This slip opinion is subject to revision and may not
reflect the final opinion adopted by the Court.
Opinion
Supreme Court of Missouri
Case Style: Kimberly R. Alcorn, Respondent, v.
Union Pacific Railroad Company and National Railroad Passenger Corporation,
d/b/a Amtrak, Appellants, Curtis Edwards, Respondent.
Case Number: SC82325
Handdown Date: 05/29/2001
Appeal From: Circuit Court of Jackson County,
Hon. Charles E. Atwell, Judge
Counsel for Appellant: Thomas B. Weaver,
Theodore J. Williams, Jr., Jeffrey T. McPherson, Heather L. Reinsch, Dan H.
Ball, James W. Erwin and David A. Dick
Counsel for Respondent: Grant L. Davis, Thomas
C. Jones, Scott S. Bethune, Timothy L. Brake, John S. Rollins, Robert H. Houske,
Edward D. Robertson, Jr., and Anthony L. Dewitt
Opinion Summary:
An Amtrak train and a car carrying passenger Kimberly
Alcorn collided on Union Pacific Railroad tracks. When Alcorn sued, the jury
found Union Pacific and Amtrak liable and the car's driver not liable. The jury
awarded damages, which the court remitted to $25 million compensatory and to $50
million punitive against Union Pacific.
AFFIRMED IN PART AND REVERSED IN PART.
Court en banc holds: The
remitted compensatory damage award is affirmed. The punitive damage award is
reversed.
(1) Missouri statutes do not preempt Union Pacific's
common law duty to exercise due care to protect the public at railroad
crossings. Section 389.610.4 vests "exclusive power" over railroad
crossings with the division of motor carrier and railroad safety. This provision
supplements existing law and must be read with its subsection 2, which requires
a railroad to "construct and maintain good and sufficient crossings."
Nothing in the statute negates the common law duty. The state had not assumed
jurisdiction over the crossing. Until the division assumes jurisdiction with
respect to this particular crossing, and has made an order with respect to it,
the common law duty remains. Union Pacific fails to show the division assumed
such jurisdiction.
(2) Alcorn made a case of negligence against Union
Pacific.
(A) As to Union Pacific's duty, Union Pacific had notice
that the crossing was hazardous. There was ample evidence of sight limitations
at the crossing, which is a general type of harm. It was foreseeable that
motorists from either direction were at risk.
(B) As to causation, despite Union Pacific and Amtrak's
efforts to blame the driver, the jury assessed him zero fault. The evidence
sufficed for the jury to conclude inadequate warning was a major cause.
(C) Union Pacific's duty to use reasonable care was not
affected by the time necessary to obtain state approval to upgrade the crossing.
(D) The jury instruction did not give the jury a roving
commission to find Union Pacific liable. The use of an MAI jury instruction,
properly modified for a particular case, contemplates that counsel will advise
the jury of details. The verdict director complies with Rule 70.02(b) because it
is brief and does not require the jury to find detailed evidentiary facts. The
railroad defendants were permitted to give three limiting instructions.
(3) Alcorn made a case of negligence against Amtrak.
(A) There is no federal preemption of Alcorn's claim
because her claim involves a specific, individual or local hazard. Although
federal law preempts state common law claims based merely on excessive speed, it
does not preempt such claim based on the train's duty to slow or stop where a
specific hazard exists. The car's unwavering approach, where the engineers knew
or should have known collision was imminent, is a specific, identifiable hazard.
(B) The negligence instruction as to Amtrak was not
erroneous. It did not permit the jury to render a verdict on speed but, rather,
on the car's unwavering approach and the train's ability to brake to avoid the
collision.
(C) Amtrak engineers' failure to slow was a cause of
Alcorn's injuries, based on the evidence.
(4) An earlier accident and previous "near
misses" were relevant to show notice to Union Pacific and Amtrak of the
crossing's unusually hazardous condition. Omitting reference to the accident's
fatality eliminated inflammatory impact and confined use to notice.
(5) The court did not err in admitting expert testimony
and computer calculations regarding the train's stopping distances. Missouri
courts have not established specific foundational requirements for
computer-generated evidence. There was considerable foundation. The expert was
subject to cross-examination.
(6) The court did not abuse its discretion in finding that
a juror who failed to disclose a lawsuit did not do so intentionally and did not
prejudice the railroad defendants.
(7) After the jury returned a verdict finding Union
Pacific liable for punitive damages, but before assessing the amount, a juror
visited the crossing. The court could cure any problem as to the amount of
punitives through remittitur, but it is unnecessary to reach the issue since
Alcorn failed to make a case for punitive damages.
(8) Punitive damages require conduct so egregious that it
is tantamount to intentional wrongdoing. While there were sight problems at the
crossing, there were passive warning devices that Union Pacific believed
satisfied its duty to the public. For negligence, the railroad was on notice of
the hazard. But there was no clear evidence that Union Pacific knowingly
violated an applicable regulation or statute by failing to upgrade the crossing.
It was in the process of upgrading, and there is no showing it failed to
cooperate with the state. The jury's determination did not equate to a judicial
determination that the conduct was tantamount to intentional wrongdoing.
(9) The trial court did not abuse its discretion in
failing to further remit Alcorn's compensatory damages. Alcorn suffered
extremely serious, painful, debilitating and permanent injuries. The amount in
this case (11.5 non-economic to 1 economic) is not manifestly unjust.
Citation:
Opinion Author: Michael A. Wolff, Judge
Opinion Vote: AFFIRMED IN PART AND REVERSED IN
PART. Price, C.J., White, Holstein and Benton, JJ., and Autrey and Wallace,
Sp.JJ., concur. Limbaugh and Stith, JJ., not participating.
Opinion:
Introduction
Kimberly R. Alcorn was a passenger in a car driven by Curtis Edwards, which was
hit by an Amtrak train at a railroad crossing on a county road south of Highway
50 between Warrensburg and Sedalia, Missouri. Union Pacific Railroad owned the
tracks and crossing. Alcorn suffered serious, permanent injuries and sued Union
Pacific Railroad, Amtrak,(FN1) Edwards, and the
engineer operating the train, David Grimoldi.
Alcorn dismissed her claims against Grimoldi before trial, and the case was
tried against the remaining three defendants. The jury found Union Pacific and
Amtrak liable, attributing 75 percent fault to Union Pacific and 25 percent
fault to Amtrak. The jury assessed no liability to Edwards. The verdict for
compensatory damages was $40,366,517.59. The jury also found Union Pacific
liable for punitive damages in the amount of $120,000,000. After defendants'
post-trial motions, the trial court remitted the awards to $25,000,000 for
compensatory damages and $50,000,000 for punitive damages.
Union Pacific and Amtrak filed their notices of appeal to this Court. The issues
include whether Missouri's punitive damages extraction statute, section 537.675,(FN2)
violates the United States and Missouri Constitutions. Because this case
involves the validity of a statute, this Court has exclusive appellate
jurisdiction. Mo. Const. art. V, sec. 3; see also Rodriguez v. Suzuki
Motor Corp., 996 S.W.2d 47, 52-53 (Mo. banc 1999).
Union Pacific contends that section 389.610 preempts any common law duty to
exercise due care with respect to warnings at railroad crossings and that the
state regulatory agency had assumed jurisdiction over the crossing. Amtrak and
Union Pacific also argue that Alcorn failed to make a submissible case as to
negligence and causation. Accordingly, Union Pacific and Amtrak claim that, as a
matter of law, they are not liable to Alcorn.
Union Pacific and Amtrak also assert evidentiary and instructional errors that,
they claim, would warrant a new trial.
On the judgment for punitive damages, which was against Union Pacific only, the
railroad contends that Alcorn failed to make a submissible case.
For reasons that follow, the judgment against Union Pacific and Amtrak for
compensatory damages, as remitted by the trial court, is affirmed. Because this
Court concludes that Alcorn failed to make a submissible case for punitive
damages, the judgment for punitive damages is reversed. Facts(FN3)Kimberly
Alcorn was a passenger in a car driven by her boyfriend, Curtis Edwards, on
August 29, 1997. At around 4:30 p.m. they were returning from Kansas City to
their home in Sedalia. On Highway 50 just east of Warrensburg, Edwards drove his
car into a ditch to avoid colliding with another vehicle. Alcorn apparently
suffered a bruise on her arm. After this incident, Edwards decided to take back
roads.
Edwards turned on to County Road 501. Edwards did not recall ever traveling on
this road before. County Road 501 is a gravel road with some S-curves just south
of Highway 50. Edwards drove the S-curves without incident and was going
approximately 30 miles per hour on a straight section of the road. Edwards
testified that he did not see any advance warning devices to indicate that his
car was about to cross a set of railroad tracks. While Edwards said he had
glanced at Alcorn's arm and was conversing with her while he was driving, he
clearly testified that he was paying attention to his driving.
Edwards said that he did not hear the train's whistle, nor did he see the train
before the crash. Edwards also did not recall seeing the railroad crossbucks,
which is a sign in the shape of an "x" with the words
"railroad" and "crossing."
The Amtrak train's crew, David Grimoldi, the engineer, and Kenneth Stoner, the
assistant engineer, were operating the four-car passenger train en route from
Kansas City to St. Louis as it approached County Road 501. The train was
traveling east at maximum throttle, approximately 67 to 68 miles per hour. The
day was hot, clear, and sunny. Stoner said he saw the approach of Edwards' car,
as soon as it turned from Highway 50 onto County Road 501. Stoner described the
approach of the car as being constant, at about 20 to 25 miles per hour, and
that the car did not speed up or slow down. Stoner said that the car did not
appear to be trying to speed up to beat the train, and he concluded that Edwards
evidently did not see the train. Grimoldi also observed the car driving down
County Road 501, estimating that he saw the car for at least 10 seconds before
the train hit it. He, too, did not see Edwards' car speed up or slow down.
Stoner started sounding the train's emergency horn "quite a distance back
from the crossing," because Edwards' car was approaching the crossing.
However, the car continued to drive toward the crossing without slowing. After
blowing the train's emergency horns, Grimoldi placed the train in emergency
braking. The train hit the car's right rear quarter panel. The parties' experts
dispute whether the train's emergency brakes were applied before or after the
train hit Edwards' car. Alcorn's expert testified that the train was not placed
into emergency braking until some 200 feet after the collision with Edwards'
vehicle.
Other motorists, who had had close calls, or "near misses," with
trains at the same railroad crossing, testified that there was difficulty both
in seeing and hearing a train until it was very close to the crossing.
Grimoldi and Stoner testified as to previous incidents or close calls at the 501
crossing. Grimoldi was the engineer of an Amtrak train involved in a fatal
accident at the 501 crossing in April 1997. While Grimoldi did not recall saying
that the 501 crossing was dangerous, a state highway patrol officer testified
that after the April 1997 crash, Grimoldi said that he believed the 501 crossing
was dangerous. Stoner also said that he generally considered the 501 crossing to
be dangerous, as he had had five or six close calls over the previous 10 years
at this crossing.
Edwards returned to the scene of the crash four days later. When he came close
to the tracks, he saw a crossbuck train warning sign, but it was propped up at
an angle in a ditch. Edwards was able to see the crossbuck this time, because he
was specifically looking for any indication that there were train tracks nearby.
There was considerable testimony concerning "sight distance
obstructions" at the tracks' intersection with County Road 501. One expert
said the view of a train would be "very, very obstructed by the northwest
quadrant," which was the relevant quadrant in this case for the collision
of a southbound car and an eastbound train. Although the crossing's northwest
quadrant is the one most relevant to this collision, sight obstructions in one
quadrant exacerbate sight problems in the other quadrants of a crossing,
according to the experts.
This sight distance obstruction had been at the 501 crossing for quite some time
before the collision. The tracks were somewhat obscured because the tracks were
in a valley, some 23 feet below the level of the road. Moreover, because of the
vegetation, a southbound motorist such as Edwards could not see the train tracks
as he approached. The northwest quadrant did not have adequate sight distances
to meet published standards of the United States Department of Transportation
and the American Association of State Highway Transportation Officials.
At least five lay witnesses described various difficulties in seeing the trains,
including obstructions caused by trees, brush and the sun, as well as the lay of
the track. One witness said she had called Amtrak to report a close call and
said that there was a need for lights and gates at the 501 crossing. Union
Pacific had called a local concrete company to complain that its trucks were
getting too close to the trains at the 501 crossing; the company's operation
manager complained to someone at Union Pacific that the drivers could not see
down the tracks to keep this from happening.
There was testimony that Union Pacific officials knew that the 501 crossing
should have been equipped with gates and lights. Union Pacific was aware, for
nearly a year before Alcorn's crash, of a sight distance limitation of 90
percent at the 501 crossing for at least one of the quadrants. As early as
September 1996, the 501 crossing was identified as needing improvement, and
three months before the Alcorn collision the State of Missouri authorized the
railroad to perform a preliminary engineering plan and cost estimate for the 501
crossing. Lights and gates at a crossing reduce the probability of crossing
accidents by 90 percent, according to a Union Pacific representative.
As a result of the accident, Alcorn sustained substantial injuries. These
included over 20 broken bones, significant blood loss, and a traumatic head
injury. She went into cardiac arrest, spent over 40 days in the hospital, and
lapsed into a coma for several days. Alcorn's vision has been diminished, she
suffers from a permanent mood disorder and depression, she suffers chronic pain,
her cognitive abilities have decreased, and she is unable to care for herself.
Union Pacific's preemption claims
Union Pacific advances two arguments that Missouri statutes preempt any common
law duty to exercise due care to protect the public at railroad crossings.
First, Union Pacific argues that section 389.610.4 vests "exclusive
power" over railroad crossings with the division of motor carrier and
railroad safety; therefore, Union Pacific has no independent legal duty to
evaluate a crossing to determine whether additional warning devices are needed.
Second, Union Pacific argues that the state had assumed jurisdiction over the
501 crossing, because the double-faced reflectorized crossbucks were either
installed or maintained pursuant to an order or rule by the division of motor
carrier and railroad safety. As such, the railroad argues that the warning
devices are presumed adequate under section 389.614, and Union Pacific had no
legal duty or authority to install additional warning devices at the crossing.
A. There is no state law preemption of the railroad's common law duty to
exercise due care
Union Pacific asserts that section 389.610.4 vests "exclusive power"
over railroad crossings with the division of motor carrier and railroad safety;(FN4)
thus, Union Pacific argues, it has no independent legal duty to evaluate a
crossing to determine whether additional warning devices are needed. Contrary to
Union Pacific's reading, the "exclusive power" provision has
traditionally been interpreted to "supplement, not repeal existing
law." Clark v. Mississippi River & B.T. Ry., 23 S.W.2d
174, 177 (Mo. 1929); cf. Koehler v. Burlington Northern, Inc., 573 S.W.2d
938, 943 (Mo. App. 1978).
Section 389.610.4 must be read with subsection 2 of section 389.610, which
requires a railroad to "construct and maintain good and sufficient
crossings."(FN5) Union Pacific reads "exclusive
power" out of context to mean that the division alone--to the exclusion
of all others, including the railroad--is vested with the authority to determine
whether certain railroad crossing warnings are required. The "exclusive
power" of the division of motor carrier and railroad safety is to the
exclusion of authority that might otherwise be exercised by municipal, county,
Missouri Department of Transportation, or other authorities. City of St.
Louis v. St. Louis-San Francisco Ry. Co., 50 S.W.2d 637 (Mo. 1932). Read in
context, the statute ensures that there are "minimum standards" in the
construction of a crossing and a single regulatory source for construction
standards and allocation of costs.(FN6)
Nothing in the statute negates the railroad's common law duty to use reasonable
care in providing adequate warning of railroad crossings. In fact, section
389.610.2 sets forth the duty by requiring the railroad to "construct and
maintain good and sufficient crossings." While the statute provides a
regulatory mechanism for ordering the upgrading of crossings, it does not
supercede the railroad's common law duty. All that the statute provides is a
presumption that such crossing protections, when built, will be presumed
adequate. Section 389.614.(FN7)
"Where the legislature intends to preempt a common law claim, it must do so
clearly." Overcast v. Billings Mutual Ins. Co., 11 S.W.3d 62, 69
(Mo. banc 2000). If the General Assembly wanted to displace the railroad's
common law duty to provide adequate warnings at its railroad crossing in chapter
389, it would have done so clearly. Instead the statute's language continues a
duty to use reasonable care in constructing and maintaining "good and
sufficient" crossings. Section 389.610.2.(FN8)
The fact that the State of Missouri, either on its own, through agency decision,
or through programs sponsored by the federal government such as the grade
crossing safety program, has sought to identify hazards and prioritize
improvement projects does not negate the railroad's duty.(FN9)
See Pierce v. Platte-Clay Elect. Coop., Inc., 769 S.W.2d 769, 772
(Mo. banc 1991). The question of preemption is answered by the language of the
statute itself. In the circumstances of this case, there was no preemption.
B. The state had not assumed jurisdiction over the 501 crossing
Union Pacific argues that, under section 389.614, the state had assumed
jurisdiction over the 501 crossing; therefore, the railroad had no duty to
exercise reasonable care because it was the state's responsibility. Section
389.614 says that "warning devices, which are installed or maintained by
order or rule of the division, are presumed to be adequate and appropriate . . .
."
Until the division of motor carrier and railroad safety assumes jurisdiction
with respect to this particular crossing, and has made an order with respect to
the crossing, the railroad's common law duty to use due care remains. Cf.
Clark, 23 S.W.2d at 177; Koehler v. Burlington Northern, Inc., 573
S.W.2d 938, 943 (Mo. App. 1978); Thomas v. Chicago, R.I. & P Ry., 271
S.W. 862, 865 (Mo. App. 1925); Mott v. Missouri Pacific R.R., 926
S.W.2d 81, 85 (Mo. App. 1996).
The burden is on the railroad to show that the state agency has assumed
jurisdiction by a particular order. Clark, 23 S.W.2d at 177. Union
Pacific argues that pursuant to an application from the state highway
commission, the Missouri public service commission(FN10)
issued an order on August 1, 1979, requiring the installation of two
double-face, reflectorized crossbuck warning signs at Missouri Pacific's(FN11)
public roadway crossings within the state where such installation was possible
and where such signs did not already exist. While the railroad conceded that it
did not have direct proof that the reflectorized crossbucks at the County Road
501 crossing were installed pursuant to the 1979 commission order, it said that
these crossbucks were exactly the type required by the order and were at the
crossing by 1982.
Union Pacific fails to show that the state agency has assumed jurisdiction over
the 501 crossing. First, there is no order in the record concerning the
installation of warning signs at the 501 crossing. Second, Union Pacific's
assertion that these crossbucks were maintained pursuant to the 1979 commission
order is without merit, because a review of that order shows that its purpose
was the installation of "two reflectorized crossbuck signs at every public
highway railroad crossing of the railroad's line . . . where such protection is
not already in place, provided such installation is physically possible."
There is nothing in the order regarding further maintenance of warning signs not
part of the order. Third, the order itself specifically states that the purpose
of installing the reflectorized crossbuck is to provide "minimum
protection" and that the "application does not affect those crossings
in the state which may warrant the installation of additional protection
devices."
This 1979 order cannot be construed to preempt a common law duty when it
specifically proclaims that it does not affect those crossings where additional
warning devices may be needed.
Union Pacific also argues that the state had assumed jurisdiction by the state's
diagnostic inspection at the 501 crossing on September 18, 1996. The railroad
argues that the state, exercising its "exclusive power," concluded
that additional devices might be appropriate based on a finding of a 90 percent
sight obstruction. The state authorized the railroad to begin preliminary
engineering work for the installation of gates and warning lights on May 9,
1997, which was shortly after the fatal accident at the crossing in April 1997.
By the state's letter authorizing preliminary engineering work, Union Pacific
argues the state assumed jurisdiction over the 501 crossing, and the railroad
was actively participating and complying with the timetable required by the
state.
However, neither the 1996 diagnostic inspection nor the state's letter to Union
Pacific authorizing it to begin preliminary engineering to produce a plan and
cost estimate is an order or rule of the division of motor carrier and railroad
safety. Moreover, until the crossing devices are actually installed, pursuant to
an order or rule, the presumption of adequacy in section 389.614 does not apply.
As the second sentence of section 389.614 clearly states: "All railroads
shall continue to exercise reasonable care at railroad crossings for the safety
of the members of the public using the crossing." The continuation of the
common law duty to maintain safe crossings fits the statutory purpose because it
accounts for changes in crossings that may not come to the attention of
regulators. These changes could include, for example, a change in vegetation and
other sight obstructions, the type and frequency of trains regularly going over
the crossing, or a change in the type or numbers of vehicles using the crossing.
See, e.g., Baldwin v. Atchison, Topeka & Santa Fe, 425
S.W.2d 905, 907 (Mo. 1968); cf. City of Kansas City v. Kansas City Belt Ry.
Corp., 14 S.W. 808, 809 (Mo. 1968). If the railroad becomes aware that a
particular crossing is dangerous, it has a duty to exercise reasonable care to
protect persons using the crossing. Cf. Koehler, 573 S.W.2d at 943.
Union Pacific had notice that the County Road 501 crossing was hazardous and
there was evidence sufficient for the jury to find that the accident was
caused by the railroad's failure to provide adequate warning devices
Even if Alcorn's negligence claim is not preempted, the railroad argues that she
still failed to prove that the railroad had actual or constructive knowledge
that the 501 crossing was unusually hazardous because of alleged sight
deficiencies in the northwest quadrant of the crossing or that any such breach
of an alleged duty was the cause of the collision. Union Pacific also argues
that, given the need to obtain state approval to install additional warning
devices, the railroad could not have installed such devices before her accident
on August 29, 1997; thus, the claimed breach of duty was not a proximate cause
of her injuries.
A. Union Pacific's duty
Union Pacific's argument is focused on whether it breached its duty of care and,
specifically, whether the risk of harm was foreseeable. See Lopez v. Three
Rivers Elec. Coop., 26 S.W.3d 151, 155 (Mo. banc 2000). The breach of the
duty of care is a question of fact, which is normally an issue for the jury to
decide. Crane v. Drake, 961 S.W.2d 897, 901 (Mo. App. 1998). The
foreseeability question is whether the defendant should have foreseen the type
of harm that in fact occurred and whether the plaintiff was within the class of
persons to whom such harm might foreseeably happen. 1 Dan B. Dobbs, The
law of torts sec. 182 (2001); see also Lopez, 26 S.W.3d at 156. For
purposes of duty, and to determine whether Alcorn made a submissible case, the
question is whether Union Pacific should have foreseen the risk of danger and
whether motorists driving south on County Road 501 were within the class of
persons to whom such harm might foreseeably occur.
Union Pacific asserts, contrary to the evidence, that it did not have actual or
constructive knowledge that the crossing was unusually dangerous from the
northwest quadrant. The railroad points out that the only previous accident at
the crossing -- the fatal accident in April of 1997 -- involved the southeast
quadrant of the crossing, that is, a northbound motorist and a westbound train.
Further, Union Pacific asserts that none of the other purported incidents or
close calls were identified as involving southbound motorists and an eastbound
train -- as Alcorn's collision did. The railroad ignores evidence that the
crossing was dangerous for motorists from either direction, and that Union
Pacific knew or should have known of that condition.
Union Pacific's argument is not only contrary to evidence that supports the
verdict, but is unduly restrictive. A defendant is liable for harm he
negligently causes "so long as a reasonable person in his position should
have recognized or foreseen the general kind of harm the plaintiff
suffered." Dobbs, supra, sec. 189; see also Pierce
v. Platte-Clay Elec. Co-op., 769 S.W.2d 769, 776 (Mo. banc 1989). A
defendant is not relieved of liability merely because the precise manner in
which the injury occurred or its details were unforeseeable. Pierce, 769
S.W.2d at 776.
There was ample evidence of sight limitations at the 501 crossing, which is
certainly a general type of harm, and the jury could have concluded that Union
Pacific had actual or constructive notice that the crossing was unusually
hazardous. In addition to Union Pacific's actual knowledge of the April 1997
fatal accident, a representative of Union Pacific reportedly contacted the
manager of a concrete plant that is near the 501 crossing concerning the
concrete mixer trucks getting too close to the trains. During that conversation
the manager of the concrete plant told Union Pacific that there was a problem
seeing trains coming down the tracks. There was testimony that there was a 90
percent sight distance obstruction, which Union Pacific knew about at least by
September 1996. Although the evidence of danger to northbound motorists may be
stronger than evidence of danger to southbound vehicles, from the evidence
presented it was foreseeable that motorists coming from either direction were at
risk of harm.
This risk of harm was foreseeable well before Alcorn's collision. Alcorn was in
the class of persons to whom such harm could occur. As such, the evidence here
is sufficient to support submission of the negligence claim to the jury.
B. Whether lack of adequate warnings caused the accident
Union Pacific argues that Alcorn failed to establish a causal connection between
its alleged negligence and the injuries she sustained.
The question of whether an injury in fact was caused by negligence is for the
jury. Stroot v. Taco Bell Corp., 972 S.W.2d 447, 449 (Mo. App. 1998); see
also Dobbs, supra, sec. 182. The issue, when addressed by the
court as a matter of law, is phrased in terms of proximate cause. This Court
examines proximate cause to determine "whether an injury is the natural and
probable consequence of the defendant's negligence." Stanley v. City of
Independence, 995 S.W.2d 485, 488 (Mo. banc 1999). "Proximate cause
cannot be based on pure speculation and conjecture." Id. As this
Court explained in Callahan v. Cardinal Glennon Hospital, 863
S.W.2d 852, 853, 865 (Mo. banc 1993), "Proximate cause requires something
in addition to a 'but for' causation test" to exclude causes upon which it
would be "unreasonable to base liability upon because they are too far
removed from the ultimate injury or damage." An element of this examination
is foreseeability, but with the advantage of hindsight. Id. As to
proximate cause, "foreseeability refers to whether a defendant could have
anticipated a particular chain of events that resulted in injury or the scope of
the risk that the defendant should have foreseen." Lopez, 26 S.W.3d
at 156. It is not necessary that a defendant anticipate "the very injury
complained of or anticipated that it would have happened in the exact manner
that it did." Callahan, 863 S.W.2d at 865 (quoting Tharp
v. Monsees, 327 S.W.2d 889, 894 (Mo. banc 1959)). "All that is
necessary is that he [the defendant] knew or ought to have known that there was
an appreciable chance that some injury would result." Id.
Put simply, this Court's inquiry is whether there are sufficient facts to show
that an injury is "the natural and probable consequence of the defendant's
negligence" in order to make a submissible case. Stanley, 995 S.W.2d
at 488.
Union Pacific claims that Edwards' inattention caused the collision, not the
sight problems at the crossing. However, Union Pacific in effect asks this Court
to ignore or discount Edwards' unequivocal testimony, and the jury's apparent
acceptance of it, that he was paying attention when he was driving down County
Road 501.
Despite the efforts of the Union Pacific and Amtrak to blame Edwards, the jury
assessed zero fault to him.(FN12) The evidence here
was sufficient for the jury to conclude that the lack of adequate warnings at
the 501 crossing was a major cause in fact of the accident.
C. Union Pacific's duty to use reasonable care was not affected by the
time necessary to obtain state approval to upgrade the crossing
Union Pacific argues that Alcorn failed to show that it could have installed
additional warning devices before the Alcorn collision on August 29, 1997, and
without this showing Alcorn failed to prove that the claimed breach of duty was
a cause of her injuries.
There was evidence that Union Pacific had ample notice of the hazardous nature
of the crossing in sufficient time to allow installation of appropriate
warnings. There is no basis in this record for negating the jury's determination
that the failure to install appropriate warnings was a cause of Alcorn's
injuries.
Union Pacific had notice of the danger presented by the crossing no later than
September 1996. Furthermore, Union Pacific had notice of previous close calls,
the April 1997 fatality, and notice from the State of Missouri requiring active
warning devices at the 501 crossing. Moreover, a Union Pacific representative
testified that it was possible to upgrade crossings using its own funds, without
state or federal funds, and the appropriate approvals would be granted.
The evidence supports the jury's finding as to causation.
D. The jury instruction did not give the jury a roving commission to find
Union Pacific liable
Union Pacific also argues that the verdict-directing jury instruction, which was
a modified MAI, gave the jury a "roving commission." Specifically,
Union Pacific complains that the instruction did not provide the jury any
factual guidelines to determine whether Union Pacific acted negligently, and
this permitted the jury to hold the railroad liable based on a finding that it
failed to warn motorists of "inadequate sight distance" at the
crossing, or failed to warn motorists that the crossing was "unusually
hazardous," or because it failed to install flashing lights and gates.
Union Pacific argues that the instruction allowed the jury to find the railroad
negligent based upon a variety of unidentified factors, which was prejudicially
erroneous and should require the granting of a new trial.
The verdict-directing instruction is as follows:
On the claim of plaintiff Kimberly Alcorn for compensatory damages for
personal injury against defendant Union Pacific Railroad Company, your
verdict must be for plaintiff Kimberly Alcorn if you believe:
First, the crossing was unusually hazardous because it did not afford
southbound motorists adequate sight distance to observe trains approaching
the crossing from the west, and
Second, defendant Union Pacific Railroad Company knew or by using ordinary
care should have known of this condition, and
Third, defendant Union Pacific Railroad Company failed to use ordinary care
to warn of such condition, and
Fourth, such failure directly caused or contributed to cause damage to
plaintiff.
The instruction is a modified MAI 22.02 verdict director, based in part on Lohmann
v. Norfolk & Western Ry. Co., 948 S.W.2d 659 (Mo. App. 1997). In Lohmann,
the railroad defendant contended that the trial court's instruction erred in not
specifying the type of warning the railroad failed to provide and the reasons
the crossing was "unusually hazardous;" therefore, the railroad
argued, the jury was allowed improperly to speculate on these issues. Id.
at 666. While the Lohmann defendant's objections were not properly
preserved for appeal, the court said that the jury need not determine what
particular means the railroad should have used to protect persons using their
crossing, but is to determine whether, under the given circumstances, the means
used were sufficient to constitute due care. Id. at 667. The court also
said that a limiting instruction might have been the only practical way of
addressing the defendant's concern about a "roving commission." Id.
The use of an MAI jury instruction, properly modified for a particular case,
contemplates that the jury will be properly advised by the argument of counsel
concerning details. See Bayne v. Jenkins, 593 S.W.2d 519, 531 (Mo. banc
1980). Under the guidance of Rule 70.02(b),(FN13)
the trial court is to submit only ultimate factual issues to the jury, avoiding
evidentiary detail that might otherwise confuse the issues. Koehler, 573
S.W.2d at 944.
The verdict director complies with Rule 70.02(b), because it is brief and does
not require the jury to find detailed evidentiary facts. As suggested in Lohmann,
the railroad defendants were permitted to give three limiting instructions,
which the trial court believed would provide additional assurances that the jury
was not given a "roving commission."(FN14)
The trial court did not err.
Alcorn's negligence claim against Amtrak
A. There is no federal preemption of Alcorn's claim because it involves a
specific, individual or local hazard
Amtrak contends that the verdict against Amtrak is based on the train's speed, a
claim that is preempted by federal law. The Amtrak train was traveling below the
maximum speed permitted by federal regulations for that portion of the track at
the time of the accident.(FN15)
The United States Supreme Court has ruled that while some claims based on
dangerous conditions are permissible, federal law preempts state common law
claims based merely on excessive speed. CSX Transportation, Inc. v.
Easterwood, 507 U.S. 658, 675 (1993); see also Bartlett v. Kansas City
Southern Ry. Co., 854 S.W.2d 396, 399 (Mo. banc 1993). However, Easterwood
did not preempt a common law claim based on the duty of a train's crew to slow
down or stop where a specific, individual hazard exists. Bartlett, 854
S.W.2d at 399. The trial court's instructions here specifically excluded a claim
based on speed.(FN16)
The facts support the jury's conclusion that the train crew knew or should have
known, by reason of Edwards' "unwavering approach," that a collision
was imminent. Both Grimoldi and Stoner, the Amtrak engineers, saw Edwards'
vehicle approaching the 501 crossing and saw that the car was neither speeding
up nor slowing down. Grimoldi and Stoner knew that the crossing was dangerous,
based on previous close encounters, as well as the April 1997 fatality several
months earlier. Though Stoner had begun to sound short blasts on the emergency
horn, Grimoldi did not slacken speed. The question is whether an unwavering
approach of a vehicle toward this crossing was a specific, individual hazard.
Cases that recognize an exception to the federal preemption based on a
"specific, individual hazard" include, Bashir v. National Railroad
Passenger Corp., 929 F. Supp. 404, 412 (S.D. Fla. 1996) (no preemption where
a child was standing on a track); Shaup v. Frederickson, 1998 WL 726650 (E.D.
Pa. 1998) (no preemption where train failed to slow after seeing plaintiff's car
stranded on track); Florida East Coast Railway Co. v. Griffin, 566 So.2d
1321 (Fla. App. 1990) (no preemption where teenage child was hit by train while
attempting to cross tracks on way home from school); Central Georgia R.R. Co.
v. Markert, 410 S.E.2d 437 (Ga. Ct. App. 1991) (imminent collision with car
crossing track). On the other hand, cases that involve warning devices, grade,
angle, and proximity to highways are all general conditions that are amenable to
uniform, national standards and are, therefore, preempted. O'Bannon v. Union
Pacific R.R. Co., 960 F. Supp. 1411, 1421 (W.D. Mo. 1997); Stevenson v.
Union Pacific Railroad Co., 110 F. Supp.2d 1086 (E.D. Ark. 2000).
At least one court postulated an example of an "obvious case,"
somewhat similar to the facts here, of an individual hazard where an engineer
sees a stranded motorist on a crossing, but negligently fails to stop or slow
the train to avoid the collision. Herriman v. Conrail Inc., 883 F. Supp.
303, 307 (N.D. Ind. 1995). A specific, individual hazard can include the
"unwavering approach" of a vehicle that the train crew either knew or
should have known about. Griffin v. Kansas City Southern Ry. Co., 965
S.W.2d 458, 461 (Mo. App. 1998).
Under these cases, an unwavering approach by a vehicle at a railroad crossing,
where the engineers knew or should have known that a collision was imminent, is
a specific, identifiable hazard. Such a hazard requires the train's crew either
to slow the train or stop, in addition to any other preventive measures it can
take, to avoid the collision. Such a situation is not encompassed in or
accounted for in federal regulations governing maximum operation train speed.
Accordingly, Alcorn's claim against Amtrak is not preempted.
B. The negligence instruction as to Amtrak was not erroneous
Amtrak argues that the second paragraph of the verdict-directing instruction as
to Amtrak is based on the faulty premise that the unwavering approach of a
vehicle is an indication that a collision is imminent, which, by itself, imposes
a duty on a train crew to slacken its speed as the train approaches the
crossing. The challenged portion of the instruction is as follows:
Second, that the train crew knew or by the use of ordinary care could have
known that by reason of such unwavering approach that a collision was
imminent, in time thereafter to have slackened the train's speed, but the
train crew failed to do so, . . . .(FN17)
Among other things, Amtrak argues that a railroad cannot be held liable for
failing to slow down simply because a car was approaching. It also argues that
an engineer who sees a vehicle approaching has the right to assume the driver
will stop before going on the track unless there is something in the driver's
actions or manner to indicate otherwise.(FN18)
This instruction did not permit the jury to render a verdict for the plaintiff
merely based on speed. Instead, it required the jury to find that Edwards'
approach was unwavering, which, as discussed above, can be a specific,
individual hazard. It also required the jury to find that the train crew could
have braked in sufficient time to avoid the collision but failed to do so. The
instruction is not erroneous.
C. The failure of Amtrak engineers to slacken speed was a cause of
Alcorn's injuries
Amtrak argues that Alcorn failed to prove that any failure of the train's crew
to slow down sooner caused the accident, and that the train crew had a duty to
slow down only when they knew a collision was imminent -- that is, only when it
was apparent that Edwards could not stop his vehicle before reaching the
crossing.
In short, Amtrak argues that the train could not have been stopped before it
reached the crossing; thus, it is irrelevant that the train crew did not slacken
speed immediately because it would not have made a difference given that the
train could not have stopped, even under the most generous calculation. This
argument, however, ignores the evidence in the light most favorable to the
verdict. Alcorn's expert testified that had the train's crew merely braked or
reduced the throttle -- without placing the train into emergency braking -- it
would have made a difference on the train's arrival time at the 501 crossing.
Alcorn's expert testified that if the train's emergency brake had been applied
when the emergency began to unfold, that is, when Stoner started hitting the
emergency horn, it is likely that there would have been sufficient time for
Edwards' vehicle to clear the crossing without being struck in the rear quarter.
The Alcorn car, according to expert testimony, needed less than a second to
clear the crossing and avoid the collision. There is sufficient evidence to
support the jury's conclusion that the failure of the train crew to employ its
emergency brake or slacken speed in a timely manner caused Alcorn's injuries.
The evidence of the close calls at the 501 crossing
Alcorn introduced evidence that there had been a prior accident and several
"near misses" at the 501 crossing -- to show notice to Union Pacific
and Amtrak that the crossing was unusually dangerous. Some of this evidence,
particularly the previous accident in April 1997, was relied upon by plaintiff's
expert, Dr. Kenneth Wayne Heathington, who testified that the crossing was
unusually hazardous. Union Pacific and Amtrak contend evidence of the prior
accident and "near misses" at the County Road 501 crossing was not
sufficiently similar to Alcorn's accident to meet the foundation for
admissibility.
Trial courts are given wide discretion on admission of evidence of similar
occurrences. Lopez, 26 S.W.3d at 159-60. The trial court must satisfy
itself that the evidence was relevant and that the evidence of such occurrences
sufficiently resembled the injury-causing incident. The trial court must weigh
the possibility of undue prejudice or confusion of issues. Id. The trial
court's discretion is guided by Stacy v. Truman Medical Center, 836
S.W.2d 911, 926 (Mo. banc 1992), where this Court held that "any knowledge
or warning that the defendant had of the type of accident in which plaintiff was
injured clearly aids the jury in determining whether a reasonably careful
defendant would have taken further precautions . . . ." See also Emery
v. Wal-Mart Stores, Inc. 976 S.W.2d 439, 446 (Mo. banc 1998).
Previous incidents need only be such as to call defendants' attention to the
dangerous situation. Stacy, 836 S.W.2d at 926 (quoting with
approval McCormick on Evidence, sec. 200 at 848 (4th ed. 1992)).
Evidence of the April 1997 accident and the previous "near misses" was
relevant to show notice to both Union Pacific and Amtrak of the unusually
hazardous condition of the 501 crossing. The jury appropriately was not told
that the April 1997 collision was a fatality, thus eliminating its potential
inflammatory impact and confining its use to notice. The trial court did not
abuse its discretion in allowing plaintiff to present evidence of the previous
prior accident and "near misses."
Plaintiff's expert testimony and computer calculations regarding stopping
distances
for the Amtrak train
Alcorn presented expert testimony from Jimmy Scott on where the Amtrak train was
placed into emergency stop. Scott opined that the train was not braked until
approximately 200 feet after the collision at the crossing.
Scott's testimony contradicted Grimoldi and Stoner, both of whom said the train
was placed into emergency stop before reaching the crossing.
Scott testified about his use of a computer simulation at the Illinois Institute
of Technology in Chicago to determine a stop distance of the Amtrak train in
question. The simulation was used to assist in presenting Scott's opinion.
Amtrak argues that there was inadequate foundation to allow Scott's testimony
about the use of the computer simulation to support his opinion on the train's
stop distance. Specifically, Amtrak says there was no evidence that the computer
program was properly authenticated and was functioning properly; that Scott's
own testimony showed that the facts upon which the simulation was based were
incorrect; and that there was no evidence showing that the computer program was
generally accepted by the community of scientists in the field of accident
reconstruction.
A computer simulation is similar to evidence of experiment. "[E]xperimental
evidence is admissible when the experiment was made under conditions
substantially similar in essential particulars to the condition which prevailed
at the time of the occurrence in the suit, and . . . the conditions need not be
identical." Blevins v. Cushman Motors, 551 S.W.2d 602, 610 (Mo. banc
1977).(FN19) The trial court has substantial discretion
to admit experimental evidence. Id.
Missouri courts have not established specific foundational requirements for
computer-generated evidence, Bray v. Bi-State Development Corp., 949
S.W.2d 93, 97 (Mo. App. 1997),(FN20) but review the
evidence on a case-by-case basis to determine whether a sufficient foundation
was laid that, if believed by the finder of fact, supports the conclusions.
However, the question the trial court must consider is whether the experiment,
test, or simulation will aid the jury in deciding the issues of the case. This
is the same standard as for expert testimony. Section 490.065.
There was a considerable foundation. The Illinois Institute of Technology
simulator has been used by the National Transportation Safety Board, the Federal
Railroad Safety Commission, and other government bodies. The simulator had been
used for training Amtrak and Union Pacific engineers and used by both railroads
for accident investigation. Scott testified as to the information necessary for
a proper train simulation. The information in the simulator originated from a
file submitted by the Association of American Railroads of which Union Pacific
and Amtrak are members. The simulator is reasonably relied on by professionals
in the field.
The information that was provided to yield Scott's calculation on where the
train's brakes were first applied was subject to cross-examination: Scott
testified that he obtained the information from various sources, including the
police report describing the collision, which, among other things, described how
many axles were on the locomotive in question and how many feet past the
crossing the train made its final stop. While Amtrak complains that the
information that Scott used was erroneous, Scott testified that he used figures
that would give Amtrak the benefit of the doubt in stop distances. Such
variances that are more detrimental to the proponent of the test than those that
existed in the original will not bar the admission of such evidence. Lawson
v. Schumacher & Blum Chevrolet, Inc., 687 S.W.2d 947, 954 (Mo. App.
1985). In Carpenter v. Kurn, 157 S.W.2d 213, 215 (Mo.
1941), this Court said that where an experiment was made under similar or
approximately similar circumstances, any dissimilarity goes to weight and not
admissibility. Scott testified that the information he had concerning the type
of locomotive, the cars, and the braking ratios was accurate, and his testimony
was subject to cross-examination.
While Amtrak disputes Scott's figures -- some that were provided by Amtrak
itself -- the proper place to make this dispute is in the trial court. The
record shows that this was done, as there were numerous objections and
discussions between both parties and the judge. Simply because experts disagree
is not reason to disallow the evidence. As the trial court noted, this is one of
the purposes of cross-examination. Any weakness in the factual underpinnings of
the expert's opinion or in the expert's knowledge goes to the weight that
testimony should be given and not its admissibility. William A. Schroeder,
22A Missouri Practice: Missouri Evidence sec. 703(a) (2d ed. 2000). In
general, the expert's opinion will be admissible, unless the expert's
information is so slight as to render the opinion fundamentally unsupported. Id.
Testimony that is based upon or bolstered by a computer simulation can have a
powerful effect, but the proponent of such evidence runs a risk that effective
cross-examination or other evidence casting doubt on the factual premises can
damage the credibility of the computer-assisted evidence. The computer-age
adage, "garbage in, garbage out," applies. Union Pacific and Amtrak
had every opportunity to discredit the evidence. There was no error or abuse of
discretion by the trial judge.
Allegations of juror misconduct and nondisclosure
Union Pacific and Amtrak contend that the trial court erred in denying their
motion for a new trial based on the misconduct of two jurors, Lynch and Brock.
After a hearing on the issues of juror misconduct and nondisclosure, the trial
court found that there was no prejudice from the jurors' conduct and refused to
grant a new trial. The findings of the trial court in ruling on a motion for a
new trial based on juror misconduct are given great weight and will not be
disturbed on appeal unless the trial court abused its discretion. Brines v.
Cibis, 882 S.W.2d 138, 139 (Mo. banc 1994).
A. Juror Lynch's alleged concealment of prior litigation
Appellants assert that juror Lynch failed to disclose, during voir dire
examination, her involvement as a defendant in a collection lawsuit. Both
counsel and the trial court asked the prospective jurors, which included Lynch,
whether they had ever been named as a defendant in a lawsuit. During the voir
dire, juror Lynch did disclose her involvement in two previous lawsuits,
including one that was more than 19 years old. However, she did not disclose
that she signed a consent judgment on August 16, 1999, for $3,130.61 plus court
costs, in a collection matter. But Lynch was not formally served with a lawsuit
until September 18, 1999, approximately three weeks after the conclusion of the voir
dire. At a post-trial hearing, Lynch testified that she had believe that
signing the consent judgment meant that the matter was over and that there was
not going to be a lawsuit.
The trial court found that because Lynch was not yet a defendant in a lawsuit at
the time of the voir dire, she was not required to disclose that she was
settling a contract dispute prior to its being filed as a lawsuit. The court
also found that based on Lynch's candor in disclosing her involvement in two
other matters, assuming arguendo that she needed to disclose the matter
in question, such nondisclosure was unintentional. While the court said the
nondisclosure was material -- since it involved prior litigation -- the actions
were so different that it found no prejudice. See Williams v. Barnes
Hosp., 736 S.W.2d 33, 37 (Mo. banc 1987). The trial court did not abuse its
discretion.
B. Juror Brock's improper visit to the accident scene after the jury had
returned a verdict finding Union Pacific liable for punitive damages
After the jury had returned a verdict for compensatory damages and a verdict
finding Union Pacific liable for punitive damages, but before any deliberations
on the amount of punitive damages, Juror Brock visited the scene of the
accident. The trial judge had previously admonished the jury not to do so. The
trial court was "troubled" by Brock's behavior, but believed it was
the product of inattention rather than intentional misconduct. The court found
that there was no prejudice to the verdict for compensatory damages or the
verdict that punitive damages should be assessed. This was because the timing of
Brock's visit -- after the verdicts were rendered in the phase of the trial
dealing with negligence, compensatory damages and liability for punitive damages
-- obviously did not affect these verdicts. As to the amount of the punitive
damages, the trial court found that a new trial would be an inappropriate cure,
where the court could cure any such problem through its remittitur review of
punitive damages.
It was inappropriate for Brock to visit the scene on his own until his duties as
a juror were discharged. However, since Alcorn failed to make a submissible case
for punitive damages, it is unnecessary to reach this issue.
There is no basis for disturbing the trial court's finding that Brock's visit
had no effect on the verdicts for compensatory damages and for liability for
punitive damages.
Alcorn failed to make a submissible case for punitive damages
Submission of a punitive damages claim to the jury warrants special judicial
scrutiny because the instructional standards for punitive damages are
necessarily general. See Honda Motor Co. v. Oberg, 512 U.S. 415 (1994); Cooper
Industries, Inc. v. Leatherman Tool Group, Inc., S.Ct. (2001). The jury is
instructed that, upon finding negligence, the jury should determine whether a
defendant should have known that its conduct "created a high degree of
probability of injury . . . and thereby showed complete indifference to or
conscious disregard for the safety of others . . . ."(FN21)
To the jury "the high degree of probability" may be satisfied by the
mere fact that this particular collision occurred. A defendant's aggressive
defense at trial on either the issue of breach of duty or causation may supply,
in the jurors' minds, the "complete indifference" or "conscious
disregard" element. That is why careful judicial scrutiny is needed to
determine whether the conduct was so egregious that it was "tantamount to
intentional wrongdoing." Lopez, 26 S.W.3d at 160. Moreover, the
conduct must be such that injury is its "natural and probable
consequence." Id.
The remedy of punitive damages is "so extraordinary or harsh that it should
be applied only sparingly." Rodriguez v. Suzuki Motor Corp., 936
S.W.2d 104, 110 (Mo. banc 1996). The remedy is, after all, imposed as punishment
for and deterrence of bad conduct. Id.
Factors that weigh against submission of punitive damages claims are
circumstances in which: "prior similar occurrences known to the defendant
have been infrequent; the injurious event was unlikely to have occurred absent
negligence on the part of someone other than the defendant; and, the defendant
did not knowingly violate a statute, regulation, or clear industry standard
designed to prevent the type of injury that occurred." Lopez, 26
S.W.3d at 160. (FN22)
While there were serious sight problems at the 501 crossing, there were passive
warning devices that Union Pacific believed satisfied its duty to the public.
The railroad's conduct is not a model for crossing safety. For purposes of
negligence, the railroad was on notice as to the hazardous condition of this
crossing. But there was no clear evidence that Union Pacific knowingly violated
an applicable regulation or statute by failing to upgrade the crossing from the
passive warning to lights and gates. While there was evidence that the crossing
did not meet an industry standard, such standards are not necessarily relevant
to the issue of punitive damages where there is a regulatory scheme. Union
Pacific was in the process of upgrading the crossing at the behest of the state.
There is no showing that Union Pacific failed to cooperate with the state in its
efforts or that the railroad in any way violated an applicable regulation or
resisted the regulatory process.
There is little doubt that the jury was displeased by Union Pacific's failure to
have gates and lights at this crossing. A Union Pacific official testified that
the railroad does not take any responsibility for identifying hazardous
crossings and spends no money on its own for eliminating hazardous crossings.
Union Pacific has never spent its own money in Missouri to upgrade a crossing to
lights and gates, but waits for public funds. When the state determined that
lights and gates were needed at the 501 crossing, Union Pacific did not tell
Amtrak engineers that lights and gates had been recommended for the 501
crossing, nor did it do anything in the interim to inform the public. The
railroad's representative testified that "we were letting the process take
care of itself." If there was no regulatory scheme, or if there was
evidence that the railroad failed to cooperate or comply with the regulatory
process, punitive damages might appropriately have been considered.
The punitive damages verdict of $120 million certainly showed the jurors'
evident displeasure that such a devastating accident would occur and that Union
Pacific was in large part at fault. But this does not equate to a judicial
determination that the railroad's conduct was tantamount to intentional
wrongdoing.
Union Pacific was clearly on notice that its 501 crossing was dangerous, and
when the state determined that lights and gates were needed, the railroad did
have the option immediately to upgrade the crossing. There was ample evidence
that state regulators would approve immediate upgrading if Union Pacific had
requested it. The risk that Union Pacific took, upon notice of the hazard, was
full exposure to common law liability in negligence until the state-approved
changes were made. See section 389.614, discussed above.
Where the railroad in fact cooperated with the regulatory process, reliance upon
that process to do the crossing upgrade in due course does not relieve the
railroad of liability in negligence. But conformity with the regulatory process
does negate the conclusion that the railroad's conduct was tantamount to
intentional wrongdoing.
There was not a submissible case for punitive damages.(FN23)
The trial court did not abuse its discretion in failing to further remit
Alcorn's compensatory damages
Union Pacific and Amtrak contend that the trial court abused its discretion in
failing to remit Alcorn's compensatory damages to an amount less than $25
million.
In Missouri, a court may order remittitur "if, after reviewing the evidence
in support of the jury's verdict, the court finds that the jury's verdict is
excessive because the amount of the verdict exceeds fair and reasonable
compensation for plaintiff's injury and damages." Section 537.068. The
remittitur statute was designed to craft equitable compensation and to
eliminate, if possible, the retrial of lawsuits. Barnett v. La Societe
Anonyme Turbomeca France, 963 S.W.2d 639, 656 (Mo. App. 1997).
The trial court will be deemed to have abused its discretion where the remitted
judgment is still so grossly excessive as to shock the conscience of the
appellate court. Callahan v. Cardinal Glennon Hosp., 863 S.W.2d 852, 871
(Mo. banc 1993). An appellate court should exercise its power to
interfere with the judgment of the jury and trial court with hesitation and only
when the verdict is manifestly unjust. Fust v. Francois, 913 S.W.2d 38,
49 (Mo. App. 1995).
To determine whether a verdict is manifestly unjust, an appellate court reviews
the evidence in the light most favorable to the verdict. Barnett, 963
S.W.2d at 656. In determining whether Alcorn was reasonably compensated for her
injuries, consideration may be given to the nature and extent of the injuries
sustained, diminished earning capacity, economic conditions, plaintiff's age,
and a comparison of the compensation awarded in cases of comparable injury. Seabaugh
v. Milde Farms, Inc., 816 S.W.2d 202, 211 (Mo. banc 1991). A judgment may be
based in part on "certain intangibles" that "do not lend
themselves to precise calculation," such as past and future pain,
suffering, effect on life-style, embarrassment, humiliation, and economic loss. Callahan,
863 S.W.2d at 872 (citation omitted). There is no exact formula for determining
whether an award of compensatory damages is excessive, and each case must be
considered on its own set of facts. Id. The ultimate test is whether the
award fairly and reasonably compensates the plaintiff for the injuries incurred.
Seabaugh, 816 S.W.2d at 211.
Considering the deference given the trial judge, the amount in this case is not
manifestly unjust. Alcorn suffered extremely serious, painful, debilitating and
permanent injuries. We defer to the trial court's superior opportunity to
observe the witnesses, including Alcorn herself, and to make a determination as
to what portion of the jury's award was sustained by the evidence in the case.
There is no basis for overturning the trial court's assessment.(FN24)
The judgment for punitive damages is reversed. In all other respects, the
judgment is affirmed.
Footnotes:
FN1. National Railroad Passenger Corporation, d/b/a
Amtrak.
FN2. All Missouri statutory citations are to RSMo 2000,
unless otherwise noted.
FN3. The facts are summarized in the light most favorable
to the verdict.
FN4. Section 389.610.4 provides:
4. The division shall have the exclusive power to
determine and prescribe the manner, including the particular point of
crossing, and the terms of installation, operation, maintenance,
apportionment of expenses, use and warning devices of each crossing of a
public road, street or highway by a railroad or street railroad, and of one
railroad or street railroad by another railroad or street railroad. In order
to facilitate such determinations, the division may adopt pertinent
provisions of The Manual on Uniform Traffic Control Devices for Streets and
Highways or other national standards.
FN5. Section 389.610.2 provides:
2. Every railroad corporation shall construct and
maintain good and sufficient crossings and crosswalks where its railroad
crosses public roads, highways, streets or sidewalks now or hereafter to be
opened.
FN6. Union Pacific also argues that the division's
adoption of Part VIII of the Manual on Uniform Control Devices -- which states
that, at a minimum, one reflectorized crossbuck sign "shall be used on each
roadway approach to every grade crossing" -- is additional support of the
agency's "exclusive power" to direct what minimal requisite warning
devices had to be installed and maintained at the 501 crossing. However, the
regulation only "recommends" that the standards in Part VIII be
applied in the "installation of all crossing warning systems in
Missouri." 4 C.S.R. sec. 265-8.080(1) (emphasis added).
FN7. Section 389.614 provides:
Railroad warning devices, which are installed or
maintained by order or by rule of the division of transportation, are
presumed to be adequate and appropriate warning devices for the crossing.
All railroads shall continue to exercise reasonable care at railroad
crossings for the safety of the members of the public using the crossing.
FN8. See also Nixon v. Hannibal & St. J.R. Co.,
42 S.W. 942 (Mo. 1897); City of Kirksville v. Hines, 225 S.W. 950, 952 (Mo.
1920); State ex rel. Kansas City v. Public Service Commission, 257 S.W. 462, 464
(Mo. banc 1923); Crocket v. City of Mexico, 77 S.W.2d 464, 466 (Mo. 1934);
Liddle v. Thompson, 162 S.W2d 614, 619 (Mo. App. 1942); Patterson v. Thompson,
277 S.W.2d 314, 317 (Mo. App. 1955); Hartman v. St. Louis-San Francisco Ry. Co.,
280 S.W.2d 442, 446 (Mo. App. 1955); Coon v. Atchison, Topeka & Santa Fe,
826 S.W.2d 66 (Mo. App. 1992); cf. Mott v. Missouri Pacific R.R., 926 S.W.2d 81,
85 (Mo. App. 1996). There are also several other jurisdictions that have
statutes similar to section 389.610.4 RSMo, and courts in those states have also
rejected the railroad's "no duty" argument. See, e.g., Birmingham v.
Union Pacific R.R. Co., 971 F. Supp. 1282, 1987-88 (E.D. Ark. 1997); St.
Louis-San Francisco Ry. Co. v. Rundell, 235 P. 498 (Okla. 1925); Lloyd v.
Southern Pacific Co., 245 P.2d 583 (Cal. Ct. App. (1952); Pobor v. Western Pac.
R.R. Co., 359 P.2d 474 (Cal. 1961); Canion v. Southern Pac. Co., 80 P.2d 397
(Ariz. 1938); Gleave v. Denver & Rio Grande Western R.R. Co., 749 P.2d 660
(Utah Ct. App. 1988), cert. Denied, 765 P.2d 1278 (Utah 1988); Kurtz v. Chicago,
Milwaukee, St. Paul & Pac. R.R. Co., 192 N.W.2d 97 (Wis. 1971); Baker v.
Norfolk & Western Ry. Co., 256 N.E.2d 887 (Ill. App. Ct. 1970); Koch v.
Southern Pac. Transp. Co., 547 P.2d 589 (Or. 1976).
FN9. "What the states cannot do--once they have
installed federally funded devices at a particular crossing--is hold the
railroad liable for the adequacy of those devices." Norfolk Southern Ry.
Co. v. Shanklin, 529 U.S. 344, 358 (2000). The Court makes it clear that there
is no distinction between devices installed for "minimum protection"
and those installed under a so-called "priority" or "hazard"
program. Id. at 356. This holding only applies to warning devices "actually
installed with federal funds" pursuant to 23 C.F.R. sec. 646.214(b)(3) or
(4) (1999). Id. at 354.
FN10. The public service commission is the predecessor of
the division of motor carrier and railroad safety as to railroad crossings.
FN11. Missouri Pacific is the predecessor to Union
Pacific.
FN12. Because there was evidence to support the jury's
verdict that Edwards did not cause the collision, it is not necessary to address
whether Amtrak and Union Pacific can challenge the judgment in favor of Edwards.
Co-defendants arguably are bound by a judgment in favor of another co-defendant,
in the absence of a cross claim for indemnity or contribution. See Restatement
(Second) of Judgments sec. 64 cmt. b (1982). In any event, Union Pacific and
Amtrak do not directly attempt to challenge the jury's assessment of zero fault
to Edwards.
FN13. Rule 70.02(b) states in part:
Where an MAI must be modified to fairly submit the
issues in a particular case, or where there is no applicable MAI so that an
instruction not in MAI must be given, then such modifications or such
instructions shall be simple, brief, impartial, free from argument, and
shall not submit to the jury or require findings of detailed evidentiary
facts. (Emphasis added.)
FN14. The limiting or withdrawal instructions were as
follows:
Instruction number 15: The evidence of flagmen and
slow train orders is withdrawn from the case and you are not to consider
such evidence in arriving at your verdict.
Instruction number 16: The speed of the train in this
case is governed by federal regulations. You are instructed that the train
in this case was operating within that speed limit. The only claim you can
consider against defendant Amtrak is contained in Instruction No. 9.
Instruction number 17: You are instructed that
Defendant Union Pacific Railroad Company is only required to keep its
right-of-way clear of vegetation, undergrowth or other debris for a distance
of 250 feet each way from the near edge of a public grade crossing where
such things would materially obscure approaching trains from the view of
travelers on the highway.
FN15. The Amtrak train was traveling at about 67 or 68
miles per hour just before the collision with Edwards' vehicle. The record also
indicates that the track running through the 501 crossing is a Class 4 track
under federal regulation 49 C.F.R. sec. 213.9(a), and that the maximum allowable
operating speed for a passenger train on such track is 80 miles per hour.
FN16. See Instruction number 16 quoted in footnote 14.
FN17. The verdict-directing instruction as to Amtrak was:
On the claim of plaintiff Kimberly Alcorn for
compensatory damages for personal injury against defendant National Railroad
Passenger Corporation d/b/a Amtrak your verdict must be for plaintiff
Kimberly Alcorn if you believe:
First, that the approach of defendant Edwards' vehicle
to the crossing was unwavering, and
Second, that the train crew knew or by the use of
ordinary care could have known that by reason of such unwavering approach
that a collision was imminent, in time thereafter to have slackened the
train's speed, but the train crew failed to do so, and
Third, the train crew was thereby negligent, and
Fourth, such negligence directly caused or directly
contributed to cause damage to plaintiff.
FN18. Amtrak cites Pipes v. Missouri Pac. R.R. Co., 338
S.W.2d 30, 35 (Mo. 1960), which says that a driver must exercise the highest
degree of care when approaching the track. The judgment against the railroad in
Pipes was reversed due to the plaintiff's contributory negligence -- an all or
nothing approach -- which has since been replaced by comparative fault. Amtrak
also cites See v. Wabash R.R. Co., 259 S.W.2d 828, 831 (Mo. 1953), in which this
Court upheld an instruction to the jury that the defendant railroad and engineer
"had a right to assume that a . . . [motor vehicle] approaching the
crossing would stop before going upon a crossing into danger of being struck by
a train, and said defendants were under no duty to signal or slacken speed until
they saw or should have seen that the truck would not stop and was in a position
of danger." This portion of See supports Alcorn's instruction. And unlike
See, where the driver stopped his truck just short of the tracks and then
started up again, pulling in front of the train, it was Edwards' lack of
speeding up or slowing down that indicated that Edwards was oblivious to the
fast approaching train.
FN19. See also William A. Schroeder, 23 Missouri
Practice: Missouri Evidence sec. 1105.1(b) (2d ed. 2000); John C. O'Brien,
Missouri Law of Evidence sec. 9-17 (3d ed. 1996).
FN20. In Bray, the court of appeals examined three
guidelines, set forth by the Massachusetts Supreme Court in Commercial Union v.
Boston Edison, 591 N.E.2d 165, 168 (Mass. 1992), to establish a foundation to
authenticate computer-generated evidence: "(1) The computer is functioning
properly; (2) The input and underlying equations are sufficiently complete and
accurate (and disclosed to the opposing party, so that they may challenge them);
(3) The program is generally accepted by the appropriate community of
scientists." 949 S.W.2d at 97. While the court acknowledged that Commercial
Union provides a helpful starting point to analyze questions of sufficiency of
foundation, it did not adopt these guidelines or otherwise attempt to set forth
a formula or fixed set of guidelines. 949 S.W.2d at 99.
FN21. The instruction under which the punitive damages
claim was submitted to the jury, Instruction number 19, is as follows:
If you find in favor of plaintiff Kimberly Alcorn and
against defendant Union Pacific Railroad Company under Instruction Number 7 and
if you believe that:
First, defendant Union Pacific Railroad Company knew
that the crossing was unusually hazardous because it did not afford
southbound motorists adequate sight distance to observe trains approaching
the crossing from the west and Defendant Union Pacific Railroad Company
failed to use ordinary care to warn of it, and
Second, Defendant Union Pacific Railroad Company knew
or had information from which Defendant Union Pacific Railroad Company, in
the exercise of ordinary care, should have known that such conduct created a
high degree of probability of injury, and
Third, defendant Union Pacific Railroad Company
thereby showed complete indifference to or conscious disregard for the
safety of others, then, in Verdict A, you may find that the defendant Union
Pacific Railroad is liable for punitive damages.
If you find that defendant Union Pacific Railroad
Company is liable for punitive damages in this stage of the trial, you will
be given further instructions for assessing the amount of punitive damages
in the second stage of the trial.
FN22. While not argued by Union Pacific, it should be
noted that the jury found that 25 percent of the fault for Alcorn's injuries was
attributed to Amtrak's negligence. We thus do not consider whether that factor
might also weigh against submission of a punitive damages claim.
FN23. Union Pacific asserts that the trial court erred in
not further remitting the amount of punitive damages and in allowing Alcorn to
recover prejudgment interest on the punitive damages. Union Pacific also
challenges the constitutionality of section 537.675 on punitive damages. Because
of our conclusion that punitive damages were not submissible, it is unnecessary
to reach these issues. There is no challenge to prejudgment interest on the
compensatory damages judgment.
FN24. The evidence shows that Alcorn's economic losses
were $2,010,157.59. When her compensatory damages were remitted to $25 million,
the ratio of non-economic to economic damages is 11.5 to 1. There is no bright
line test or formula in computing noneconomic losses, Callahan, 863 S.W.2d at
871-72, and there is no basis in this particular ratio to overrule the trial
court's determination.
Separate Opinion:
None
This slip opinion is subject to revision and may not
reflect the final opinion adopted by the Court.