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Villalba v. Consolidated Freightways Corp.

United States District Court, N.D. Illinois, Eastern Division
Aug 10, 2000
Case No. 98 C 5347 (N.D. Ill. Aug. 10, 2000)

Summary

holding that a causal connection between an accident and the accident victim's depression requires expert testimony due to the complex nature of depression

Summary of this case from Gates v. Texaco, Inc.

Opinion

Case No. 98 C 5347

August 10, 2000


MEMORANDUM OPINION AND ORDER


This case arises from an automobile and truck collision on August 4, 1996 in Justice, Illinois. Plaintiff Elsa Villalba sues the owner of the truck, Consolidated Freightways Corporation of Delaware ("CE"), and its employee and the driver of the truck at the time of the accident, Robert Riggs, for negligence. The parties have consented to the jurisdiction of the United States Magistrate Judge pursuant to 28 U.S.C. § 636(c). This case is set for trial on September 18, 2000. Both parties filed motions in limine. The Court addresses each motion in turn.

A. Evidence of Plaintiff's Pecuniary Damage Claim

Defendants move to exclude evidence of the amount of money Villalba allegedly paid to persons to assist her in maintaining and operating the business she started in February 1997, which Villalba alleges is "not less than $70,191.40," and the alleged costs she incurred in establishing and operating her business since February 1997, which she alleges is "not less than $43,350.83." Defendants contend that Villalba cannot provide a reasonable basis for computing these damages.

Under Illinois law, the plaintiff has the burden of proving damages to a degree of reasonable certainty. Doe v. United States, 976 F.2d 1071, 1085 (7th Cir. 1992) (applying Illinois law). "Damages may not be awarded on the basis of conjecture or speculation; if the plaintiff establishes that he is entitled to damages but fails to provide a proper basis with which to determine those damages, he may be awarded only nominal damages." Id. (quoting Adam Apple Distr. Co. v. Paperleras Reunidas, S.A., 773 F.2d 925, 930 (7th Cir. 1985)).

Defendants argue that Villalba cannot provide a reasonable basis for computing these damages because she has no records regarding travel through her company, no state or federal employee tax filings, no employment records, no payroll records, no W-2 or W-4 forms for any employee, no 1099s filed with the IRS or issued to a subcontractor, independent contractor or salesperson, and no proof of the extent of her investment in the business, her start-up costs, or her overhead. Defendants admit, however, that Villalba has produced certain records relating to her business, including canceled checks for 1997, 1998, and six months in 1999, check registers for 1997 and 1998, telephone bills for some months in 1999, an income statement for 1998, a partial income statement for 1999, and Schedule Cs to her personal income tax returns for 1997 and 1998.

Until trial, the Court cannot determine whether Villalba will be able to establish the amount of money paid to persons to assist her in the operation of the business and the costs incurred in establishing a new business with reasonable certainty. Therefore, Defendants' motion in limine regarding evidence of the amount of money Villalba claims she paid to persons to assist her in maintaining and operating her business and the alleged costs incurred in establishing and operating her business is denied without prejudice to reassertion at trial if appropriate.

Defendants further argue that Plaintiff should be barred pursuant to Federal Rule of Civil Procedure 37(c)(1) from offering evidence of the above described pecuniary damages because she gave evasive and inconsistent discovery responses regarding her damage claims and because she failed to disclose information required by Rule 26(a) and Rule 26(e)(1). Villalba responds that she has produced all responsive documents which are in her possession. Rule 37(c)(1) provides that "a party that without substantial justification fails to disclose information required by Rule 26(a) or 26(e)(1) shall not, unless such failure is harmless, be permitted to use as evidence at trial, at a hearing, or on a motion any witness or information not so disclosed." Rule 26(a)(1)(C) provides that a plaintiff must provide a computation of any damages claimed and make available for inspection and copying the documents or evidentiary material bearing on the nature and extent of injuries suffered.

Absent a showing of substantial justification, Villalba will not be allowed to rely on any evidence at trial which she failed to disclose as required by Rule 26(a) or 26(e)(1) unless such failure is harmless. Defendants' request that Villalba be barred from offering evidence on any of the damage claims described in their motion is denied without prejudice to reassertion at trial if necessary. Moreover, Defendants can sufficiently point out on cross-examination any evasive and inconsistent responses given by Villalba regarding her business records and the apparent lack of certain business records.

Defendants also argue that Plaintiff should be barred from making a claim for lost profits from a business not in existence at the time of the accident. The motor vehicle accident occurred on August 4, 1996. At the time of the accident, Villalba was employed as a sales manager for AquaTech, a business which sold Rainbow vacuum cleaners. Villalba testified that after the accident, she "started having problems with Aquatech." Villalba Dep., pp. 60. On January 15, 1997, Aqua-Tech fired Villalba. Id. On February 1, 1997, Villalba opened her own business, EV Marketing, which also sells Rainbow vacuum cleaners. Id., pp. 64-65.

Under Illinois law, the general rule is that a new business cannot recover lost profits because evidence of lost profits from an unestablished business is too speculative. Stuart Park Assocs. Ltd. Partership v. Ameritech Pension Trust, 51 F.3d 1319, 1328 (7th Cir. 1995 ) (applying in Illinois law); SK Hand Tool Corp. v. Dresser Indust., Inc., 672 N.E.2d 341, 348 (Ill.App. 1996); Drs. Selke Conlon, Ltd. v. Twin Oaks Realty, Inc., 491 N.E.2d 912, 197 (Ill.App. 1986). "The reason for the rule is that a new business has yet to show what its profits actually are." SK Hand Tool Corp., 672 N.E.2d at 348.

Exceptions to the "new business" rule have been recognized, but none apply here. For example, Illinois courts have held that "evidence of the profits of a person other than plaintiff, who operated the same established business at the identical location for the period of time which plaintiff seeks damages, is not of such a speculative nature to require a finding that plaintiff's lost profits may not be proved to a reasonable certainty." Malatesta v. Leichter, 542 N.E.2d 768, 782 (111. App. 1989). In Malatesta, the plaintiff sued defendant for tortious interference with prospective economic advantage when defendant's representations to General Motors prevented plaintiff from acquiring a car dealership. As evidence of his damages, plaintiff introduced testimony from the person who owned and operated the dealership plaintiff sought to acquire. The court noted that "[t]he business in issue here was never interrupted or delayed by defendant's conduct; rather, plaintiff was prevented from acquiring a business which was in existence at the time of, and which continued after, the purported wrongful conduct and which at all times was owned by a person other than plaintiff." Id. at 782. The court held that the "new business" rule did not apply and plaintiffs damages were not speculative because "the business here does not have the same uncertainties that are akin to a business which is not in existence at the time of, and does not continue after, the wrongful conduct." Id.

Likewise, in Milex Products, Inc. v. Alra Laboratories, Inc., 603 N.E.2d 1226, 1236 (111. App. 1992), the plaintiff recovered lost profits for breach of a contract to manufacture a pharmaceutical product it had not previously marketed. The court held that plaintiff's lost profits were not based upon speculation or conjecture because plaintiff's expert testified that the lost profits calculations were based upon actual products in the marketplace and authoritative sources for the data used. The court stated: "[w]hile the product is a new one, the evidence showed it to have an established market. Given that fact, together with [plaintiff's expert's] testimony, we conclude that the proof of lost profits was neither speculative nor the product of conjecture but was based upon a reasonable degree of certainty." Id. at 1237. In sharp contrast to Malatesta and Milex, EV Marketing was not operated by another person during the period of time during which Villalba seeks lost profits and Villalba has not provided any explanation of the type of evidence, expert or otherwise, which would establish her lost profits with reasonable certainty.

Moreover, the cases relied on by Villalba are distinguishable. InSezonov v. Wagner, 654 N.E.2d 252 (Ill.App. 1995), the plaintiffs, husband and wife, brought an action against defendant for injuries the husband received in a car accident with defendant and for the wife's loss of consortium. The husband's inability to work after the accident resulted in a 43-day delay in plaintiffs' ability to open a new pet store. Plaintiffs sought lost profits caused by a delay in opening the pet store. The court held:

If plaintiffs can prove that the Westview store was unable to open timely because John was unable to supervise the installation of the fish department and to hire temporary help, then they can recover damages resulting from the later opening. However, plaintiffs can recover only that money which they personally would have received from the corporation, i.e. the earnings or wages lost.
Id. at 255.

The Court finds the Sezenov case inapplicable here because the Sezenov court did not discuss the "new business" rule or indicate how the plaintiffs would prove lost profits with reasonable certainty. In any event, even if Sezenov stood for the proposition that the "new business" rule did not automatically preclude Villalba's theory of lost profits,Sezenov is distinguishable from the instant case. In Sezenov, the plaintiffs already owned and operated one pet store before the accident. The issue was whether plaintiffs could seek lost profits from the delay in opening a second store. Thus, the plaintiffs' lost profits could likely have been proven based on the actual profits of the plaintiffs' other established pet store. Unlike the plaintiffs in Sezenov, Villalba does not have actual profits from a prior business selling vacuum cleaners to prove her lost profits here.

Scheibel v. Groeteeka, 538 N.E.2d 1236 (111. App. 1989), is also distinguishable. In Scheibel, the plaintiff sued the defendant for damages caused by alleged negligence in an automobile accident. The court held that the jury was properly instructed that they could compensate plaintiff for the value of earnings and profits lost and the present cash value of earnings reasonably certain to be lost in the future. The plaintiff testified that he was forced to decrease the scale of his fence business after the accident and then sell the business because the injuries he sustained as a result of defendant's negligence prevented him from performing the physical labor necessary to run the business. The plaintiff presented five years of prior tax returns to prove lost income. In contrast to the plaintiff's fence business in Scheibel, EV Marketing did not exist before the accident in this case and thus, Villalba does not have prior tax returns to prove lost profits with reasonable certainty. Defendants' motion in limine is granted to the extent it seeks to exclude evidence of lost profits.

Defendants also object to Plaintiff offering evidence of lost profits from the time period between August 27 and August 30, 1997 when she was hospitalized following a suicide attempt because the issue of causation between the accident and the suicide attempt must be established by expert testimony and Plaintiff has not submitted any such expert testimony in support of that claim. This issue is the subject of an additional motion in limine by Defendants which is discussed in Section C below.

B. Evidence Regarding Traffic Citation Received By Defendant Riggs

Defendants' unopposed motion in limine to exclude evidence of a traffic citation received by Defendant Riggs following the motor vehicle accident at issue is granted.

C. Evidence of Causation Between the Accident and Plaintiff's Subsequent Suicide Attempt

Defendants seek to exclude any evidence concerning a causal connection between Villalba's suicide attempt on August 27, 1997 and the motor vehicle accident on August 4, 1996. Defendants maintain that specialized knowledge and training is required to establish causation between Villalba's suicide attempt and the accident. See Fed. Rules of Evid. 701 and 702. The Court agrees.

"It is uniformly held that where injuries complained of are of such character as to require skilled and professional persons to determine the cause and extent thereof, they must be proved by the testimony of medical experts, but, that a lay witness is competent to testify concerning those physical injuries and conditions which are susceptible to observation by an ordinary person." Franklin v. Shelton, 250 F.2d 92, 97 (10th Cir. 1957); see also Walker v. Shansky, 28 F.3d 666, 672 (7th Cir. 1994) (holding plaintiff not qualified to testify as to his mental condition);Taifa v. Bayh, 1996 WL 441809, * 4 (NED. Ind. 1996) (holding "because the medical and psychological effects of drinking contaminated water and breathing fumes such as pepper spray would not appear to be within the ordinary person's knowledge, the inmates' lay testimony is insufficient without more to establish the medical causation needed to support Williams' damage claims.") For example, if a plaintiff in a personal injury case suffers a cut which is obviously the result of the accident, the jury can determine without expert testimony that the accident caused the cut. The cut would be immediately observable to a lay person after the accident and the nexus between the cut and the accident is a matter that a lay person can analyze without expert testimony. See Brown v. Baker, 672 N.E.2d 69, 71 (Ill. 1996).

In contrast, any causal connection between the accident here and Villalba's suicide attempt over a year later requires expert testimony. In light of the complex nature of depression, its multiple and possible causes, and the length of time between the accident and the suicide attempt, the question of whether Villalba's suicide attempt was caused by the accident is a fact outside the understanding of lay jurors. A suicide attempt more than a year after the accident is not the type of injury which by its very nature reflects its cause and thus, is the type of knowledge which is beyond the common experience, knowledge, or observation of lay persons. Because the reasons for Villalba's suicide attempt over a year after the automobile accident are not sufficiently obvious to lay persons, any casual relationship between the accident and the suicide attempt must be established by expert testimony. Thus, Villalba is not competent to testify' that she attempted suicide because of depression proximately caused by the accident.

Villalba claims that Dr. Michael Gelbort, her expert and a clinical psychologist, opined in his report and is expected to testify at trial that the car accident and the attempted suicide are causally connected. After carefully reviewing Dr. Gelbort's report, the Court concludes that Dr. Gelbort's report did not disclose an opinion that Villalba' s suicide attempt is causally connected or related to the car accident. Thus, he may not render such an opinion at trial. See Fed.R.Civ.P. 26(a)(2)(B) and 37(c)(1); Salgado v. General Motors Corp., 150 F.3d 735, 741 (7th Cir. 1998). Defendants' motion in limine is granted and evidence that her suicide attempt was causally related to the accident is excluded.

D. Evidence Relating to Post-Accident Remedial Measures

Defendants move to bar admission at trial of (1) the August 6, 1996 Report of Accident Review prepared subsequent to the accident, (2) the August 7, 1996 Letter of Investigation addressed to Riggs, and (3) the August 20, 1996 Letter of Discipline issued to Riggs by Consolidated Freightways. Defendants further request that Villalba be barred from mentioning or referring to these documents or their contents. The August 6, 1996 Report of Accident Review indicates that Riggs' supervisor found that the accident was preventable because Riggs made an improper lane change. The August 7, 1996 Letter of Investigation informed Riggs that the August 6, 1996 accident was under investigation and that he would be notified of the findings at the conclusion of the investigation. The August 20, 1996 Letter of Discipline issued to Riggs states that Riggs was involved in a preventable accident on August 4, 1996 when he made an improper lane change. The notice constituted a Final Warning and indicated that similar infractions would result in more severe disciplinary action up to and including discharge.

According to Defendants, these documents and their contents represent subsequent remedial measures under Federal Rule of Evidence 407 and are not admissible to prove negligence or culpable conduct in connection with the accident. Alternatively, Defendants maintain that allowing admission of these documents or testimony concerning their contents would be unduly prejudicial and should be barred under Rule 403 because the internal standard used by CF in determining that the accident was preventable holds the driver to a higher standard than that of ordinary care.

Rule 407 provides in relevant part: "When, after an injury or harm allegedly caused by an event, measures are taken that, if taken previously, would have made the injury or harm less likely to occur, evidence of the subsequent measures is not admissible to prove negligence, culpable conduct. . . ." Post-accident disciplinary action taken by CF with respect to Riggs constitutes a remedial measure and such evidence is inadmissible under Rule 407. Specht v. Jensen, 863 F.2d 700, 701-02 (10th Cir. 1988); Hull v. Chevron U.S.A., Inc., 812 F.2d 584, 586 (10th Cir. 1987); Maddox v. City of Los Angeles, 792 F.2d 1408, 1417 (9th Cir. 1986); Jumper v. Yellow Corporation, 176 F.R.D. 282, 284-85 (N.D. Ill. 1997); Wanke v. Lynn's Transp. Co., 836 F. Supp. 587, 595 (N.D. Ind. 1993).

Villalba argues that even if the disciplining of Riggs could be deemed a post-remedial action, CF's findings that the accident was preventable and that Riggs made an improper lane change are not remedial. A split in the case law exists concerning whether the conclusions of a post-accident investigation are admissible under Rule 407. Compare Specht, 863 F.2d at 701-02 and Maddox, 792 F.2d at 1417 with Prentiss Carlisle Co., Inc. v. Koehring-Waterous Div. of Timberjack, 972 F.2d 6, 10 (1st Cir. 1992) (holding "[t]he fact that the analysis may often result in remedial measures being taken (as occurred here) does not mean that evidence of the analysis may not be admitted"); In re Chicago Flood Litigation, 1995 WL 437501, * 5 (N.D. Ill. 1995). Even if CF's post-accident conclusions that the accident was preventable and that Riggs made an improper lane change are not remedial measures, the Court finds such evidence inadmissible under Rule 403.

Under Rule 403, even relevant evidence may be excluded if its "probative value is substantially outweighed by the danger of unfair prejudice." The phrase "unfair prejudice" used in Rule 403 "means an undue tendency to suggest decision on an improper basis, commonly, though not necessarily, an emotional one." Notes of the Advisory Committee of the Proposed Rules. CF's accident review was conducted pursuant to the company's fleet safety program for the sole purpose of increasing the driver's understanding of how to prevent accidents. CF utilizes the National Safety Council Rules to determine accident preventability.

Villalba clearly wants the jury to infer from the results of the accident review that Riggs was negligent. The problem with that inference is that the standard for determining preventability and the standard for determining negligence under Illinois law are not necessarily the same. Villalba maintains that the standard of preventability is the same as the standard of negligence law. Compare I.P.I. Civil No. 10.01 (negligence means "the failure to do something which a reasonably careful person would do, or the doing of something which a reasonably careful person would not do, under circumstances similar to those shown by the evidence)with National Safety Council, p. 2 ("A preventable accident is one in which the driver failed to do everything that reasonably could have been done to avoid the accident. In other words, when a driver commits errors and/or fails to react reasonably to the errors of others, the National Safety Council considers an accident to be preventable."). Although the standards appear similar, the National Safety Council makes clear that its preventability standard "is not solely based on or determined by legal liability." Defendants' Ex. E, p. 3. Thus, the two standards may confuse and mislead the jury and result in a mini-trial regarding the different standards and the significance of the preventability finding, diverting attention away from the real issue of negligence. Likewise, there exists a danger that the proposed evidence could suggest a decision to the jury on an improper basis. CF's finding of preventability could lead the jury to decide the issue of negligence by improper reference to the preventability standard and CF's finding of preventability.

E. Evidence of a Prior and a Subsequent Accident of Defendant Riggs

Defendants move to exclude evidence of an accident involving Riggs which occurred on February 14, 1996, approximately six months before the accident in dispute here, and an accident involving Riggs subsequent to the accident here, which occurred on August 17, 1998. Defendants argue that such evidence may not be used to prove Riggs was negligent on August 4, 1996. Federal Rule of Evidence 404(b) provides that "[e]vidence of other crimes, wrongs, or acts is not admissible to prove the character of a person in order to show that he acted in conformity therewith." In this Circuit, evidence of "other acts" is admissible only if it meets the following four part test: (1) the evidence is directed toward establishing a matter in issue other than the defendant's propensity to commit the crime charged; (2) the evidence shows that the other act is similar enough and close enough in time to be relevant to the matter in issue; (3) the evidence is sufficient to support a jury finding that the defendant committed the similar act; and (4) the probative value of the evidence is not outweighed by the danger of unfair prejudice. United States v. Asher, 178 F.3 d 486, 492 (7th Cir. 1999). The fourth prong of the test incorporates Rule 403, which provides for the exclusion of relevant evidence on grounds of prejudice, confusion, or waste of time.United States v. Robinson, 161 F.3d 463, 467 (7th Cir. 1998). Evidence of "other acts" is admissible to establish "motive, opportunity, intent, preparation, plan, knowledge, identity, or absence of mistake or accident." Fed.R.Evid. 404(b). Rule 404(b) applies to civil cases as well as to criminal cases. Huddleston v. United States, 485 U.S. 681, 685 (1988).

Evidence of prior and subsequent accidents involving Riggs fails to satisfy at least two of the four prongs of the test. First, the evidence does not tend to establish something other than Riggs' alleged negligence. In Sparks v. Gilley Trucking Co., Inc., 992 F.2d 50, 52 (4th Cir. 1993), a personal injury action, the defendant sought to introduce evidence that the plaintiff had been convicted of speeding on several prior occasions to establish that the plaintiff was speeding at the time of the accident at issue. The Fourth Circuit held that the district court erred by admitting evidence of the prior speeding tickets because such evidence was not offered to show state of mind, plan, motive, preparation or any other permissible purpose under Rule 404(b):

In a common law negligence case, however, the issue is generally not the defendant's state of mind. Rather the factfinder must determine whether the defendant was acting as a reasonable person would have acted in similar circumstances. In this case Gilley Trucking was attempting to prove that Sparks was speeding or racing at the time of the accident and therefore driving in a negligent manner that contributed to the resulting accident. Yet proof of negligence does not require showing of intent or plan, the stated purposes for which the prior speeding tickets were admitted by the district court.

* * *

Nor did Gilley Trucking present any foundation for the theory that prior tickets revealed a "plan" or a "motive" to race on the day of the accident, and none of the evidence about the tickets discloses preparation to speed or race that day.
Id. at 52-53. Likewise, it does not appear that motive, opportunity, intent, preparation, plan, knowledge, identity, or absence of mistake or accident are at issue in this common law negligence action.

Villalba claims that the evidence of other accidents is intended to impact Riggs' credibility as a witness and his bias, interest, and motive in testifying in a particular manner. Villalba maintains that Riggs' concern about further disciplinary action is relevant to the explanation he gives for the August 4, 1996 accident and she should be able to offer an explanation for Riggs' decision not to acknowledge his own fault in this case.

Evidence that Riggs was involved in prior and subsequent accidents does not provide a motive for Riggs to give testimony inconsistent with Villalba's version of events in order to avoid further disciplinary action. Riggs was found not to have engaged in wrongful conduct and was not disciplined following the prior accident. Thus, the position Riggs took regarding the August 4, 1996 accident and his decision not to acknowledge his own fault was not motivated by a fear of further disciplinary action. Similarly, the explanation Riggs gave for the August 4, 1996 accident could not have been motivated by the subsequent accident because events after the August 4, 1996 accident are not probative of intent at that time. Villalba has not sufficiently articulated how the evidence of prior and subsequent accidents involving Riggs will establish his motive to testify in a particular manner to avoid further disciplinary action.

Villalba also argues that evidence of the prior and subsequent accidents will "reveal that [Riggs] engaged in a pattern of blaming the collisions he has engaged in on the individuals he has collided with." In the two other accidents, Riggs blamed the accident on drivers of vehicles attempting to overcome him, which is the same allegation he is making here. Villalba believes she should be able to "present to the jury the reaction that Riggs engaged in during the other accidents to demonstrate that his current excuse is not legitimate."

The fact that Riggs blamed the drivers in the prior and subsequent accidents does not make it more probable that Riggs' current explanation is false. Villalba wants to introduce this "pattern" evidence to show that it is more likely that Riggs acted in the same manner with respect to Villalba as he did with respect to the other drivers. This purpose is prohibited by Rule 404(b). As the Seventh Circuit has explained:

"Pattern" usually is a shorthand for a series of acts that collectively identify the offender-the ten bank robberies by a gang disguised by red polka dot bandanna, the series of counterfeit bills made by an engraver who never gets the Great Seal quite right, and so on. The pattern serves as the signature that enable the jury to determine that this offense, too, was committed by the defendant.

* * *

The inference from "pattern" by itself is exactly the forbidden inference that one who violated the drug laws on one occasion must have violated them on the occasion charged in the indictment. Unless something more than a pattern and temporal proximity is required, the fundamental rule is gone. This is why "pattern" is not listed in 404(b) as an exception. Patterns of acts may show identity, intent, plan, absence of mistake, or one of the other listed grounds, but a pattern is not itself a reason to admit the evidence.
United States v. Beasley, 809 F.2d 1273, 1277 (7th Cir. 1987). Villalba has not established that a pattern of blaming accidents on other drivers shows any of the other permissible purposes enumerated in the Rule.

Moreover, the danger of unfair prejudice would substantially outweigh the probative value, if any, of the prior and subsequent accidents. Evidence is unduly prejudicial only if it will "induce the jury to decide the case on an improper basis, commonly an emotional one, rather than on the evidence presented." United States v. Pulido, 69 F.3d 192, 201 (7th Cir. 1995) (citations and quotations omitted). Here, the jury may improperly infer from the mere existence of the prior and subsequent accidents that Riggs is a careless driver and must have been negligent on August 4, 1996 without that issue having been proved. Moreover, if evidence of the prior and subsequent accidents are admitted, CF and Riggs will likely present evidence establishing that Riggs was not negligent in the prior and subsequent accidents which will necessitate trials within a trial. This would consume substantial trial time and confuse the jury on issues of minimal probative value. Defendants' motion in limine to bar evidence of prior and subsequent accidents is granted.

F. Evidence of Villalba's Alleged Prior Suicide Attempt

Villalba moves to preclude the Defendants from introducing evidence regarding an alleged suicide attempt by her in 1990. Because the Court granted Defendants' motion in limine regarding any causation between the August 4, 1996 accident and Villalba's August 27, 1997 suicide attempt, Defendants concede that this portion of Villalba's consolidated motions in limine is moot. See Defendants' Response, p. 2. Accordingly, Defendants are barred from introducing evidence regarding an alleged suicide attempt in 1990.

G. Evidence of Plaintiff's Lifestyle

Villalba moves to bar defense attorneys from asking questions or offering evidence regarding her "lifestyle" since the accident on August 4, 1996, with the exception of questions relating to the operation of her business. Villalba's motion is too overbroad and vague. She does not specifically define what she means by "lifestyle" questions. Because Villalba's motion is too vague to determine whether evidence regarding her "lifestyle" would be admissible, the evidence will not be excluded on a motion in limine. Ruling on the admissibility of any "lifestyle" questions will be deferred until trial.

H. Evidence of Collateral Sources, Wealth or Poverty of the Parties, Tax Consequence of Any Award, and Settlement Negotiations

Villalba's unopposed motion to bar any questions or argument regarding collateral sources, the wealth, poverty or pecuniary circumstances of the parties, the tax consequences of any recovery, and settlement negotiations is granted.

I. Testimony of Undisclosed Witnesses

Villalba moves to bar Defendants from calling any witnesses at trial who were not previously disclosed in answers to discovery. Villalba objects to Defendants calling the following witnesses because they were not previously disclosed: B.A. Smith, Bruce Hartman and/or Stan Tomscak, Jenny S. Chavarria, Laura Diaz, Maria Ulloa, Karine Flores, and Jorge Lopez.

B.A. Smith

B.A. Smith is the Intake Counselor who took and entered Villalba's history of an alleged prior suicide attempt in 1990 at Ingalls Hospital on August 27, 1997. Because Defendants indicate that they will not call Ms. Smith if the Court grants their motion in limine concerning evidence of any causation between the August 4, 1996 accident and Villalba's August 27, 1997 suicide attempt, Villalba's motion is granted with respect to B.A. Smith.

Bruce Hartman and/or Stan Tomscak

Bruce Hartman was formerly the Employee Safety Manager for CF. Defendants maintain that Hartman was identified and disclosed in CF's Answers to Plaintiff's Interrogatory No. 1. Accordingly, Villalba's motion is denied with respect to Bruce Hartman.

Stan Tomscak is CF's current safety manager. Defendants indicate that they do not anticipate offering any testimony from Tomscak "unless it be in the context of a representative of the corporate defendant in response to unanticipated issues raised by plaintiff at trial." Given Defendants' representation, Villalba's motion in limine is denied without prejudice to her reasserting it at trial if necessary.

Chavarria, Diaz, Ulloa, Flores, and Lopez

Jenny S. Chavarria, Laura Diaz, Maria Ulloa, Karma Flores, and Jorge Lopez are all either Villalba's friends, family members, and/or co-workers and all named as possible impeachment witnesses. Rule 26(a)(3) which requires certain pretrial disclosures including the name of witnesses not previously provided does not require disclosure of witnesses offered "solely for impeachment purposes." See also Rule 37(c)(1) Advisory Committee Notes for 1993 Amendment (stating because Rule 26(a) does not require disclosure of evidence offered solely for impeachment purposes, the preclusion sanction of Rule 37(c)(1) does not apply to that evidence). Villalba's motion to bar Chavarria, Diaz, Ulloa, Flores, and Lopez from testifying as impeachment witnesses is denied.

J. Testimony By Defendants' Expert, David E. Hartman

Villalba moves to bar the testimony of Defendants' expert, David B. Hartman, with respect to any opinion he renders which is not supported by full disclosure of the bases and underlying data for his comparative assessment. Specifically, Villalba complains that Dr. Hartman failed to reveal in his report the norms established for two tests Dr. Hartman administered to Villalba in his neuropsychological evaluation. Villalba contends that Dr. Hartman failed to reveal the norms which apply to the Computerized Assessment of Response Bias (CARB) and Test of Memory Malingering (TOMM) tests or the bases for the comparative figures relied upon to draw his conclusions.

Villalba also claims that at his deposition, Dr. Hartman refused to provide answers to questions about the two tests and norms, but she fails to provide any citation to Dr. Hartman' s deposition to support this assertion. Villalba further asserts that Dr. Hartman's "inability to provide answers to these reasonable questions means that his opinions will go effectively unchallenged at trial without any showing that his opinions are valid or have been subjected to peer review or meet in any way the requirements set forth by the Supreme Court for controlling the rendering of unreliable opinions from experts. Daubert v. Merrel Dow Pharmaceuticals, 509 U.S. 579, 597 (1993)." Villalba's cursory challenge to the reliability of Dr. Hartman's opinions fails. Villalba has not provided the Court with any information concerning how to evaluate a neuropsychologist's opinions within the context of the four indices of reliability identified by the Supreme Court in Daubert (testing, peer review, error rate, and general acceptance). Given the current record, Villalba's motion in limine to bar Dr. Hartman's report under Daubert is denied without prejudice.

Federal Rule of Civil Procedure 26(a)(2)(B) requires an expert s report to contain, among other things, "a complete statement of all opinions to be expressed and the basis and reasons therefor" and "the data or other information considered by the witness in forming the opinions."

Rule 37(c)(1) provides that a party who without substantial justification fails to disclose information required by Rule 26(a) shall not, unless such failure is harmless, be permitted to use such information at trial.

Dr. Hartman's report complies with Rule 26(a)(2)(B). Dr. Hartman's report contains a complete statement of all opinions to be expressed and the reasons therefore, the data or other information he considered in forming his opinions, and all exhibits or charts that summarize or support his opinions. With respect to the CARB test, Dr. Hartman stated in his report: "While Ms. Villalba's score was above the mean score of subtle fakers, she produced an error score that was three z-score deviations worse than scores produced by patients with severe traumatic brain injury." Hartman report, p. 12. With respect to the TOMM test, Dr. Hartman concluded that Villalba "concocted an error rate that would not be seen in any legitimate form of mild head trauma." Id, p. 14. Dr. Hartman's report contains charts which compare Villalba's scores on the CARB and TOMM tests with the norms for both tests. 14., pp. 12, 14.

Villalba's claim that Dr. Hartman failed to comply with Rule 26(a)(2) by failing to disclose the underlying data for the norms in his report is without merit. The purpose of Rule 26(a)(2) is to require disclosure of expert testimony "sufficiently in advance of trial that opposing parties have a reasonable opportunity to prepare for effective cross examination and perhaps arrange for expert testimony from other witnesses." See Advisory Committee Notes on 1993 Amendments to Rule 26(a)(2). Dr. Hartman disclosed the norms for the CARB and TOMM tests he utilized and relied on. No more is required by the federal rules. Dr. Hartman's report contained sufficient information for Villalba's attorneys to prepare for cross-examination.

Nevertheless, to the extent Villalba believes she will be harmed at trial without further information concerning the norms for the GARB and TOMM tests, the Court will alleviate any possible prejudice by allowing Villalba's counsel and expert to review Dr. Hartman's file before trial. Villalba's counsel may work with their own expert to obtain any further information they may need regarding the tests for cross-examination.

For the reasons set forth above, Defendants' Motion in Limine to Bar Portions of Plaintiff's Pecuniary Damage Claim (#21) is GRANTED IN PART and DENIED WITHOUT PREJUDICE IN PART, Defendants' Motion in Limine to Bar Plaintiff From Offering Evidence Regarding Traffic Citation Received by Defendant Riggs (#22) is GRANTED, Defendants' Motion in Limine to Bar Plaintiff From Offering Any Testimony or Opinion at Trial Concerning Any Causation Between the Accident and Plaintiff's August 27, 1997 Suicide Attempt (#23) is GRANTED, Defendants' Motion in Limine to Bar Admission of Documents and Testimony Relating to Post-Accident Remedial Measures (#24) is GRANTED, Defendants' Motion in Limine to Bar Evidence of a Prior and a Subsequent Accident of Defendant Riggs and to Bar Admission of Documents Relating to Those Accidents (#25) is GRANTED, Plaintiff's Motion in Limine to Bar Defendants' Expert (#30) is DENIED, and Plaintiff's Consolidated Motions in Limine (#31) are GRANTED IN PART, DENIED IN PART, and DENIED WITHOUT PREJUDICE IN PART.


Summaries of

Villalba v. Consolidated Freightways Corp.

United States District Court, N.D. Illinois, Eastern Division
Aug 10, 2000
Case No. 98 C 5347 (N.D. Ill. Aug. 10, 2000)

holding that a causal connection between an accident and the accident victim's depression requires expert testimony due to the complex nature of depression

Summary of this case from Gates v. Texaco, Inc.
Case details for

Villalba v. Consolidated Freightways Corp.

Case Details

Full title:ELSA VILLALBA, Plaintiff, v. CONSOLIDATED FREIGHTWAYS CORPORATION OF…

Court:United States District Court, N.D. Illinois, Eastern Division

Date published: Aug 10, 2000

Citations

Case No. 98 C 5347 (N.D. Ill. Aug. 10, 2000)

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