonable in the circumstances. If Kelley’s car stopped running, she would have had a limited window of time to pull off to the shoulder of [*25]  the road—which is particularly true given that Kelley’s car was stopped while going uphill. See Docket 41-3. A reasonable jury could find that Kelley did not have sufficient time to pull over to the shoulder or that she reasonably froze and panicked. Regardless, a reasonable jury could find Kelley did not act negligently in failing to pull over to the shoulder of the road.

Defendants next argue that even if Kelley did not negligently place herself in danger originally, she was negligent for remaining in her car and not “exiting her vehicle to the safety of the shoulder.” See Docket 60 at 10; Docket 39 at 10. Defendants highlight that Kelley’s calls to AAA reveal that there were various vehicles that passed her at high speeds, showing that she should have realized she was in danger and should have exited her vehicle. See Docket 41-1; Docket 41-2; see also Docket 39 at 9. But Kelley activated the Equinox’s hazard lights and called AAA. Docket 61 ¶ 11 (not disputing that Kelley activated hazard lights); see also Docket 41-1 (hazard lights in background); Docket 41-2 (same). Furthermore, a jury could find she reasonably chose not to get out of her vehicle in the middle of the interstate [*26]  because of the cars passing by at high rates of speed (indeed, a 911 caller reported seeing somebody “almost hit” Kelley) and because of the cold weather. See Docket 41-1; Docket 41-2; Docket 41-4 at 3 (showing temperature was 18 degrees Fahrenheit); Docket 50-2.9 A reasonable jury could find Kelley acted reasonably given her circumstances. Thus, because a reasonable jury could find Kelley did not unnecessarily place or maintain herself in danger, the court rejects defendants’ arguments that Kelley was contributorily negligent as a matter of law under Myers and Haase.

For similar reasons, the court also rejects defendants’ arguments that Kelley was contributorily negligent as a matter of law because she violated two traffic statutes. See Docket 39 at 13-14. Defendants cite two statutes, SDCL § 32-25-5 and SDCL § 32-25-5.1, both of which prohibit drivers from driving too slowly. Section 32-25-5 specifically provides that unless a driver has a permit, such driver may not travel along on a national interstate highway at less than forty miles per hour. See SDCL § 32-25-5. Section 32-25-5.1 provides that “[n]o person may drive a motor vehicle at such a slow speed as to impede the normal and reasonable movement of traffic except when reduced speed is necessary [*27]  for safe operation or in compliance with law.” SDCL § 32-25-5.1.

“Violation of a safety statute is negligence as a matter of law unless it is legally excused.” Stensland v. Harding Cnty., 2015 SD 91, 872 N.W.2d 92, 96 (S.D. 2015) (quoting Baddou v. Hall, 2008 SD 90, 756 N.W.2d 554, 559 (S.D. 2008)). Individuals asserting legal excuse bear the burden of proving they are in fact legally excused. See Dartt v. Berghorst, 484 N.W.2d 891, 894 (S.D. 1992). The South Dakota Supreme Court has recognized at least four instances when an individual is legally excused:

(1) anything that would make compliance with the statute impossible; (2) anything over which the driver has no control which places his car in a position violative of the statute; (3) an emergency not of the driver’s own making by reason of which he fails to observe the statute; and (4) an excuse specifically provided by statute.

Albers v. Ottenbacher, 79 S.D. 637, 116 N.W.2d 529, 531 (S.D. 1962); see also Gaillard v. Jim’s Water Serv., Inc., 535 F.3d 771, 776 (8th Cir. 2008) (applying Albers). Whether an individual is legally excused is generally a question for the jury. See, e.g., Dartt, 484 N.W.2d at 894-95 (“[T]he jury must have concluded [defendant’s] violation was legally excused.”). For the reasons discussed above, a jury could reasonably conclude that Kelley’s car stopped moving through no fault of her own—i.e. that her car simply stopped working—making her compliance with the two South Dakota speed statutes “impossible” or indicating she “ha[d] no control” over her car’s positioning [*28] . See Albers, 116 N.W.2d at 531. Similarly, jury could also reasonably find Kelley faced an emergency “not of [her] own making.” Id. Either way, a jury could reasonably conclude Kelley was legally excused. The court rejects defendants’ arguments to the contrary.10

Defendants also highlight Kelley’s failure to call 911 as another example of her alleged negligence. See Docket 39 at 6. But Kelley called AAA immediately, which a jury could find as a reasonable step to take. See Docket 48 ¶ 7; Docket 41-1; Docket 41-2. A reasonable jury could find Kelley was not negligent for not calling 911.

Defendants next argue that Kelley was negligent for not bringing appropriate winter attire in the car. See Docket 39 at 6. Her failure to have appropriate winter clothing, defendants argue, matters because “[i]f [Kelley] did not have a coat, she was negligent for not dressing in a manner that would allow her to exit her vehicle.” Docket 60 at 10.11 But according to Kelley’s husband, after the crash, he received Kelley’s personal items from the car, which included Kelley’s winter coat. Docket 51 ¶ 8. A reasonable jury could find that Kelley did in fact have a winter coat in the car.

Defendants argue that Kelley’s [*29]  husband’s statement is not sufficient to save plaintiff for two reasons. First, defendants argue that Kelley’s husband’s affidavit is inadmissible hearsay. Docket 60 at 10. But the court may consider this evidence so long as it could be presented in an admissible form. See Smith v. Kilgore, 926 F.3d 479, 485 (8th Cir. 2019) (“[T]he standard is not whether the evidence at the summary judgment stage would be admissible at trial—it is whether it could be presented at trial in an admissible form.” (quoting Gannon Int’l, Ltd. v. Blocker, 684 F.3d 785, 793 (8th Cir. 2012)). Kelley’s husband could testify at trial that he received Kelley’s coat, and this testimony would be admissible. Thus, the court may consider Kelley’s husband’s affidavit at the summary judgment stage.

Second, defendants also challenge the accuracy of Kelley’s husband’s statement. In support, defendants note that Kelley’s husband claims to have found gas receipts and Kelley’s coat, but only took a picture of the gas receipt. See Docket 60 at 10. Thus, defendants suggest that Kelley’s husband did not actually recover a coat because if he did, he would have taken a picture of it. See id. This argument goes to the credibility of Kelley’s husband’s assertions and thus is for the jury to decide. The court rejects defendants’ argument regarding [*30]  Kelley’s coat.

Next, defendants’ compare this instant case with Lindholm v. BMW of N. Am., LLC, 202 F. Supp. 3d 1082, 1100 (D.S.D. 2016), a case that granted summary judgment to the defendant with respect to the plaintiff’s negligence claims because the decedent was contributorily negligent as a matter of law. See Docket 39 at 5. In Lindholm, the decedent, Alex, used a jack to hold up a car while Alex went underneath the car to perform work, even though the jack was designed only to change or replace tires and even though the jack came with warnings (both in a manual and on the jack itself) explicitly stating not to rely on a jack to hold up a car while underneath the car to perform work. See Lindholm, 202 F. Supp. 3d at 1096. In finding Alex misused the product and was contributorily negligent, the court stressed that Alex ignored multiple express warnings. See id. at 1096-98. Defendants argue that “[l]ike the decedent in Lindholm, [Kelley]’s negligence was primary and allowed for the circumstances causing her death.” Docket 39 at 5.

But Lindholm is distinguishable from this instant case. Alex and Kelley faced quite different circumstances. In Lindholm, there was no evidence that Alex faced a stressful situation where time was of the essence. Instead, Alex ignored several warnings and chose to improperly use a jack without any other [*31]  apparent reason to do so and without any apparent attending stressors. See Lindholm, 202 F. Supp. 3d at 1096-98. For example, Alex was not attempting to rely on the jack to fix a car because he needed to fix it immediately or because he had no other access to a more appropriate tool. See id. But here, Kelley was in the middle of an interstate with cars passing by having to make a quick decision on what to do. See Docket 48 ¶ 4 (not disputing that Kelley stopped in the right driving lane); see also Docket 41-1 (AAA phone recording revealing cars driving by); Docket 41-2 (same). As explained above, a reasonable jury could find that Kelley faced her circumstances through no fault of her own and that she made reasonable choices given such circumstances. This case is not one of the “rare” cases in which the court should decide the issue of contributory negligence rather than a jury. See Jensen, 907 N.W.2d at 820. Lindholm does not require a different result.

Finally, defendants’ arguments ignore how Kelley’s (alleged) negligence compares to VanIperen’s actions. See generally Docket 39 (no comparison); Docket 61 (same). Instead, defendants argue only that Kelley’s (alleged) negligence was more than slight. See Docket 39 at 5-14; see also Docket 61 (no mention [*32]  of comparison requirement). But this articulation is misleading: defendants are only entitled to contributory negligence if the jury also finds that Kelley’s negligence was more than slight compared to VanIperen’s negligence. SDCL § 20-9-2; see Johnson, 672 N.W.2d at 481. Under this comparison scheme, the greater a defendant’s negligence, the greater leeway the law gives the plaintiff. See SDCL § 20-9-2; Johnson, 672 N.W.2d at 481.

Here, a reasonable jury could find that Kelley’s negligence was slight compared to VanIperen because a reasonable jury could find VanIperen was negligent and that his negligence was significant. In the minutes before the collision, VanIperen’s truck swerved multiple times over the fog line in the right-hand lane. See Docket 41-3; see also Docket 61 ¶ 16 (only disputing relevance). A jury could also reasonably find that the weather outside and the driving conditions posed no external reason for the crash because it was sunny, clear day and the roads were not icy. See Docket 41-3. Furthermore, VanIperen’s video camera footage shows that he had plenty of time to react if he had looked ahead at the road and observed Kelley’s car. See id. But VanIperen made no attempts to stop or brake his truck, or to swerve in the moments leading to the [*33]  crash. See id. Instead, a jury could reasonably find that VanIperen was completely distracted because he was playing a game on his phone while driving a truck full of oil. See id.; Docket 61 ¶ 15 (not disputing VanIperen’s truck was loaded with fuel); ¶ 23 (only disputing relevance about phone usage). Based on these factors, a jury could reasonably find that Kelley’s negligence—if any—was slight compared to VanIperen’s negligence. Summary judgment in favor of defendants on this issue is inappropriate here.

In short, the record contains many factual disputes that the jury must resolve, which all bear on these central questions: was Kelley contributorily negligent, and if so, was it more than slight compared to VanIperen’s? Because the record contains factual disputes directly bearing on these questions, the court denies plaintiff’s partial motion for summary judgment and defendants’ motion for summary judgment with respect to whether Kelley was contributorily negligent.12


II. Assumption of the Risk

A plaintiff who assumes the risk is precluded from recovering. See Westover v. East River Elec. Power Co-op., Inc., 488 N.W.2d 892, 897 (S.D. 1992). Assumption of the risk requires that the person “(1) had actual or constructive knowledge of the risk; (2) appreciated its [*34]  character; and (3) voluntarily accepted the risk, with the time, knowledge, and experience to make an intelligent choice.” Jensen, 907 N.W.2d at 820 (quoting Duda v. Phatty McGees, Inc., 2008 SD 115, 758 N.W.2d 754, 758 (S.D. 2008)). Defendants bear the burden of proving assumption of risk, Burhenn v. Dennis Supply Co., 2004 SD 91, 685 N.W.2d 778, 786 (S.D. 2004), and “[t]he failure to establish any one of the three elements negates the defense.” Stone v. Von Eye Farms, 2007 SD 115, 741 N.W.2d 767, 772 (S.D. 2007). Just like negligence and contributory negligence, assumption-of-risk cases should generally go to a jury, because cases involving assumption-of-risk that involve purely legal questions are “rare.” See Schott v. S.D. Wheat Growers Ass’n, 2017 SD 91, 906 N.W.2d 359, 364 (S.D. 2017).

To prove the first two requirements, defendants must prove that Kelley “not only kn[ew] of the facts that create[d] the danger, but [she] must [have] comprehend[ed] and appreciate[d] the danger itself.” Id. at 362 (quoting Duda, 758 N.W.2d at 758)). In most situations, this requirement is subjective: Kelley herself must have actually known about the facts creating the danger and known of the danger she faced. See Jensen, 907 N.W.2d at 822. But contrary to plaintiff’s suggestion, South Dakota law recognizes that “[t]here are some risks as to which no adult will be believed if [she] says that [she] did not know or understand them.” Schott, 906 N.W.2d at 362-63. (quoting Restatement (Second) of Torts § 496D cmt. c); see Docket 63 at 21 (arguing that “Kelley’s subjective belief is controlling under the law”). Thus, South Dakota law recognizes [*35]  that a person may have constructive knowledge of the risk, in which case “the knowledge and appreciation-of-danger elements are not purely subjective questions[.]” Id. at 362. “A person is deemed to have appreciated the risk ‘if it is the type of risk that no adult of average intelligence can deny.'” Duda, 758 N.W.2d at 758 (quoting Ray v. Downes, 1998 SD 40, 576 N.W.2d 896, 900 (S.D. 1998)). Ultimately, whether an individual knew or should have known of risks are ordinarily questions for the jury, and “may be resolved by the court only where ‘reasonable [people] would not differ on the question [of] whether the [plaintiff] assumed the risk.'” Id. (quoting Myers v. Lennox Co-op Ass’n, 307 N.W.2d 863, 864-65 (S.D. 1981)).

A threshold issue the court must address is how to properly characterize the risk that Kelley may or may not have assumed. Defendants frame the risk broadly, arguing the risk involved is that “stopped vehicles on highways get rear-ended.” Docket 60 at 18; see also Docket 39 at 14-17. On the other side of the spectrum, plaintiff frames the risk much more narrowly, arguing the risk was that “VanIperen was playing a game on his cell phone and failing to maintain a proper lookout while driving a Mack truck loaded with 50,000 pounds of fuel.” Docket 47 at 8.

The South Dakota Supreme Court’s decision in Ray v. Downes explains [*36]  why neither articulation is fully accurate. In Ray, the Court dealt with the issue of whether the plaintiff, Ray, had assumed the risk of an injury that was caused by the defendant, Waldner. See 576 N.W.2d at 899-900. There, Ray had agreed with Waldner to help Waldner harvest soybeans and corn. See id. at 897. As part of harvesting, Waldner typically used a “swing-type auger” to transport the grain from an 18-wheeled semi-tractor/trailer to bins. See id. One day, the ground was too high to put the auger under the trailer, so Ray scraped the ground to make room for the auger. See id. Ray then volunteered to help Waldner place the auger under the trailer as Waldner drove the trailer forward. Id. The two agreed that Ray would use hand signals and then “holler” for Waldner to stop when the auger was in place. See id. After Ray positioned the auger, he hollered for Waldner to stop. See id. The record contained a dispute over whether Ray also signaled to Waldner. See id. Regardless, Waldner did not stop the trailer, and as a result, the trailer ran over Ray’s leg. See id.

In his deposition, Ray admitted that he knew that the job was risky and that it was risky for him to be so close to the rear wheels of the trailer.  [*37] See id. at 899. Ray admitted seeing the trailer continue moving forward and that he knew if it did not stop, it would run over his leg. See id. Ray also admitted to knowing that he was taking the risk of injuring his leg and that he voluntarily put himself in that position. See id. Reviewing this testimony, the circuit court granted summary judgment in favor of Waldner, finding that there could be no dispute over whether the first two elements of assumption of risk were satisfied, and that Ray also acted voluntarily and had other reasonable alternatives. See id. at 898-99.

But the Supreme Court reversed. Crucially, the Court explained that while “‘[r]isk is intrinsic to some acts’ . . . this intrinsic risk is not unlimited.” Id. at 899 (quoting Goepfert v. Filler, 1997 SD 56, 563 N.W.2d 140, 143 (S.D. 1997)). The Court elaborated:

Certainly, Ray put himself in harm’s way by standing in a position to be run over. He frankly admitted as much. Nonetheless, he did not consent to relieve the driver of his subsequent duty to act with reasonable care. In the words of Prosser, ‘This is a distinction which has baffled a great many law students, some judges, and unhappily a few very learned legal writers.’ Prosser & Keeton, The Law of Torts § 68, at 485.

Id. The Court further emphasized that [*38]  nothing in the record suggested that Ray anticipated Waldner would disregard Ray’s signals when moving the truck. Id. at 900. Crucially, the Court stated, “Ray’s awareness of danger was not consent to relieve Waldner of his duty of care. Not every acceptance of known danger may reasonably be interpreted as evidence of such consent.” Id. Instead, the Court made clear that “[a]lthough one may assume the risk of the negligence of another if he is fully informed of such negligence, one is not, under the doctrine of assumption of risk, bound to anticipate the negligent conduct of others.” Id. (emphasis added). As a result, the Court reversed the circuit court’s decision to grant summary judgment in favor of Waldner. See id.

In reaching this conclusion, the Court then quoted from Prosser’s Law of Torts, and in doing so included a strikingly similar hypothetical to the situation here:

It is here that there is the greatest misapprehension and confusion as to assumption of risk, and its most frequent misapplication. It is not true that in any case where the plaintiff voluntarily encounters a known danger he necessarily consents to any future negligence of the defendant. A pedestrian who walks across the [*39]  street in the middle of a block, through a stream of traffic traveling at excessive speed, cannot by any stretch of the imagination be found to consent that the drivers shall not use care to watch for him and avoid running him down. On the contrary, he is insisting that they shall. This is contributory negligence pure and simple; it is not assumption of the risk. And if A leaves an automobile stopped at night on the traveled portion of the highway, and his passenger remains sitting in it, it can readily be found that there is consent to the prior negligence of A, whose control over the risk has terminated, but not to the subsequent negligence of B, who thereafter runs into the car from the rear.

Id. at 899-900.

The South Dakota Supreme Court’s discussion in Ray teaches a key lesson about how to appropriately define the “risk” an individual has assumed for purposes of the assumption of risk defense: the relevant inquiry is whether Kelley was aware of a risk that VanIperen would negligently hit Kelley. See Ray, 576 N.W.2d at 899-900. Consider all three situations in Ray. Starting with the actual facts of Ray, Ray admitted that he knew there was a risk that the trailer could run over him and that he could get seriously injured. [*40]  See id. at 899. Yet, he had no reason to suspect that Waldner would act negligently by ignoring Ray’s signals (after having just discussed with Ray the plan to have Ray signal to Waldner to stop the trailer). See id. at 900. Without this specific knowledge that Waldner would ignore Ray (either actual or constructive), Ray could not have assumed the risk of Waldner’s negligence. See id. The same is true with the pedestrian hypothetical: the pedestrian who crosses the road while it was full of traffic has surely entered a dangerous position and knows (or should know) there is a real risk of being hit. But knowing the risk of being hit is not dispositive because the key inquiry is whether the pedestrian had any knowledge (actual or constructive) of the specific risk that drivers would act negligently and fail to attempt to avoid him. See id. If not, the pedestrian did not assume the risk of being negligently hit by a driver. Id. And finally, the passenger in the stationary car parked in the middle of the road at night surely knows or should know that he is in danger of being hit. But again, the passenger did not assume the risk of being hit by B based off B’s negligence if the passenger had no actual or [*41]  constructive knowledge of the risk that B would act negligently.

Applying Ray‘s lessons and viewing the record in the light most favorable to defendants, no reasonable jury could find that Kelley assumed the specific risk that VanIperen would negligently hit her. To be sure, viewed in the light most favorable to defendants, Kelley knew (or should have known) that she was in a dangerous location when parked in the middle of an interstate. But as Ray teaches, Kelley’s knowledge of the general risk of her being hit is not dispositive. See Ray, 576 N.W.2d at 899-900. Rather, what matters is whether Kelley was fully informed (or should have known) that VanIperen specifically would act negligently. Just as there was nothing in the record to suggest Ray knew or should have known that Waldner would disregard Ray’s signals, so too there is nothing in the record to suggest that Kelley knew or should have known that VanIperen would not be paying attention to the road. Specifically, at the time Kelley chose to remain in her car in the middle of the right-hand lane, Kelley had no reason to know that VanIperen was driving while distracted, nor did she have any reason to know he had swerved multiple times minutes before the [*42]  collision. Docket 61 ¶¶ 16 (only disputing relevance), 21 (same); Docket 41-3. Thus, although possibly contributorily negligent as explained above, Kelley could not have assumed the risk in this case because there are no facts suggesting Kelley had the requisite knowledge (either actual or constructive) that VanIperen was acting negligently.

Importantly, the scope of the risk, as plaintiff argues, is not so narrow that Kelley must have known or should have known that VanIperen was playing Balls Crush — Bricks Breaker while driving a fuel truck. See Docket 47 at 8. Just because Kelley had no actual or constructive knowledge of the specific app VanIperen had open, or even that VanIperen was on his phone, does not necessarily mean that she did not assume the risk of VanIperen acting negligently. For example, if Kelley knew VanIperen was driving while closing his eyes and yet still chose to remain in her car, she would have assumed the risk that VanIperen was acting negligently and would hit her. The key is whether Kelley knew or should have known that VanIperen was acting negligently, and yet still assumed that risk. Because the record contains no evidence that Kelley knew or should have [*43]  known that VanIperen was acting negligently in any way, this case is one in which she cannot have assumed the risk as a matter of law. See Schott, 906 N.W.2d at 364.

Defendants resist this conclusion, arguing the relevant risk is the risk that Kelley would be hit while parked in the middle of an interstate. See Docket 60 at 16-17; Docket 39 at 14-17. In support of their view, defendants cite language from Sheard v. Hattum, in which the South Dakota Supreme Court stated “‘[t]ypical examples of risks within every adult’s constructive knowledge are that ‘one can burn from fire, drown in water, or fall from heights.'” 2021 SD 55, 965 N.W.2d 134, 147 (S.D. 2021); Docket 60 at 16-17. The typical examples in Sheard, defendants reason, are all general risks, meaning that the general risk of being hit while stopped on the highway is the correct framing of the risk at issue. See Docket 60 at 16-17.

But Sheard‘s discussion regarding the “typical” risks associated with various activities answers a different question than the one here. The question here is how to appropriately define the risk at issue. Sheard‘s discussion answers whether a given risk is sufficiently obvious to a plaintiff such that the plaintiff had constructive knowledge of such risk. See Sheard, 965 N.W.2d at 146-47. Nothing [*44]  about Sheard evinces any intent to collapse these two separate inquiries, nor does it indicate any intent to overrule Ray. And Ray answers the relevant question here: what is the risk that Kelley may have assumed in the first place? Thus, the court rejects defendants’ argument that the relevant risk Kelley faced was the risk of being hit from behind because this risk is too broad.

The court makes one final note. It is true that Ray involved a slightly different procedural posture as compared to the one in this instant case. In Ray, the circuit court granted summary judgment in favor the defendant, and the Supreme Court reversed. See Ray, 576 N.W.2d at 899-900. In doing so, the Court remanded the case back to the circuit court, and specifically the Court “preserve[d] the opportunity for Waldner . . . to pursue traditional tort defenses such as assumption of the risk at trial.” Id. at 900. This court acknowledges that its ruling goes one step further than Ray: not only does the court here reject defendants’ arguments for summary judgment on the issue of assumption of the risk, but the court also grants summary judgment on this same issue in favor of plaintiff.

But Ray‘s decision to allow Waldner to present an assumption [*45]  of risk defense at re-trial stems from the factual disputes at issue in the case. In Ray, a reasonable jury could find that Ray did indeed assume the risk that Waldner would specifically run over Ray even with the agreement the two had made. Specifically, although it was undisputed that Ray “hollered” for Waldner to stop, the record also contained evidence that the surrounding machinery was loud and that at least some of the windows to Waldner’s trailer were rolled up. See id. at 897, 897 n.1. And viewing the record in the light most favorable to Waldner, a reasonable jury could find that Ray knew, or should have known, that it may be difficult for Waldner to hear Ray’s hollering because Ray knew of the surrounding noise and that some of Waldner’s windows were up. See id. Relatedly, the record contained a factual dispute over whether Ray actually signaled to Waldner for Waldner to stop the trailer. See id. at 897 (“Either Ray did not signal or Waldner did not see Ray’s signals . . . .”). Thus, a jury could reasonably find Ray did in fact assume the risk because it could reasonably find Ray had specific knowledge that Waldner would not hear Ray and that Ray did not actually signal to Waldner for Waldner to stop [*46]  the trailer. See id. at 897, 897 n.1. In short, even though Ray permitted Waldner during the re-trial to raise an assumption of the risk defense, it did so because the facts of the case warranted such potential defense. Nothing about Ray forecloses summary judgment in favor of a plaintiff on the issue of assumption of the risk in an appropriate case.

And here, Kelley’s situation is one such case. Unlike the record in Ray, where a jury could find Ray knew Waldner would ignore Ray yet still chose to help Waldner, the record here contains no evidence that Kelley knew or had reason to know that VanIperen specifically would hit her. There is nothing in the record to indicate Kelley was aware that VanIperen was on his phone, driving distractedly, or anything else to indicate why she should get out of the car specifically to avoid VanIperen’s negligence. This case would be different if, for example, Kelley had learned from a source that VanIperen was on his phone heading her way and that she nevertheless remained in the car. In that case, a jury could reasonably find that she assumed the risk that VanIperen would hit her. But here, there is no evidence that Kelley had any indication of VanIperen’s negligence. [*47]  Based on the present record, no reasonable jury could find that Kelley assumed the risk of VanIperen running into her. The court grants summary judgment in favor of plaintiff on whether Kelley assumed the risk and denies defendants’ request for summary judgment on the same.


III. Survival Claim, Wrongful Death, Punitive Damages, Certification, and Judicial Notice

Having found summary judgment inappropriate on defendants’ affirmative defenses, the court turns to whether summary judgment is appropriate on any of plaintiffs’ claims for other reasons. Defendants move for summary judgment on plaintiff’s survival claim. See Docket 39 at 17-18. Defendants also move for summary judgment on plaintiff’s request for punitive damages. See id. at 19-22. In response, plaintiff argues that summary judgment is inappropriate on Kelley’s survival claim because discovery is not complete. See Docket 47 at 17-18. With respect to punitive damages, plaintiff argues summary judgment is inappropriate for a variety of reasons, including that (1) punitive damages are available in plaintiff’s survival claim; (2) the court should certify to the South Dakota Supreme Court the question of whether punitive damages are [*48]  available on plaintiff’s (and others’) wrongful death suit; and (3) if the court declines to certify the issue, punitive damages are available in wrongful death suits as a matter of statutory interpretation. See Docket 47 at 18-30; Docket 57. The court addresses these arguments in turn. Before doing so, the court briefly recounts the legal background for survival and wrongful death actions under South Dakota law.

South Dakota law authorizes two related, but distinct, causes of action for situations in which an individual dies. One cause of action is a survival claim under SDCL § 15-4-1. Section 15-4-1 provides that “[a]ll causes of action shall survive and be brought, notwithstanding the death of the person entitled or liable to the same.” A survival claim under SDCL § 15-4-1 allows for a decedent to recover injuries for which she herself would have been able to recover, but for her death. See SDCL § 15-4-1; Yellow Horse v. Pennington Cnty, 225 F.3d 923, 926 n.3 (8th Cir. 2000). In contrast, a wrongful death claim “allow[s] for recovery of damages where a defendant caused ‘the death or injury of a person … by a wrongful act, neglect, or default.'” Lindholm, 202 F.Supp.3d 1082, 1100 (D.S.D. 2016) (quoting SDCL § 21-5-1)). The Eighth Circuit has succinctly explained the differences between these two statutes:

In South Dakota, a wrongful death cause of action is brought [*49]  in the name of the decedent’s personal representative and seeks compensation for the decedent’s next of kin for their pecuniary injury, rather than for an injury to the decedent himself. In contrast, a survival action is the decedent’s own personal cause of action, which does not abate at decedent’s death, but is brought by a representative seeking damages the decedent could have obtained for injuries had he survived.

Yellow Horse, 225 F.3d at 926 n.3.

A survival claim under SDCL § 15-4-1 allows a plaintiff to recover punitive damages. See SDCL § 21-3-2; Ammann v. Massey-Ferguson, Ltd., 933 F. Supp. 840, 842 (D.S.D. 1996). The parties dispute whether punitive damages are available under a wrongful death claim. See Docket 39 at 19-21; Docket 47 at 18-29.


A. Survival Claim

Under South Dakota law, “there can be no recovery for pain and suffering while an injured person is unconscious and damages are only allowable for such time as the injured person is conscious.” Plank v. Heirigs, 83 S.D. 173, 156 N.W.2d 193, 200 (S.D. 1968); see also Sander v. Geib, Elston, Frost Pro. Ass’n, 506 N.W.2d 107, 127 (S.D. 1993) (citing Plank and interpreting Plank’s discussion in the context of the survival statute SDCL § 15-4-1); Krumm v. Feuerhelm, 298 N.W.2d 184, 189 (S.D. 1980) (finding a jury instruction explaining “[w]hen an injured person is killed instantly, or dies without regaining consciousness, damages cannot be awarded for pain and suffering” to be proper). Thus, “[w]hen an injured person is killed instantly . . . damages cannot [*50]  be awarded for pain and suffering.” Plank, 156 N.W.2d at 200-01. This conclusion also aligns with the majority of states. See Restatement (Second) of Torts, § 926 (1979) (explaining that in cases where the defendant has caused the decedent’s death, most states do not allow recovery under a survival statute “when death immediately results from the tort without an appreciable period of suffering intervening[.]”). So the issue here is whether the record contains a genuine dispute of material fact regarding whether Kelley died instantly upon the crash.

Defendants argue that plaintiff’s survival claim must fail because the record contains no evidence to suggest Kelley suffered any personal injury prior to dying. See Docket 39 at 17-18. The court agrees. Here, evidence in the record suggests Kelley died instantly. First, Kelley’s calls with the AAA agents suggest she did not experience pre-impact terror or any extreme emotional distress moments before the crash. See Docket 41-1; Docket 41-2. In fact, when talking with the first AAA agent in the minutes leading up to the collision, Kelley stated, “Um. I’m not really sure if I’m in a safe location. I’m just like . . . I’m just on the interstate like in the first lane.” Docket 42-1. A few minutes later [*51]  with a different AAA agent, Kelley stated, “Like I’m kind of in a safe location, I’m in the right lane of I-29 interstate.” Docket 41-2. Even viewed in the light most favorable to plaintiff, Kelley’s statements to AAA agents in the minutes leading up to the crash indicate Kelley felt ambivalent about whether she was safe in the car and do not show she felt terror or any extreme emotional distress right before the crash.

Furthermore, at the time VanIperen crashed into Kelley’s car, Kelley was still talking to an AAA agent. See Docket 41-2 (faint crash sound in background). At no point during this call does the call include any evidence of Kelley screaming in pain or stating that she felt she was in immediate danger. See id. To the contrary, the AAA agent attempted to ask Kelley a series of questions, such as “You say you need gas? You want us to come bring you gas? Hello? Hello?”, to which Kelley did not respond. See id. This contemporaneous evidence also supports the conclusion that Kelley did not experience any pain, because if she did, she would have screamed, and the AAA agent would have panicked.

Second, Kelley’s death certificate also supports this conclusion. See Docket 39 at 18. [*52]  Specifically, under the section of “cause of death,” the certificate states, “head, neck and chest trauma” and “motor vehicle accident.” Docket 41-7 at 2. Under the section labeled “interval:” the certificate states “instant.” Id.

Third, while alone not dispositive, the video of VanIperen’s crash shows that VanIperen slammed into Kelley’s car at a very high rate of speed. See Docket 41-3. The video shows Kelley’s car snap in half immediately. Id. The picture of Kelley’s car after the crash confirms the awful nature of this accident. See Docket 50-3. These items support a finding that Kelley died instantly.

Taking the AAA calls, death certificate, and video and photo of Kelley’s car, the record suggests Kelley died immediately after VanIperen ran into her car. The court finds that defendants have reached their initial burden in pointing to sufficient evidence in the record to prove Kelley died instantly, which, if undisputed, entitles defendants to summary judgment on Kelley’s survival claim.13 See Celotex, 477 U.S. at 322-23; Plank, 156 N.W.2d at 200-01. Because defendants met their initial burden, plaintiff now must demonstrate specific facts in the record that create a genuine dispute for trial. See Mosley, 415 F.3d at 910.

In plaintiff’s initial response, [*53]  plaintiff did not point to any specific facts in the record to dispute that Kelley died instantly. Instead, plaintiff argued that the court should delay summary judgment until plaintiff has a chance to obtain additional discovery under Civil Rule of Procedure 56(d). See Docket 47 at 17. Later, in a reply brief to defendant’s response to plaintiff’s motion for summary judgment, plaintiff referenced and attached his expert’s—Dr. Ziejewski’s—report. See Docket 63 at 23. But neither of these attempts are persuasive, and the court grants summary judgment in favor of defendants on plaintiff’s survival claim.

The court begins with Rule 56(d). Rule 56(d) provides:

When Facts Are Unavailable to the Nonmovant. If a nonmovant shows by affidavit or declaration that, for specified reasons, it cannot present facts essential to justify its opposition, the court may:

(1) defer considering the motion or deny it;

(2) allow time to obtain affidavits or declarations or to take discovery; or

(3) issue any other appropriate order.

Fed. R. Civ. P. 56(d). The purpose of this rule is to prevent a court from unfairly ruling on a motion when a party has not yet had an opportunity to discover additional evidence that would allow the moving party’s claim to survive. See Johnson v. Moody, 903 F.3d 766, 772 (8th Cir. 2018). To succeed on [*54]  a Rule 56(d) motion, plaintiff must show: “(1) that [he] ha[s] set forth in affidavit form the specific facts that [he] hope[s] to elicit from further discovery, (2) that the facts sought exist, and (3) that these sought-after facts are ‘essential’ to resist the summary judgment motion.” Id. (quoting Toben v. Bridgestone Retail Operations, LLC, 751 F.3d 888, 895 (8th Cir. 2014)). “Rule 56(d) does not condone a fishing expedition where a plaintiff merely hopes to uncover” some favorable evidence. Id. And “[i]f a party fails to carry its burden, ‘postponement of a ruling on a motion for summary judgment is unjustified.'” Marlow v. City of Clarendon, 78 F.4th 410, 416 (8th Cir. 2023) (quoting Stanback v. Best Diversified Prods., Inc., 180 F.3d 903, 911 (8th Cir. 1999)).

A party cannot meet its burden by making “unspecific assertion[s]” and by “not explain[ing] how the evidence he sought was relevant ‘to rebut [the defendants’] showing of the absence of a genuine issue of fact.'” Id. (quoting Ray v. Am. Airlines, Inc., 609 F.3d 917, 923 (8th Cir. 2010)) (first and third alterations in original). For example, in Marlow, a case where a police officer sued the City of Clarendon for illegally retaliating against him by terminating him, the Eighth Circuit found the district court properly refused to extend discovery under Rule 56(d). See id. at 413, 417. There, the officer requested Rule 56(d) relief, and in support, merely stated that he “obviously need[ed] the ability to cross examine [the Chief] about the termination meeting” [*55]  and that he “need[ed] the deposition of [another witness] who interviewed [the Chief].” Id. at 417. Observing that these explanations were “unspecific assertion[s]” and that the officer failed to explain how this evidence was relevant to dispute defendants’ showing of the absence of a genuine issue of fact, the Eighth Circuit found the district court did not abuse its discretion in denying the officer’s motion for further discovery. See id.

Here, with respect to the issue of when Kelley died, plaintiff filed a Rule 56(d) affidavit that states the following:

Defendants assert Kelley Rodriguez died immediately upon impact. No autopsy was conducted. No photographs were taken of Kelley’s body following the collision. No discovery has occurred on this issue. Because of this, it is unknown at this time whether Kelley Rodriguez survived for a time following the collision. Defendants’ motion seeking judgment as a matter of law on punitive damages is premature.

Docket 54 ¶ 4. Plaintiff’s Rule 56(d) affidavit also asserts:

No depositions have been taken in this case . . . . [VanIperen’s] deposition is necessary to issues of liability, punitive damages, and Defendants’ affirmative defenses. Plaintiff has engaged a mechanical [*56]  engineering expert to inspect the 2020 Chevrolet Equinox . . . [i]t is unknown at this time what the full nature and extent of the experts’ respective opinions will be.

Id. ¶¶ 7-9. Based on these submissions, plaintiff’s Rule 56(d) affidavit falls short. Generously construed, the affidavit meets the first requirement—that plaintiff has set forth in affidavit form the specific facts that he hopes to elicit from further discovery—because it asserts plaintiff hopes to elicit facts through further discovery that show Kelley did not die immediately. See id. ¶¶ 4, 7-9; Moody, 903 F.3d at 772.

But plaintiff’s affidavit fails to demonstrate that additional facts surrounding Kelley’s death “exist,” as is required under Moody. See Moody, 903 F.3d at 772. In fact, plaintiff’s affidavit suggests the opposite. By stating that “[n]o autopsy was conducted” and that “[n]o photographs were taken of Kelley’s body following the collision,” plaintiff acknowledges potential sources of information that could contradict whether Kelley died immediately do not exist in this case. See Docket 54 ¶ 4. Plaintiff also gestures to VanIperen’s deposition testimony, but plaintiff does not state which facts he expects to arise from VanIperen’s testimony that would speak to the [*57]  specific issue of whether Kelley died immediately, mirroring the defect in Marlow. See id. ¶ 8; see also Marlow, 78 F.4th at 417 (finding bald assertion that plaintiff needed deposition of witness to be insufficient). Furthermore, as a lay witness and driver of the truck (who by necessity was not with Kelley at the time of the collision), it is not readily apparent what admissible testimony VanIperen could give on the timing and cause of Kelley’s death. See Fed. R. Evid. 701 (limiting a lay witness’s testimony which is rationally based on witness’s perception and excluding testimony requiring scientific, technical or other specialized knowledge).

The closest plaintiff’s affidavit gets to alleging facts surrounding Kelley’s death exist is plaintiff’s statement that it has engaged a mechanical engineering expert to inspect the 2020 Chevrolet Equinox. See Docket 54 ¶ 9. But this statement alone is insufficient. Plaintiff has not explained what specifically he hopes this expert inspection will reveal about the car and how that directly connects to the timing of Kelley’s death. Without specifying what plaintiff hopes this mechanical engineer’s inspection of the car would show as it relates to whether Kelley died instantaneously, plaintiff [*58]  has failed to meet the second requirement under Rule 56(d). Johnson, 903 F.3d at 772. In short, the deficiencies in plaintiff’s affidavit in Docket 54 replicate those in Marlow: plaintiff’s affidavit is not specific enough and fails to adequately explain how the evidence he seeks is relevant to rebut whether Kelley died immediately. See Marlow, 78 F.4th at 417.

Perhaps sensing this gap, plaintiff attempts to further elaborate the extent of the expert’s conclusions and what plaintiff hopes these conclusions will show in a separate filing—plaintiff’s reply brief filed with regard to plaintiff’s initial partial summary judgment motion. See Docket 63 at 23. Specifically in plaintiff’s reply brief, plaintiff asserts that his expert, Dr. Mariusz Ziejewski, has opined that the Equinox driven by Kelley had sufficient survival space for Kelley and that the car’s recorded acceleration was also consistent with Kelley surviving the initial collision. See id. (quoting Dr. Ziejewski’s report in Docket 64-3); see also Docket 64-3 at 12-13. According to plaintiff, Dr. Ziejewski’s report shows there is a genuine dispute of material fact regarding the timing of Kelley’s death. See Docket 63 at 23.

Even after considering the substance of plaintiff’s reply brief and [*59]  Dr. Ziejewski’s report,14 the court declines to postpone ruling on summary judgment on this issue. Even if some of Dr. Ziejewski’s opinions—that there was sufficient survival space for Kelley and that the acceleration her car experienced would produce injuries that she could survive—are admissible under Rule 702, these opinions are insufficient to raise a genuine dispute over whether Kelley died instantly. See Docket 64-3 at 12-13.

Defendants have submitted sufficient evidence in the record to show that Kelley actually died instantaneously; Dr. Ziejewski’s opinions simply state that the car’s condition and the impact on the car made it possible that Kelley survived. To be sure, Dr. Ziejewski’s opinions regarding the car’s condition are relevant and support plaintiff’s argument that Kelley did not die instantly. But they are insufficient alone because getting from Dr. Ziejewski’s opinions regarding the possibility that an individual could survive in the car to the conclusion that Kelley did in fact survive requires improper speculation. To the extent that Dr. Ziejewski also opines that Kelley did indeed survive, the court finds that such an opinion would be inadmissible under Rule 702 because [*60]  Dr. Ziejewski, as an engineer, is not a medical doctor and has no relevant education or experience to make cause of death determinations. See id. at 1-2 (showing Dr. Ziejewski’s qualifications); Hirchak v. W.W. Grainger, Inc., 980 F.3d 605, 609 (8th Cir. 2020) (“An expert may proceed as far as—but no further than—his specialized knowledge assists him in going.”). In short, Dr. Ziejewski’s report is insufficient to show a genuine dispute over whether Kelley died instantly.

In a final effort, plaintiff notes in his reply brief that “[t]he time in which Kelley died remains disputed as further conclusions from Dr. Ziejewski are dependent upon additional discovery.” Docket 63 at 23. Setting aside that plaintiff’s counsel failed to make this submission in an affidavit as required under Rule 56(d), see Moody, 903 F.3d at 772, this representation is insufficient to justify delay. First, this submission lacks the requisite specificity on what plaintiff expects Dr. Ziejewski’s new opinions will be, because it merely asserts that Dr. Ziejewski will reach “further conclusions.” See Marlow, 78 F.4th at 417. Second, as discussed above, even if this submission was specific enough, Dr. Ziejewski’s additional opinions would not create a genuine dispute over whether Kelley died immediately because he lacks the requisite [*61]  qualifications to opine on the timing of her death. Thus, the court rejects plaintiff’s final argument.

In summary, plaintiff has failed to show that the record contains a genuine dispute of fact that Kelley died instantly. Plaintiff has not identified a medical expert or any other competent evidence to show that Kelley did not die immediately. As a result, the court grants defendants’ motion for summary judgment on plaintiff’s survival claim because an instantaneous death necessarily means Kelley did not suffer any physical or mental injuries, which are necessary to prove a survival claim. See Plank, 156 N.W.2d at 200-01.


B. Punitive Damages Under Wrongful Death Claim

Next, defendants move for summary judgment on the issue of whether punitive damages are available in plaintiff’s wrongful death claim. Docket 39 at 19-22. In response, plaintiff moves the court to certify the issue to the South Dakota Supreme Court. Docket 47 at 26; Docket 57. In the alternative, plaintiff moves the court to find that punitive damages, in appropriate cases, may be available in wrongful death claims. See Docket 47 at 29-30. Defendants oppose certification. Docket 66.


1. Certification

The court first addresses plaintiff’s certification [*62]  request. The decision to certify a question rests “in the sound discretion of the federal court.” Saunders v. Thies, 38 F.4th 701, 716 (8th Cir. 2022) (quoting McKesson v. Doe, 592 U.S. 1, 5, 141 S. Ct. 48, 208 L. Ed. 2d 158 (2020) (per curiam)). Certification for every open question of state law is not obligatory. Lehman Bros. v. Schein, 416 U.S. 386, 390-91, 94 S. Ct. 1741, 40 L. Ed. 2d 215 (1974). Indeed, the court should not “trouble [] sister state courts every time an arguably unsettled question of state law comes across [its] desk[].” Pino v. United States, 507 F.3d 1233, 1236 (10th Cir. 2007). “State certification procedures . . . can prolong the dispute and increase the expenses incurred by the parties[,]” and “[o]ur system of ‘cooperative judicial federalism’ presumes federal and state courts alike are competent to apply federal and state law.” McKesson, 592 U.S. at 5.

In exercising its discretion, the court considers the state supreme court’s authority to answer a certified question. After all, if the South Dakota Supreme Court cannot properly answer a certified question, the court should not certify the question. See SDCL § 15-24A-1 (outlining the requirements and limits for when the South Dakota Supreme Court can answer a certified question). Additionally, the court also considers various other factors, including but not limited to the level of uncertainty the court has about the issue, how often the issue is likely to reoccur in the state, and whether any of the parties [*63]  seek certification. See Bernstein v. Bankert, 733 F.3d 190, 221 (7th Cir. 2013); Royal Cap. Dev., LLC v. MD Cas. Co., 659 F.3d 1050, 1055 (11th Cir. 2011).

Beginning with South Dakota’s statutory scheme on certification, under SDCL § 15-24A-1, a federal court may certify a question of law to the South Dakota Supreme Court if there is a question of South Dakota law “which may be determinative of the cause pending” in the federal court and it appears “that there is no controlling precedent” in the South Dakota Supreme Court’s decisions. Defendants first argue that certification on this issue is not appropriate because resolution of the issue upon which plaintiff seeks—whether punitive damages are available in a wrongful death action—is not determinative of the cause pending. See Docket 66 at 3-5. In support, defendants correctly note that this issue only pertains to what damages are available to plaintiff and does not affect the validity of plaintiff’s wrongful death claim, much less plaintiff’s entire lawsuit (which includes other claims wholly untouched by this issue). See id. The court acknowledges that the phrase “may be determinative of the cause pending” is ambiguous and has generated differing interpretations, some of which align with defendants’ view. See Thai Meditation Assoc. of AL, Inc. v. City of Mobile, 980 F.3d 821, 838 (11th Cir. 2020) (describing similar language in Alabama’s rule as “downright [*64]  opaque” and outlining various courts’ interpretations); Volvo Cars of N. Am., Inc. v. Ricci, 122 Nev. 746, 137 P.3d 1161, 1163-64 (Nev. 2006) (outlining various approaches).

But the court need not reach the scope of “may be determinative of the cause pending,” however, because the court declines to exercise its discretion to certify the question based on other factors. The first factor the court considers—the level of uncertainty this court has on the issue—cuts heavily against certification. For reasons explained below, while the South Dakota Supreme Court has not directly spoken on whether punitive damages are available in a wrongful death claim, the court believes there is sufficient data upon which the court can draw to make a reasonably certain prediction. The second factor the court considers—how often the issue is likely to reoccur—cuts in favor of certification because federal district courts, including this court, have had to predict this issue in the past. See Sheesley v. The Cessna Aircraft Co., 2006 DSD 6, 2006 WL 1084103, at *27 (D.S.D. 2006); Bethel v. Janis, 597 F. Supp. 56, 58-59 (D.S.D. 1984). The third factor—whether any of the parties has requested certification—initially cuts in favor of certification because plaintiff requests certification. See Docket 57.

But the court “should be slow to honor a request for certification from a party who chose to invoke federal jurisdiction.” Smith v. SEECO, Inc., 922 F.3d 406, 412 (8th Cir. 2019) (quoting [*65]  17A Charles A. Wright et al., Federal Practice & Procedure § 4248 (3d. ed. 2017 update)); see also Fischer v. Bar Harbor Banking and Trust Co., 857 F.2d 4, 8 (1st Cir. 1988) (finding plaintiff’s certification request “particularly inappropriate” because “he had knowledge of the state of the law under his theories for recovery, and had the choice of forums to file suit, either in the local courts or the federal court under diversity jurisdiction”); Seaboard Sur. Co. v. Garrison, Webb & Stanaland, P.A., 823 F.2d 434, 438 (11th Cir. 1987) (“Having sought a Federal forum, [plaintiff] must abide by federal determination as to the present state of Florida law.”); Reyton Cedar Knoll, LLC v. HPG Int’l Inc., 2007 U.S. Dist. LEXIS 116667, 2007 WL 9751941, at *1 (M.D. Pa. June 1, 2007) (“[T]he fact that Plaintiff chose to invoke federal jurisdiction in the first instance further supports a federal court’s hesitancy to certify this issue.”). Here, plaintiff is the one who seeks certification to the South Dakota Supreme Court, but plaintiff is the party who filed in federal court to begin with. See Docket 1; Docket 57. If plaintiff wanted South Dakota courts to decide this issue, he could have filed in state court. He did not.

Weighing these factors and recognizing they cut in opposite directions, the court exercises its discretion and declines to certify the issue.


2. Whether Punitive Damages are Available Under South Dakota’s Wrongful Death Statute

As mentioned above, the [*66]  South Dakota Supreme Court has not yet decided whether the present wrongful death cause of action authorizes punitive damages. Without controlling authority, the court must predict how the South Dakota Supreme Court would decide this issue, GEICO, 932 F.3d at 725-26, relying on “relevant precedent, analogous decisions, considered dicta, and any other reliable data[,]” Thompson, 59 F.4th at 926.

The issue here requires the court to interpret the interaction between various statutes. The South Dakota Supreme Court’s approach to statutory interpretation begins with the relevant statutes’ texts. See Farm Bureau Life Ins. Co. v. Dolly, 2018 SD 28, 910 N.W.2d 196, 199-200 (S.D. 2018). In doing so, the court must give the texts’ words their plain meaning and effect, assuming the South Dakota Legislature has said what it means and means what it says. See McLane Western Inc. v. S.D. Dep’t of Revenue, 2 N.W.3d 247, 251, 2024 SD 1 (S.D. 2024); Reck v. S.D. Bd. of Pardons and Paroles, 2019 SD 42, 932 N.W.2d 135, 140 (S.D. 2019). At the same time, the court does not construe statutes in a vacuum: the court must consider them as a whole, looking to their structure and overall context. LeFors v. LeFors, 2023 SD 24, 991 N.W.2d 675, 683 (S.D. 2023); Endres v. Endres, 2022 SD 80, 984 N.W.2d 139, 152 (S.D. 2022). Relatedly, the court must consider other enactments relating to the same subject and construe them “so as to have them exist in harmony,” because “it is inappropriate to select one statute on a topic and disregard another statute which may modify or limit the effective scope of the former statute.” South Dakota v. Jucht, 2012 SD 66, 821 N.W.2d 629, 635 (S.D. 2012); In re Expungement of Oliver, 2012 SD 9, 810 N.W.2d 350, 352 (S.D. 2012).

At first [*67]  glance, SDCL §§ 21-1-4, 21-5-1, and 21-5-7, appear to collectively exclude punitive damages from wrongful death actions. Starting with SDCL § 21-1-4, the South Dakota Legislature has provided the default rule: punitive damages are unavailable “unless expressly provided by statute.” Turning to the wrongful death cause of action, SDCL § 21-5-1 provides that a person who wrongfully causes the death of another “shall be liable, to an action for damages[.]” SDCL § 21-5-1. And under the section entitled “Damages proportionate to pecuniary injury to beneficiaries[,]” SDCL § 21-5-7 provides: “In every action for wrongful death the jury may give such damages as they may think proportionate to the pecuniary injury resulting from such death to the persons respectively for whose benefit such action shall be brought.”

Defendants argue that these statutes unambiguously exclude punitive damages from wrongful death claims. Docket 66 at 9. After all, given that punitive damages are not available unless expressly authorized by statute and because neither SDCL §§ 21-5-1 nor 21-5-7 expressly provide for the availability of punitive damages under the wrongful death statute, defendants argue that such damages are not available in wrongful death claims. See id. Defendants point out that SDCL § 21-5-7 specifically [*68]  contemplates the availability of pecuniary damages (which are not punitive damages), and thus the Legislature’s mentioning of pecuniary damages confirms that had it wished to allow for punitive damages it would have expressly said so. See id.; see also Wilcox v. Vermeulen, 2010 SD 29, 781 N.W.2d 464, 469-70 (S.D. 2010) (explaining pecuniary damages include economic loss and the “loss of the decedent’s companionship and society . . . .”); Fluth v. Schoenfelder Constr., Inc., 2018 SD 65, 917 N.W.2d 524, 533 (S.D. 2018) (recognizing punitive damages “may be awarded ‘for the sake of example . . . by way of punishing the defendant’ and ‘are distinct from and “in addition to actual damage.”‘” (quoting Wyman v. Terry Schulte Chevrolet, Inc., 1998 SD 96, 584 N.W.2d 103, 107 (S.D. 1998)). In defendants’ view, because SDCL § 21-5-7 “does not even use or mention the word ‘punitive,’ it would be improper to construe the statute as contemplating punitive damages.” Docket 60 at 21-22.

But nothing in SDCL § 21-5-7 states that pecuniary damages are the exclusive remedy available under wrongful death claims. In fact, SDCL §§ 21-1-4, 21-5-1, and 21-5-7 are not the final words on the availability of punitive damages. Entitled “Punitive damages in discretion of jury[,]” SDCL § 21-3-2 provides:

In any action for the breach of an obligation not arising from contract, where the defendant has been guilty of oppression, fraud, or malice, actual or presumed, or in any case of wrongful injury to animals, [*69]  being subjects of property, committed intentionally or by willful and wanton misconduct, in disregard of humanity, the jury, in addition to the actual damage, may give damages for the sake of example, and by way of punishing the defendant.

SDCL § 21-3-2 (emphasis added). Because punitive damages are available (provided defendants’ actions are sufficiently severe) in “any action for the breach of an obligation not arising from contract,” the issue here is whether a violation of the wrongful death statute constitutes “any action for the breach of an obligation not arising from contract.” SDCL § 21-3-2.

It does. The South Dakota Legislature has explicitly made it an “obligation” to not wrongfully cause someone’s death by authorizing a cause of action under SDCL § 21-5-1. And because this obligation arises from a legislative mandate rather than an agreement between two parties, this obligation does not arise from contract. Thus, SDCL § 21-3-2 unambiguously authorizes punitive damages for violations of SDCL § 21-5-1.

While SDCL § 21-5-7 explicitly provides pecuniary damages are available for wrongful death claims and simultaneously does not mention punitive damages, this section cannot be read in isolation. LeFors, 991 N.W.2d at 683; Endres, 984 N.W.2d at 152. Taking this section in context and giving meaning to all [*70]  of the words of both this section and SDCL § 21-3-2, SDCL § 21-5-7 is best understood not as an exclusive recounting of the damages available under a wrongful death claim, but rather as a limitation on pecuniary damages: pecuniary damages must be “proportionate” to the pecuniary injury “resulting from such death to the persons respectively for whose benefit such action shall be brought.” See SDCL § 21-5-7. Interpreting SDCL § 21-5-7 as a limit on pecuniary damages rather than an exclusive list of available damages gives a reasonable interpretation and ensures SDCL §§ 21-5-7 and 21-3-2 harmoniously exist. Jucht, 821 N.W.2d 635. In fact, adopting defendants’ interpretation would “inappropriate[ly] [] select [SDCL § 21-5-7] and disregard [SDCL § 21-3-2] which [] modif[ies] . . . the effective scope of [SDCL § 21-5-7].” In re Expungement of Oliver, 810 N.W.2d at 352.

The South Dakota Supreme Court has already taken this exact approach in Groseth Int’l, Inc. v. Tenneco Inc., 440 N.W.2d 276, 279 (S.D. 1989) (overruled on other grounds by Tibke v. McDougall, 479 N.W.2d 898, 906-07 (S.D. 1992)). There, the Court confronted the issue of whether punitive damages were available for suits under SDCL § 37-5-4 (which provides a cause of action for car dealers to sue manufacturers, factories, branches, distributors, distributor-branches, or their agents for various unlawful actions).15 See id. Crucially, SDCL § 37-5-4 provided that in cases of a violation under SDCL §§ 37-5-1 to 37-5-3, inclusive, a wrongdoer shall be liable “for all damages [*71]  caused to such dealer by such violation.” SDCL § 37-5-4. Section 37-5-4 explicitly references the damages available as those which the dealer suffered and did not mention punitive or exemplary damages. Id. Observing SDCL § 37-5-4’s silence and SDCL § 21-1-4’s command that punitive damages are available only when expressly authorized by statute, the defendants in Groseth argued—just as defendants argue in this instant case—that punitive damages are necessarily unavailable under SDCL § 37-5-4.

But the Supreme Court in Groseth rejected this argument. Groseth explained: “[o]ur analysis does not end by applying SDCL 21-1-4 to SDCL 37-5-4. We also examine whether the [*73]  provisions of SDCL 21-3-2 apply to this case.” Groseth, 440 N.W.2d at 279 (emphasis added). Because the violation in Groseth “involve[d] the breach of a statute and thus meets the statutory limitation of ‘breach of an obligation not arising from contract[,]” the Court held punitive damages may be available in suits filed under SDCL § 37-5-4. Id. The route Groseth took is the precise route this court must take. Just as SDCL § 21-3-2 authorizes punitive damages in claims filed under SDCL § 37-5-4, so too does SDCL § 21-3-2 authorize punitive damages in wrongful death suit claims brought under SDCL § 21-5-7.

The Supreme Court has taken this approach in other contexts as well, albeit less explicitly. For example, consider the South Dakota Legislature’s statute authorizing a cause of action for deceit, which provides: “One who willfully deceives another, with intent to induce him to alter his position to his injury or risk, is liable for any damage which he thereby suffers.” SDCL § 20-10-1 (emphasis added). By specifically laying out that fraud victims may recover damages for “which [they] thereby suffer[]” and not mentioning punitive damages, it may seem like from its face, SDCL §§ 20-10-1 and 21-1-4 preclude punitive damages in deceit cases because punitive damages are not aimed at compensating a victim’s suffering, but rather deterring [*74]  and punishing wrongdoers. Fluth, 917 N.W.2d at 533. But the South Dakota Supreme Court in Stabler v. First State Bank of Roscoe, unambiguously held that SDCL § 21-3-2 authorizes punitive damages in tortious deceit claims filed under SDCL § 20-10-1. 2015 SD 44, 865 N.W.2d 466, 474, 474 n.12 (S.D. 2015) (explaining plaintiffs brought deceit claim under SDCL 20-10-1 at trial), 479-80 (upholding jury’s punitive damages award based on SDCL § 21-3-2). The Court in Stabler could not have so held if it read SDCL § 20-10-1’s authorization of damages for which the plaintiff suffers to necessarily exclude punitive damages from this cause of action. But Stabler makes clear that punitive damages are available in tortious deceit claims brought under SDCL § 20-10-1. So too with the wrongful death statute here.

The court recognizes that in both Groseth and Stabler, the statutes at issue included both the causes of action and the damages in the same section. See Groseth, 440 N.W.2d at 279; Stabler, 865 N.W.2d at 474-76. That is not the case with the wrongful death statute: the wrongful death statutes here both have a section that provides for the cause of action and a separate section that specifically provides for certain kinds of available damages. See SDCL §§ 21-5-1 (cause of action for wrongful death) and 21-5-7 (damages for wrongful death). Thus, one may argue that this case is distinguishable from Groseth and Stabler because the South [*75]  Dakota Legislature’s decision to provide for a separate section for damages in SDCL § 21-5-7 is more indicative that the Legislature intended to make such damages the exclusive kinds of damages available under a wrongful death claim, compared to the Legislature’s decisions in the statutes involved in Groseteh and Stabler.

But the South Dakota Supreme Court’s decision in Till v. Bennett, 281 N.W.2d 276, 279 (S.D. 1979) directly forecloses this analysis. In Till, the cause of action involved was a trespass violation by livestock. See id. at 278; SDCL § 40-28-4. SDCL § 40-28-4 provides in relevant part that a person who owns, has charge of, or is in possession of, certain livestock and such livestock trespasses on another’s land, “is liable to any such person injured for all damages sustained by reason of the trespass.” SDCL § 40-28-4. Again, SDCL § 40-28-4 says nothing about punitive damages. And on its face it suggests that a wrongdoer is liable only for damages sustained by reason of the trespass, which is wholly separate from the purpose for which punitive damages exist. See Fluth, 917 N.W.2d at 533.

In fact, just like the statutory scheme with respect to the wrongful death statute, the South Dakota Legislature explicitly provided a separate section for damages for trespass by livestock cases. Compare, SDCL §§ 21-5-1 (cause of action for wrongful death) [*76]  and 21-5-7 (damages for wrongful death), with SDCL §§ 40-28-4 (cause of action for trespass by livestock) and 40-28-23 (damages for trespass by livestock). The damages statute for trespass by livestock provides: “Upon the trial of an action under the provisions of this chapter, the plaintiff shall recover the amount of damages sustained and the expenses of keeping the trespassing animal or animals during the time he has restrained and retained the custody thereof.” SDCL § 40-28-23. Just as in § 21-5-7 (the damages section for wrongful death claims), nothing in SDCL § 40-28-23 says anything about punitive damages.

Putting together SDCL §§ 40-28-4 and 40-28-23, the South Dakota Legislature in both sections explicitly discussed the available damages and did not mention punitive damages. If there was ever a circumstance in which the Legislature meant to exclude punitive damages, it would be with this trespass by livestock cause of action.

But not so, says Till. Instead, Till affirmed a jury’s award of punitive damages for a violation of § 40-28-4 because SDCL § 21-3-2 plainly applied. 281 N.W.2d at 279; see also Risse v. Meeks, 1998 SD 112, 585 N.W.2d 875, 877 (S.D. 1998) (“This Court has specifically found [that punitive damages statute in SDCL § 21-3-2] applies to causes of action brought pursuant to SDCL 40-28-4.”). It did not matter that SDCL §§ 40-28-4 and 40-28-23 provided for certain kinds of damages for trespass by livestock [*77]  actions without saying anything about punitive damages. See Till, 281 N.W.2d at 279. Those statutes did not displace the punitive damages statute in SDCL § 21-3-2, which plainly applied.

Groseth, Stabler, and Till teach three related and dispositive lessons. First, in determining whether a cause of action authorizes punitive damages, courts must look not only at the damages expressly provided for in the specific cause of action statute, but also to the punitive damages statute set forth in SDCL § 21-3-2. See Groseth, 440 N.W.2d at 279; Stabler, 865 N.W.2d at 474-76, 479-80. Second, the mere inclusion of a specific kind of damages in the specific cause of action (without explicitly mentioning punitive damages) poses no barrier to the availability of punitive damages, so long as the requirements under SDCL § 21-3-2 are satisfied. See Groseth, 440 N.W.2d at 279; Stabler, 865 N.W.2d at 474-76, 479-80. If it were not for these two lessons, neither the claim under SDCL § 37-5-4 nor the deceit claim under SDCL § 20-10-1 would have allowed punitive damages because both SDCL § 37-5-4 and SDCL § 20-10-1 were silent on punitive damages (in fact expressly provided for a different kinds of damages). See SDCL §§ 37-5-4; 20-10-1. But the South Dakota Supreme Court has held that both causes of action authorize punitive damages under SDCL § 21-3-2. See Groseth, 440 N.W.2d at 279; Stabler, 865 N.W.2d at 474-76, 479-80.

Third, not only is the inclusion of non-punitive damages in the statute that recognizes the cause of action insufficient to show [*78]  the unavailability of punitive damages for such action, but the inclusion of non-punitive damages in the damages section of the statute that recognizes a cause of action is similarly insufficient. See Till, 281 N.W.2d at 279; Risse, 585 N.W.2d at 877. In other words, Till illustrates the mere fact that SDCL § 21-5-7 provides an explanation regarding pecuniary damages without mentioning punitive damages does not necessarily exclude punitive damages. Instead, the key inquiry is whether, taken as a whole, any of the statutes expressly authorize punitive damages. See SDCL § 21-1-4.

Appling the holdings of Groseth, Stabler, and Till to the plain language of the statutes at issue, this court must also look at SDCL §§ 21-1-4, 21-5-1, and 21-5-7, and also SDCL § 21-3-2. Because a violation of the wrongful death statute is necessarily a violation of an “obligation” not arising from contract, the plain language of SDCL § 21-3-2 authorizes punitive damages. As a result, the court predicts that the South Dakota Supreme Court would hold that SDCL § 21-3-2 authorizes punitive damages for wrongful death claims brought under SDCL § 21-5-1.

Having lost on the text, defendants instead focus on the South Dakota Supreme Court’s decision in Smith v. Chicago, M & St. P Ry. Co., 6 S.D. 583, 62 N.W. 967, 968 (S.D. 1895), which determined that punitive damages were unavailable in a previous version of the wrongful death statute (passed in 1887) and [*79]  urges the court to hold the same under the current statute. See Docket 39 at 20; Docket 66 at 6-8. In Smith, the Court noted that in the version before 1887, the statute allowed individuals to recover “punitive damages for the loss[.]” Smith, 62 N.W. at 968. The legislature, however, struck the word “punitive” and provided that individuals could recover “damages.” See id. The Court observed that this deletion “is an important fact, as showing the intention of the legislature to change the rule allowing a recovery for ‘punitive,’ exemplary, or vindictive damages, and to limit parties to recovery for actual or compensatory damages only.” Id.

But whatever the merits of Smith‘s decision on the availability of punitive damages at the time,16 the South Dakota Legislature has amended the 1887 version of the statute multiple times and thus Smith‘s holding does not bind the court. See Anderson v. Lale, 88 S.D. 111, 216 N.W.2d 152, 155 (S.D. 1974) (recounting the history of the wrongful death statute). Importantly, the Supreme Court in Anderson expressly stated that in interpreting a current version of a statute, the Court is not bound by its previous decisions on previous versions of the statute, even if the wording of such versions is identical to the current version. See id. at 155-56 [*80] . In Anderson, for example, the court confronted the issue of whether a plaintiff could recover for loss of companionship and association under the statute’s allowance of “pecuniary damages.” See id. at 154-55.

In deciding this issue, the court traced the history of the wrongful death statute. In 1909, after the decision in Smith, the Legislature codified the term “pecuniary injury,” and the wrongful death statute remained unchanged until 1947. See Anderson, 216 N.W.2d at 155. Prior to the 1947 change, the Supreme Court at first held in Rowe v. Richards, 32 S.D. 66, 142 N.W. 664, 666 (S.D. 1913), that in a wrongful death action, a plaintiff could recover for loss of means of support, loss of society, comfort, and care suffered by the plaintiff in the death of the decedent. But then in a series of four decisions, the Court narrowed the scope of recoverable pecuniary damages, holding that the wrongful death statute only allowed for expenses necessarily incurred and a reasonable expectation of benefit which would have resulted from the continued life of the deceased. See Anderson, 216 N.W.2d at 155 (citing Smith v. Presentation Acad. of Aberdeen, 61 S.D. 323, 248 N.W. 762 (S.D. 1933); Tufty v. Sioux Transit Co., 69 S.D. 368, 10 N.W.2d 767 (S.D. 1943); Hodkinson v. Parker, 70 S.D. 272, 16 N.W.2d 924 (S.D. 1944); and McCleod v. Tri-State Milling Co., 71 S.D. 362, 24 N.W.2d 485 (S.D. 1946)).

Following these decisions, in 1947, the South Dakota Legislature removed the word “pecuniary” and instead inserted the word “all” in its place, “thus enlarging the measure of damages which could be recovered.” See id. (citing Ch. 173, s 1, S.L. 1947). After this statutory change, the South Dakota Supreme Court expanded the scope of pecuniary damages, holding that “[t]he [*81]  mental anguish and the loss of companionship susceptible of monetary valuation were . . . proper elements to be considered in estimating the damages sustained by the parents.” Id. (quoting Simons v. Kidd, 73 S.D. 306, 42 N.W.2d 307, 310 (S.D. 1950)).

Then in 1967, the South Dakota Legislature passed a new statute, changing the term “all injury” back to “pecuniary injury.” See id. The defendants in Anderson argued the trial court erroneously instructed the jury that “pecuniary loss” included the loss suffered from being deprived of advice, comfort, and protection of the child. See id. at 154-56. In support, the defendants argued the Court should interpret the current statute—which authorized “pecuniary damages”—the same way the Court had interpreted an identical earlier version when it too only authorized “pecuniary damages.” See id. at 155-56. Thus, according to the defendants, “it was the intention of the legislature in making the 1967 changes to return to the more restrictive measure of damages in wrongful death actions of prior times.” Id. at 155.

But the Supreme Court in Anderson explicitly rejected the defendants’ argument, stating that it “d[id] not feel constrained to follow our past decisions.” Id. at 156. Instead, the Court explained that “the wrongful death statute is remedial [*82]  in character and, therefore, should be construed liberally in light of current social conditions.” Id. at 155-56. After considering other state’s decisions, the Court held that the wrongful death statute allowed for pecuniary loss “includ[ing] loss of companionship, society, advice, assistance and protection” where the decedent was a minor. Id. at 158.

While Anderson did not discuss the precise issue in this case—namely, whether the wrongful death statute authorizes punitive damages—it teaches an important lesson. The mere fact that the Supreme Court had once interpreted an identically worded statute (that had then subsequently been amended and then re-adopted) to disallow one type of damages does not automatically mean the Supreme Court will do the same with a newly amended statute. See id. at 155-56. Thus, the court predicts that the South Dakota Supreme Court would not feel bound by Smith‘s interpretation—of a previous version of the wrongful death statute—that excluded punitive damages. That’s especially the case here, where the text of the statutes at issue unambiguously authorizes punitive damages as discussed above.

Finally, the court acknowledges that Smith‘s holding regarding the unavailability of punitive damages [*83]  may be relevant for a related reason: the South Dakota Legislature did not change the wrongful death statute to explicitly provide for punitive damages, even though it could have and even though it changed the wrongful death statute in response to the Supreme Court’s interpretations several times as outlined above. See Anderson, 216 N.W.2d at 155 (walking through various versions and the legislature’s various responses to the Supreme Court’s decisions). Thus, the South Dakota Legislature’s failure to clarify the availability of punitive damages despite Smith‘s contrary holding, given this court “presume[s] the Legislature acts with knowledge of [the Court’s] judicial decisions[,]” “suggests that the Legislature agrees with [Smith‘s] interpretation.” See AEG Processing Ctr. No. 58, Inc., v. S. D. Dep’t. of Revenue and Regul., 2013 SD 75, 838 N.W.2d 843, 848 (S.D. 2013). But this presumption is just a presumption, and it must yield to the plain and unambiguous language of the statutes. See Whalen v. Whalen, 490 N.W.2d 276, 281 n. 2 (S.D. 1992). For the reasons explained above, the court finds that SDCL §§ 21-1-4, 21-5-1, 21-5-7, and 21-3-2, collectively interpreted, unambiguously authorize punitive damages in wrongful death claims, and predicts the South Dakota Supreme Court would do the same.

The court also acknowledges that two previous federal courts, including this court back in 2006, predicted that South [*84]  Dakota does not authorize punitive damages in wrongful death claims. See Sheesley, 2006 DSD 6, 2006 WL 1084103, at *27; Bethel, 597 F. Supp. at 58-59. But neither of these decisions bind the court, nor did either of them discuss the interplay between SDCL §§ 21-1-4, 21-5-1, 21-5-7, 21-3-2, and the Supreme Court decisions in Groseth, Stabler, and Till. After carefully considering the new arguments presented today, the court finds it appropriate to change its mind from Sheesley and respectfully disagree with Bethel.

In short, South Dakota law authorizes punitive damages for wrongful death claims. Of course, this finding says nothing about whether plaintiff will ultimately succeed and secure them. Just like any other claim for punitive damages, plaintiff must show that VanIperen acted with malice as required under SDCL § 21-3-2. See Smizer v. Drey, 2016 SD 3, 873 N.W.2d 697, 703 (S.D. 2016) (citation omitted). In moving for summary judgment, defendants only argue that South Dakota law does not authorize punitive damages. See Docket 39 at 19-21; Docket 60 at 21-23. Defendants do not argue that VanIperen’s actions, viewed in the light most favorable to plaintiff, are insufficient to show malice. See Docket 39 at 19; Docket 60 at 21-23. Thus, based on defendants’ arguments, the court denies defendants’ motion for summary judgment on the issue of punitive damages.17


CONCLUSION

Based [*85]  on the above, it is ORDERED that:

(1) Plaintiff’s partial motion for summary judgment is GRANTED IN PART AND DENIED IN PART. The court grants summary judgment in favor of plaintiff on defendant’s assumption of the risk defense. The court denies summary judgment on the issue of contributory negligence.

(2) Defendants’ motion for summary judgment is GRANTED IN PART AND DENIED IN PART. The court grants summary judgment in favor of defendants on plaintiff’s survival claim. The court denies summary judgment on all other claims.

(3) Defendants’ motion to strike (Docket 67) is DENIED as moot.

(4) Plaintiff’s request for judicial notice (Docket 55) is GRANTED IN PART AND DENIED IN PART. The court takes judicial notice of the previous 1877 and 1887 versions of the wrongful death statutes in South Dakota. The court does not take judicial notice of the various newspaper articles because, even if it is proper, it is unnecessary.

(5) Plaintiff’s request to certify (Docket 57) the issue of whether punitive damages is available under wrongful death suits is DENIED; and

(6) Defendants’ motion for oral argument (Docket 62) is DENIED.

(7) Plaintiff’s motion to supplement the evidentiary record (Docket 79) [*86]  is DENIED as moot.

Dated June 4, 2024.

BY THE COURT:

/s/ Karen E. Schreier

KAREN E. SCHREIER

UNITED STATES DISTRICT JUDGE


End of Document


Defendants spell VanIperen inconsistently. See, e.g., Docket 39 at 1 (“VanIperen”); Docket 12 at 1 (“Van Iperen”). The court adopts the spelling in the most recent filings, which appears to be VanIperen. See Docket 78 at 1.

The operative amended complaint does not expressly state a survival claim, but because defendants do not challenge the sufficiency of the pleading and instead attack the claim on its merits, the court construes the amended complaint as stating a survival claim under SDCL § 15-4-1.

Defendants also move to stay all discovery on liability, or in the alternative, stay all discovery pertaining to defendant VanIperen. Docket 77. Defendants expressly state that this stay request does not apply to damages-related discovery or their pending motion for summary judgment. See Docket 78 at 1 n.1. The court will address defendants’ motion to stay in a separate order.

Plaintiff’s initial motion is somewhat ambiguous regarding the claims on which he requests partial summary judgment. See Docket 46. In the initial motion, plaintiff states he seeks summary judgment “on Defendants’ affirmative defenses of assumption of the risk and punitive damages . . . .” Id. Thus, construed alone, plaintiff does not expressly seek summary judgment on defendants’ contributory negligence defense. See id. In his brief in support of his partial summary judgment request, however, plaintiff argues summary judgment is appropriate in favor of him on the issue of contributory negligence. See Docket 47 at 12-17. As it relates to punitive damages, plaintiff does not argue in briefing that the court should grant summary judgment in his favor on this matter, only that the court ought to certify the issue to the South Dakota Supreme Court or decide for itself that such damages are available in wrongful death actions. See id. at 17-30. In a later filing, plaintiff clarifies that he only seeks summary judgment on defendants’ affirmative defenses of assumption of risk and contributory negligence, but not on punitive damages. See Docket 71 at 7 n.3. The court construes plaintiff’s partial summary judgment motion accordingly, and only considers whether it should grant partial summary judgment in favor of plaintiff on defendants’ affirmative defenses of assumption of the risk and contributory negligence.

Plaintiff also moves to compel certain discovery. Docket 86. The court will address this motion in a separate order.

At times, both parties object to the opposing side’s statements of undisputed fact on the grounds that the fact at issue is immaterial. See, e.g., Docket 48 ¶ 7; Docket 61 ¶ 23. Unless otherwise explicitly stated, if the court includes the fact in this opinion, the court overrules these immateriality objections because Rule 401 is a low bar, and the court finds these facts are directly probative on the issue of contributory negligence and assumption of risk. See Rembrandt Enters. Inc. v. Tecno Poultry Equip. SpA, 2023 U.S. Dist. LEXIS 230141, 2023 WL 9004917, at *6 (N.D. Iowa Dec. 28, 2023) (describing the bar for relevance as posing a “low hurdle” and collecting cases doing the same).

Plaintiff’s claims sound under a survival claim and wrongful death claim rather than a pure negligence claim. See Docket 6. But this difference does not matter, because the South Dakota Supreme Court has applied both the contributory negligence and assumption of risk defenses to a wrongful death action and survival action. See Welch v. Haase, 2003 SD 141, 672 N.W.2d 689, 694-96 (S.D. 2003). Thus, the court applies these defenses to plaintiffs’ claims here.

Plaintiff objects to these statements as being immaterial and as speculative. Docket 48 ¶ 2. The court overrules both objections. First, evidence that Kelley failed to fill up her gas tank is material because a reasonable jury could conclude that her failure to do so was negligent, which directly relates to defendants’ contributory negligence argument. Second, some of Kelley’s statements here are not speculative, because she is explaining what she personally observed (the fuel gauges in the car). Thus, at least some of these statements alone are not speculative—Kelley did not state that her car stopped because of low fuel, but rather she is simply stating her observations. But even if Kelley’s explanations, in context, make the leap from stating what the fuel gauges showed to opining that the lack of fuel caused her car to stop, the court finds it admissible under Rule 701 because her opinion is rationally based on her perception, it is helpful to determine why the car stopped, and does not require technical, scientific, or other expertise. See Fed. R. Evid. 701. It is reasonable for Kelley, as a layperson, to conclude that her car stopped because she ran out of gas. Thus, the court overrules plaintiff’s second speculation objection.

Plaintiff argues that Kelley’s decision to stay in the car is consistent with “prevailing guidance given to motorists.” Docket 47 at 11. In support, plaintiff cites various articles. Id. at 11 n.7. Defendants argue the court must not consider these articles because they are inadmissible hearsay. See Docket 60 at 19 n.14. The court does not decide this issue at this stage because even without considering the articles, the court finds a reasonable jury could find Kelley acted reasonably when she stayed in her car.

10 Defendants argue that plaintiff has waived its opportunity to respond to defendants’ original arguments regarding whether Kelley was legally excused from violating these two safety statutes. See Docket 68 at 2-4 (citing Docket 39 at 13-14). Though defendants correctly note that plaintiff did not expressly reference defendants’ negligence per se arguments, plaintiff did repeatedly argue that Kelley was not at fault for the position in which she found herself. See Docket 47 at 12-17. The court exercises its discretion in generously construing plaintiff’s response in Docket 47. Still, in doing so, the court does not consider plaintiff’s arguments in pages 14-17 of Docket 63 with respect to negligence per se, and thus the court denies as moot defendants’ request to strike such arguments (plaintiff’s brief in pages 14-17 of Docket 63).

11 Defendants alternatively argue that even if Kelley did have a coat, she was negligent for not wearing it and then exiting her car. Docket 60 at 10. But for the reasons above, the court finds that a reasonable jury could conclude Kelley acted reasonably in staying in her car given that she activated her hazard lights and that she could also place herself at risk by exiting her car while on an interstate. See Docket 48 ¶ 9 (not disputing that Kelley stayed in car); Docket 60 ¶¶ 7 (not disputing Kelley’s car was in right hand lane of I-29); 11 (not disputing that Kelley activated hazard lights).

12 As part of the contributory negligence argument, defendants also move to strike Docket 64-2 because plaintiff introduced it only in his reply to his motion for partial summary judgment, even though he could have referenced it in his initial motion for summary judgment or his response to defendants’ motion for summary judgment. Docket 68 at 5-6. Even if plaintiff’s reliance on Docket 64-2 in his reply brief to his motion for partial summary judgment is impermissible, plaintiff only cites Docket 64-2 twice, both times for factual propositions that are largely already in the record. See Docket 63 at 2 (citing Docket 64-2 for proposition that VanIperen was playing video games on phone for at least 20 minutes leading up to crash), 10 (citing Docket 64-2 for proposition that Kelley turned on her hazards). The court does not rely on Docket 64-2 in reaching any of its conclusions, so the court denies defendants’ motion to strike Docket 64-2 as moot.

13 The court need not decide whether a plaintiff is entitled to other kinds of injuries in his survival claim—apart from the decedent’s physical or emotional pain and suffering—such as funeral costs or loss to the car, because plaintiff has submitted no evidence that the decedent’s estate had to pay any funeral expenses and it is undisputed that Kelley did not own the Equinox. See Docket 48 ¶ 14 (only disputing the relevance that plaintiff rented the Equinox from Enterprise Rent-A-Car Company — Midwest, LLC); Cf. Rubeck v. Huffman, 54 Ohio St. 2d 20, 374 N.E.2d 411, 413-14 (Ohio 1978) (noting that there was no evidence that decedent suffered property loss in fatal car crash because there was no evidence that decedent owned the car).

14 Defendants move the court to strike the portion of plaintiff’s reply brief that discusses plaintiff’s survival claim (pages 22-23 in Docket 63), including discussions of Dr. Ziejewski’s report. See Docket 67; Docket 68 at 1. Defendants also move the court to not consider Dr. Ziejewski’s report. Docket 67; Docket 68 at 1. In support, defendants state that plaintiff submitted these items in his reply brief to plaintiff’s motion for summary judgment, but plaintiff did not move for summary judgment on his survival claim. See Docket 68 at 1-2; see also Docket 46 (moving only for summary judgment on defendants’ affirmative defenses and on the issue of punitive damages under wrongful death statute); Docket 47 at 5-29. As a result, defendants argue that plaintiff’s items are aimed at refuting defendants’ motion for summary judgment, in which case such items constitute an impermissible sur-reply. Docket 68 at 1-2, 4-12. The court need not rule on whether to strike these submissions because, for the reasons stated below, even considering these submissions, the court finds they are insufficient to justify plaintiff’s Rule 56(d) request. Thus, the court denies defendants’ motion to strike the portion of plaintiff’s reply brief that discusses plaintiff’s survival claim and Dr. Ziejewski’s report as moot.

15 SDCL § 37-5-4 provides: “Each and every person and corporation who or which violates any provision of §§ 37-5-1 to 37-5-3, inclusive, shall be liable to any dealer damaged thereby for all damages caused to such dealer by such violation.”

SDCL § 37-5-1 provides:

It is a Class 1 misdemeanor for any manufacturer, factory, branch, distributor, or distributor-branch, or any field representative, officer, agent, or representative of any of them to coerce or attempt to coerce any dealer to purchase or accept delivery of any merchandise, repair parts for the merchandise, or any other commodity that has not been ordered by the dealer; by threatening to cancel or terminate any franchise, agency, arrangement, or agreement existing between such manufacturer, factory, branch, distributor, distributor-branch, or any field representative, officer, agent, or representative of any of them and the dealer or by any other unfair means or by duress of any kind.

SDCL § 37-5-2 provides:

It is a Class 1 misdemeanor for any manufacturer, factory, branch, distributor, or distributor-branch, [*72]  or any field representative, officer, agent, or representative of any of them to coerce or attempt to coerce any dealer to enter into any agreement with the manufacturer, factory, branch, distributor, or distributor-branch, or any field representative, officer, agent, or representative of any of them, or to assign, sell, or dispose of any contract or property in any way, or to expend any money or do any other act unfair to such dealer; by threatening to cancel or terminate any franchise, agency, arrangement, or agreement existing between such manufacturer, factory, branch, distributor, distributor-branch, or any field representative, officer, agent, or representative of any of them and the dealer or by any other unfair means or by duress of any kind.

SDCL § 37-5-3 provides:

It is a Class 1 misdemeanor for any manufacturer, factory, branch, distributor, or distributor-branch, or any field representative, officer, agent, or representative of any of them, unfairly, without due regard to the equities of the dealer and without just provocation, to cancel the franchise of any dealer.

16 Plaintiff invites this court to revisit Smith‘s decision by introducing additional evidence of the legislature’s intent at the time it struck the word “punitive” from the statute providing for damages under wrongful death suits. See Docket 47 at 19-27; Docket 58 at 8-21. But for reasons explained above, the court finds it unnecessary to dive into the previous legislative record based on the plain text of SDCL §§ 21-1-4, 21-5-1, 21-5-7, and 21-3-2. Relatedly, plaintiff requests the court take judicial notice of various items, including the 1877 and 1887 versions of Dakota Territory laws relating to wrongful death actions and punitive damages, as well as newspaper articles printed during this time period. See Docket 55. Defendants do not object to the court taking judicial notice of the 1877 and 1887 versions of the statutes. See Docket 65 at 1-2; see also McIndoo v. Burnett, 494 F.2d 1311, 1313 (8th Cir. 1974) (explaining “the law of any state of the Union, whether depending upon statutes or upon judicial opinions, is a matter of which the courts of the United States are bound to take judicial notice, without plea or proof”). The court thus takes judicial notice of these previous versions of the statutes. With respect to the newspapers, however, defendants object for various reasons. See Docket 65 at 2. The court does not rely in any way on the contents of these newspapers in reaching its decision, so the court denies plaintiff’s request to take judicial notice of these newspaper articles as moot.

17 As mentioned at the beginning of this order, plaintiff also moves to supplement the evidentiary record, including portions of VanIperen’s deposition testimony, Harms Oil employee Travis Manke, Harm Oil’s safety manager DuWayne Aman, other witnesses, discovery requests to defendants for which responses are pending, and “other relevant evidence obtained following the close of briefing on [d]efendants’ motion for summary judgment.” Docket 79 at 1-2. This evidence does not appear relevant to plaintiff’s survival claim on the issue of whether Kelley died instantaneously, which is the only claim on which the court granted summary judgment in favor of defendants. Rather, this proposed evidence appears relevant for the issues of contributory negligence, assumption of the risk, and punitive damages for plaintiff’s wrongful death claim. Because the court denies defendants’ summary judgment motion on the issues of contributory negligence, assumption of the risk, and punitive damages in plaintiff’s wrongful death claim, the court denies plaintiff’s motion to supplement the evidentiary record (Docket 79) as moot.

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