Justia Civil Procedure Opinion Summaries

Articles Posted in Injury Law
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Plaintiff filed an amended complaint against Defendants, alleging breach of contract, misappropriation of trade secrets, tortious interference with a contract and business expectancy, and civil conspiracy. The circuit court granted Defendants’ motion to dismiss all four causes of action, concluding that Plaintiff failed to plead sufficient facts upon which relief could be granted. After Plaintiff filed an amended complaint asserting the same four causes of action, the circuit court again dismissed the complaint with prejudice under Ark. R. Civ. P. 12(b)(6). The Supreme Court (1) affirmed the part of the court’s second order dismissing with prejudice the breach-of-contract claim; but (2) reversed and remanded the parts of the order dismissing with prejudice Plaintiff’s remaining claims, as the claims went beyond mere conclusions and sufficiently stated facts upon which relief could be granted. View "The Ballard Group, Inc. v. BP Lubricants USA, Inc." on Justia Law

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Respondent Vasilios Haralampopoulos visited the emergency room with severe abdominal pain. After a CT scan revealed a large cystic mass in his liver, Petitioner Dr. Mauricio Waintrub examined Respondent, gave a differential diagnosis identifying four possible causes for his condition, and approved a fine-needle biopsy to determine the nature of the cyst. Petitioner Dr. Jason Kelly performed the procedure, during which Respondent suffered respiratory and cardiac arrest. Normal resuscitation efforts were unsuccessful, and it took over 30 minutes to revive Respondent's heart. Lack of oxygen to his brain left Respondent in a vegetative state. Ten days later, Respondent's family and friends met with doctors to determine why Respondent went into arrest and had such a poor reaction to resuscitation efforts. After the meeting, Respondent's then-roommate and ex-girlfriend Gulsans Akyol Hurd approached Dr. Kelly and asked him whether Respondent's prior cocaine use could have contributed to his injuries. Dr. Kelly responded that cocaine could have contributed to Respondent's resistance to normal resuscitation efforts, but he was not a cardiologist so he did not know. Respondent brought a medical malpractice suit against seven individuals, including Petitioners Dr. Kelly and Dr. Waintrub. Respondent filed a motion in limine seeking to exclude Hurd's statements to Dr. Kelly as inadmissible hearsay not covered by any hearsay exception. The trial court denied the motion in limine, finding that Hurd's statements were made for purposes of diagnosis and treatment under Rule 803(4), and that their probative value was not substantially outweighed by the danger of unfair prejudice under Colorado Rule of Evidence 403. The court of appeals reversed, finding that the trial court abused its discretion by admitting evidence of Respondent's cocaine use. The court held that Hurd's statements to Dr. Kelly were not admissible under Rule 803(4) because the statements were made after Respondent was in a vegetative state and treatment was no longer possible, they were not made for the purpose of diagnosis or treatment. Upon review, the Supreme Court reversed, holding that the court of appeals erred in limiting the scope of Rule 803(4) to statements made for the purpose of prospective treatment. The Rule's plain language applies to "diagnosis or treatment," and while the term "treatment" has a prospective focus, the term "diagnosis" does not. "Here, Hurd's statements were made for the purpose of discovering the cause of Respondent's resistance to normal resuscitation efforts, and were thus admissible under Rule 803(4)." The case was remanded back to the trial court for further proceedings. View "Kelly v. Haralampopoulos" on Justia Law

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The Comprehensive Environmental Response, Compensation, and Liability Act of 1980, 42 U.S.C. 960, contains a provision (section 9658) that preempts statutes of limitations applicable to state-law actions for personal injury or property damage arising from the release of a hazardous substance, pollutant, or contaminant into the environment. Section 9658 adopts the discovery rule, so that statutes of limitations begin to run when a plaintiff discovers, or reasonably should have discovered, that the harm was caused by the contaminant because person who is exposed to a toxic contaminant may not develop or show signs of resulting injury for many years. CTS sold property on which it had stored chemicals as part its operations as an electronics plant; 24 years later, owners of parts of that property and adjacent landowners, sued, alleging damages from the stored contaminants. CTS moved to dismiss, citing a state statute of repose that prevented subjecting a defendant to a tort suit brought more than 10 years after the defendant’s last culpable act. Because CTS’s last act occurred when it sold the property, the district court granted the motion. The Fourth Circuit reversed, holding that the statute’s remedial purpose favored preemption. The Supreme Court reversed in part, concluding that section 9658 does not pre-empt state statutes of repose. Statutes of limitations promote justice by encouraging plaintiffs to pursue claims diligently and begin to run when a claim accrues. Statutes of repose effect a legislative judgment that a defendant should be free from liability after a legislatively determined amount of time and are measured from the date of the defendant’s last culpable actor omission. Under the language of the statute, pre-emption is characterized as an exception to the regular rule that the “the statute of limitations established under State law” applies; it is proper to conclude that Congress did not intend to preempt statutes of repose. View "CTS Corp. v. Waldburger" on Justia Law

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Plaintiffs were former employees by Verizon Virginia, Inc. Plaintiffs sued Verizon and the Communication Workers of America, AFL-CIO District 2 after Plaintiffs accepted an “Enhanced Income Security Plan” based on the assurances that they would not be terminated but were nonetheless terminated. Defendants filed notices of removal to the federal district court, arguing that Plaintiffs’ state-law claims were completely preempted by section 301(a) of the Labor Management Relations Act (LMRA). The district court concluded that Plaintiffs’ state-law claims were not completely preempted and there was no federal jurisdiction. On remand, the circuit court agreed with Defendants on the complete preemption issue and dismissed the case. The Supreme Court reversed, holding (1) the circuit court erred by dismissing Plaintiffs’ claims for lack of jurisdiction, even if they were completely preempted; and (2) Plaintiffs’ claims were not completely preempted. View "Anthony v. Verizon Va., Inc." on Justia Law

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Petitioners seek a writ of mandamus directing the district court to give them "crime victim" status under the Crime Victims' Rights Act (CVRA), 18 U.S.C. 3771. The court concluded that petitioners have a right to file their own motion to be declared crime victims under the CVRA, and it is clear and indisputable that no time bar prevented the district court from considering the novel arguments raised by pro bono counsel in its motion below. Issuance of a writ is appropriate where, as here, petitioners raised arguments previously raised by the Government during the time the Government represented their interests, and where petitioners have been able to retain counsel. View "In re: Jewell Allen, et al." on Justia Law

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Plaintiff filed suit under 42 U.S.C. 1983, alleging that New York City officers used excessive force when arresting her. On appeal, plaintiff primarily seeks a new trial on damages and challenges portions of the district court's order awarding attorney's fees and costs incurred prior to the date of defendants' Rule 68 Offer. The court concluded that the district court did not err in refusing to give a separate charge as to future damages and plaintiff failed to establish that any potentially improper conduct by defense counsel prejudiced the jury's award of punitive damages. The district court properly applied Rule 68 and did not abuse its discretion by reducing the reasonable hourly rate of plaintiff's lead counsel. The court held that Rule 68 offers need not, as a per se rule, expressly apportion damages among multiple defendants. With respect to apportionment, a Rule 68 offer is operative so long as it is capable of being compared to the prevailing plaintiff's ultimate recovery. Because the Offer meets this standard, the court affirmed the district court's decision. The court rejected plaintiff's claim that the district court erred in reducing the amount of her awardable attorney's fees. Accordingly, the court affirmed the judgment and order of the district court. View "Stanczyk v. City of New York, et al." on Justia Law

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Plaintiffs filed a putative class action alleging that aerial herbicide spraying of illegal coca crops had drifted across the border from Colombia and that planes themselves had actually crossed the border and sprayed in Ecuador. Plaintiffs asserted a wide variety of tort claims for alleged injuries to health, property, and financial interests. The court agreed with the district court that the Ecuadorian provinces lacked Article III standing; the court rejected the challenge brought by the 163 plaintiffs who were dismissed for failure to provide complete responses to the court-ordered questionnaires; because District of Columbia law requires expert testimony where the parties offer competing causal explanations for an injury that turns on scientific information, the district court appropriately dismissed individual plaintiffs' claims for crop damages; because expert testimony was not necessary to prove plaintiffs' claims for battery, nuisance, and intentional infliction of emotional distress, the district court erred in dismissing these claims; and because expert testimony is necessary to determine whether plaintiffs were actually in the zone of physical danger, the court affirmed the district court's dismissal of the negligent infliction of emotional distress claims. Accordingly, the court affirmed in part, reversed in part, and remanded for further consideration., battery, nuisance, iemd View "Arias, et al. v. Dyncorp, et al." on Justia Law

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In 2012, nineteen plaintiff families filed a single complaint alleging products liability and negligence claims against Defendants. In 2013, six plaintiff families filed a single complaint also alleging products liability and negligence claims against Defendants. The Chief Justice of the Supreme Court referred Plaintiffs as two civil actions to the Mass Litigation Panel. The Panel entered an order that transformed the two civil actions into twenty-five separate actions. Plaintiffs sought a writ of prohibition to preclude enforcement of the order on the grounds that the Panel did not have the authority to alter their status as two civil actions. The Supreme Court granted the writ, holding that the Panel did not have the authority to separate the cases. View "State ex rel. J.C. v. Judge Mazzone" on Justia Law

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In 2001, the Bryan family’s adopted son, J.O., repeatedly raped and molested his younger foster brother, K.B., in the room the boys shared. After weeks of abuse, K.B. told his foster parents, who contacted the Erie County Office of Children and Youth (ECOCY), which had facilitated J.O.’s adoption, and had J.O. removed from their home. The Bryans blamed ECOCY for K.B.’s ordeal, claiming that ECOCY employees concealed J.O.’s history of violent behavior and sexual misconduct. The Bryans sued ECOCY and seven employees under 42 U.S.C. 1983 on a theory that permits recovery from state actors when “the state’s own actions create the very danger that causes the plaintiff’s injury.” During trial, the parties agreed to a high-low settlement. Regardless of the verdict, the Bryan family was to receive at least $900,000 and defendants were to pay no more than $2.7 million. The jury returned an $8.6 million verdict; the defendants tendered $2.7 million. The Bryans claimed breach of the settlement agreement’s confidentiality clause, rendering the deal unenforceable. The district court concluded that it lacked subject matter jurisdiction to decide whether to enforce those terms or the verdict. The Third Circuit remanded. The case was not dismissed, nor was the verdict satisfied. A district court’s jurisdiction does not terminate at the moment jury deliberations do. View "Bryan v. Erie Cnty. Office of Children & Youth" on Justia Law

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The Estate of Steven Gavin filed a wrongful death action against the Commonwealth and Tewksbury State Hospital under the Massachusetts Tort Claims Act, alleging that Gavin’s death was caused by the negligence of hospital staff members. The presentment of the claim was made by the Estate, through its attorney, and not by the executor or administrator of the Estate. The superior court allowed Defendants’ motion to dismiss, concluding that the statutory requirements for presentment of a claim under the Act were not met in this case. The Supreme Judicial Court vacated the judgment of the superior court, holding that, under the circumstances of this case, the presentment made by the Estate, before the appointment of an executor or administrator, was proper. Remanded. View "Estate of Gavin v. Tewksbury State Hosp." on Justia Law