William E. BARRETT, Plaintiff and Appellant, v. Dennis R. PETERSON, M.D., Defendant and Appellee.
No. 910048-CA.
Court of Appeals of Utah.
Dec. 30, 1993.
868 P.2d 96
Gary D. Stott, Curtis J. Drake, and Michael Peterson, Salt Lake City, for defendant and appellee.
Before BENCH, GREENWOOD and ORME, JJ.
OPINION
ORME, Judge:
Appellant challenges the trial court‘s denial of his motion for a new trial, in which he claimed the trial court erred by improperly limiting voir dire of the jury panel. We agree, and reverse and remand for a new trial.
FACTS
Appellant, William Barrett, brought a medical malpractice action against appellee, Dr. Dennis R. Peterson, claiming appellee failed to properly diagnose appellant‘s acoustic neuroma or take other action that allegedly would have resulted in diagnosis of his condition.
On the first day of the two-week trial, appellant‘s counsel submitted to the trial court a set of eighty-two voir dire questions accompanied by a supporting memorandum. Of these eighty-two questions, eleven were designed to probe the potential jurors’ exposure to tort-reform material.1 Submitted with the proposed questions were then-current, widely distributed advertisements and articles setting forth insurance industry viewpoints on tort-reform issues.2 Appellant also requested to personally conduct limited voir dire examination.
During jury selection, the trial judge first asked a number of general voir dire questions, and then asked counsel if there were any questions they wished him to ask the panel. After an off-the-record discussion with appellant‘s counsel, the trial judge asked the prospective jurors several specific questions not relevant to the issue of tort-reform exposure. Over appellant‘s objection, the trial judge refused to ask the jurors any of appellant‘s submitted questions specifically directed at the issue of tort reform.
The jury returned a no-cause-of-action verdict in favor of appellee. Appellant subsequently moved for a new trial arguing, in part, that the trial court improperly limited the jury voir dire examination by refusing to ask potential jurors the tort-reform bias questions he submitted. The trial court denied the motion, and this appeal followed.
Appellant claims on appeal that the trial court failed to ask appropriate preliminary questions of the jury, which would have allowed him to discover which jurors had been exposed to tort-reform material. He argues that his inability to detect such jurors denied him an opportunity to discover whether jurors who had been exposed were biased by such exposure. He claims the court committed reversible error by refusing to allow his counsel to personally conduct voir dire examination and in excluding appellant‘s proffered voir dire questions.
STANDARD OF REVIEW
We review challenges to the trial court‘s management of jury voir dire under an abuse of discretion standard. Evans v. Doty, 824 P.2d 460, 462 (Utah App. 1991), cert. denied, 836 P.2d 1383 (Utah 1992); Doe v. Hafen, 772 P.2d 456, 457-58 (Utah App. 1989). Generally, the trial court is afforded broad discretion in conducting voir dire, “but that discretion must be exercised in favor of allowing discovery of biases or prejudice in prospective jurors.” State v. Hall, 797 P.2d 470, 472 (Utah App.), cert. denied, 804 P.2d 1232 (Utah 1990). See also State v. James, 819 P.2d 781, 797-98 (Utah 1991) (noting importance of voir dire process in eliminating bias and prejudice from trial proceedings). This court will overturn a trial court‘s discretionary rejection of voir dire questions only upon a showing that “the abuse of discretion rose to the level of reversible error.” Hall, 797 P.2d at 472. A trial court commits reversible error when, “considering the totality of the questioning, counsel [is not] afforded an adequate opportunity to gain the information necessary to evaluate jurors.” Evans, 824 P.2d at 462 (quoting State v. Bishop, 753 P.2d 439, 448 (Utah 1988)).
TORT-REFORM INQUIRY DURING JURY VOIR DIRE
Voir dire serves two distinct purposes: 1) to allow counsel to uncover biases of individual jurors sufficient to support a for-cause challenge and 2) to gather information enabling counsel to intelligently use peremptory challenges. State v. Sherard, 818 P.2d 554, 558 (Utah App. 1991), cert. denied, 843 P.2d 516 (Utah 1992); Doe v. Hafen, 772 P.2d 456, 457 (Utah App. 1989). In light of “the important role that jury voir dire has in ensuring that all litigants in a case receive a fair and impartial jury,” State v. James, 819 P.2d 781, 797 (Utah 1991), courts must liberally exercise voir dire beyond minimal constitutional requirements in order “to eliminate bias and prejudice from the trial proceedings.” Id. at 798. In fact, the Utah Supreme Court has emphasized that
the fairness of a trial may depend on the right of counsel to ask voir dire questions designed to discover attitudes and biases, both conscious and subconscious, even though they “would not have supported a challenge for cause.” ... Juror attitudes revealed during voir dire may indicate dimly perceived, yet deeply rooted, psychological biases or prejudices that may not rise to the level of a for-cause challenge but nevertheless support a peremptory challenge.
State v. Worthen, 765 P.2d 839, 845 (Utah 1988) (emphasis added) (quoting State v. Ball, 685 P.2d 1055, 1060 (Utah 1984)).
Such admonitions can be at odds with the traditional reluctance of trial courts to allow questions during voir dire that might suggest defendant possesses insurance coverage for the damages claimed by plaintiff. Thus, courts have been concerned that allowing plaintiffs to question jurors during voir dire about tort-reform issues would infuse the issue of insurance coverage into jury deliberations, thereby prejudicing the defendant‘s interests. See Evans v. Doty, 824 P.2d 460, 463 (Utah App. 1991), cert. denied, 836 P.2d 1383 (Utah 1992); Borkoski v. Yost, 182 Mont. 28, 594 P.2d 688, 692-93 (1979).3 Yet, more recently, courts have been willing to balance the competing interest of selecting an impartial jury, given the jurors’ possible exposure to tort-reform material and the prejudice injected into the proceedings by the questioning itself. Of course, these inquiries into insurance-related issues cannot be used merely to inform the jury that defendant is covered by insurance, but rather must be conducted as good faith efforts to uncover bias. Evans, 824 P.2d at 464; Borkoski, 594 P.2d at 695.
A. Inquiries Concerning Specific Tort-reform Campaigns
The case of Borkoski v. Yost, 182 Mont. 28, 594 P.2d 688 (1979), set out a procedure for determining when a plaintiff can ask jurors about their exposure to specific tort-reform campaigns and set limits on the extent of such inquiries. In Borkoski, a plaintiff in a wrongful death action requested the trial court to permit voir dire of prospective jurors “as to the influence of a national campaign by leading insurance companies with regard to jury awards.” Id. 594 P.2d at 689. The defendant‘s insurance company had been an active participant in that campaign. Id. The plaintiff presented copies of magazines, such as Time, Newsweek, and Sports Illustrated, which carried the insurance-sponsored ads. Id. at 689-90. At trial, the plaintiff sought permission to determine whether any prospective jurors had been exposed to the national campaigns. Id. at 690. The trial court refused his request. Id. On appeal, plaintiff claimed that the trial court‘s refusal to allow his voir dire inquiry prevented him from receiving a fair and impartial jury by denying him an opportunity to ascertain whether the jurors were biased as a result of exposure to tort-reform material. Id.
After reviewing the purposes for jury voir dire and the policy behind concealing information from jurors concerning insurance, the court developed a two-tier approach for voir dire inquiries that balances the conflicting interests of selecting an impartial jury and the prejudice infused into the proceedings by the questioning about exposure to tort-reform information. Id. at 695. According to the Borkoski court, a plaintiff who wishes to determine whether jurors have been biased by specific tort-reform campaigns must make an initial showing of possible prejudice. Id. at 694. That is, the plaintiff must demonstrate that potential jurors are likely to have recently been exposed to such material. See id. at 694-95. One method for making such a showing is by demonstrating that articles concerning tort reform were recently published in widely-read media. See id. After this initial showing, the plaintiff, in order to determine which jurors have been exposed to the material, is entitled to either or both forms of the following preliminary, first-tier questions:
(1) whether the prospective juror has heard of or read anything (not necessarily related to insurance) which might affect his ability to sit as an impartial juror ...; or (2) whether the prospective juror regularly reads any of the magazines or newspapers in which it has been demonstrated that the insurance advertisements or articles had appeared
....
Id. at 695. If any juror answers these inquiries affirmatively, the plaintiff is entitled to proceed to more specific, second-tier questions concerning tort reform. See id. Such questions, in an attempt to discover bias within exposed jurors,
may inquire whether a prospective juror has heard or read anything to indicate that jury verdicts for plaintiffs in personal injury cases result in higher insurance premiums for everyone; if so, whether the prospective juror believes such materials; and if so, whether that belief will interfere with the juror‘s ability to render a fair and impartial verdict.
Id. at 694. Depending on the response to those inquiries, further questioning can be pursued, subject to the trial court‘s discretion. Id.
Now, many of you have heard and read articles, and there have been television programs, with regard to negligence on the part of doctors. Do any of you have any strong feelings as a result of seeing or reading anything about medical negligence that would make it so that you couldn‘t be fair and impartial here today? Now do any of you have any strong feelings about anyone bringing a lawsuit against a doctor?
Id. at 463. After the first question and ensuing answers and discussion, two potential jurors were dismissed for cause, but there were no responses to the second question. Following additional voir dire, the trial court impanelled the jury over plaintiff‘s objections. Id.
Insofar as the plaintiff contended she was entitled to ask specific questions about the Time article, the Evans court concluded that because the article was three-years old at the time of trial, it was unlikely that any juror would remember reading that particular piece. Id. at 466-67. The plaintiff therefore failed to make the initial showing of prejudice required under the Borkoski analysis. Id. at 467. Accordingly, the trial court did not abuse its discretion by refusing to ask the plaintiff‘s questions regarding exposure to specific tort-reform material. Id.4
B. Inquiries Concerning General Knowledge of Tort Reform
In addition to voir dire questions aimed at uncovering exposure to specific tort-reform campaigns or advertisements, the plaintiff in Evans claimed the court erred by refusing to ask questions submitted to uncover exposure to tort-reform information in general. Evans v. Doty, 824 P.2d 460, 467 (Utah App. 1991), cert. denied, 836 P.2d 1383 (Utah 1992). This proposed inquiry concerned the third category of insurance-related voir dire: prospective jurors’ general knowledge and attitudes concerning tort reform and insurance premiums. Although Borkoski only involved a situation in which the plaintiff wanted to uncover exposure to specific tort-reform material, the Evans court reasoned that the underlying rationale of Borkoski nevertheless warrants inquiry into general exposure, even in the absence of specific examples of tort-reform campaigns or advertisements. Id. at 465.
The Evans court explained that the decision about whether such voir dire questions should be asked “requires a balancing of the relative interests of the parties in light of the facts and circumstances of the particular case.” Id. at 467. Specifically, “in tort cases, and more particularly in medical malpractice cases, we cannot ignore the reality that potential jurors may have developed tort-reform biases as a result of an overall exposure to such propaganda.” Id. “Reason suggests that exposure to tort-reform propaganda may foster a subconscious bias within certain prospective jurors.” Id. This is precisely the type of bias that counsel must be allowed to uncover if an impartial jury is to be impaneled. Id. at 462. Accordingly, even when specific examples of tort-reform propaganda are not presented to the court, a “plaintiff has a legitimate interest in discovering which jurors may have read or heard information generally on medical negligence or tort reform.” Id. at 467.5
In light of the pervasive dissemination of tort-reform information, and the corresponding potential for general exposure to such information by potential jurors, a plaintiff is entitled to know which potential jurors, if any, have been so exposed. See id. Plaintiff is entitled to such information absent any particular showing of specific campaigns, advertisements, or literature offered for the purpose of showing potential prejudice. See id. Failure to ask such questions ignores the plaintiff‘s “need to gather information to assist in exercising ... peremptory challenges.” Id.
We now proceed to assess appellant‘s claim with this framework in mind.
PROPRIETY OF TRIAL COURT‘S VOIR DIRE QUESTIONING IN THIS CASE
In the instant case, appellant essentially claims the trial court‘s failure to ask appropriate preliminary questions or to ask any of the supplemental voir dire questions concerning tort reform, coupled with its refusal to allow his counsel to conduct limited voir dire,6 impaired his ability to intelligently exercise his peremptory challenges. The trial court in this case asked the prospective jurors general questions regarding whether they would be willing to give a large award if it was supported by evidence, whether they felt it appropriate to resolve disputes in court, whether any of them were involved in the writing of insurance, and whether any of them were in an unfair frame of mind.
The proper lines of inquiry, as explained in that opinion, clearly require a court to ask potential jurors the sort of general tort-reform questions appellant sought to ask, in order to uncover exposure to tort reform material, regardless of whether the plaintiff provides specific examples of tort-reform campaigns. Moreover, appellant in the instant case would have been entitled to ask his requested questions under the Borkoski approach alone because he made an initial showing of prejudice by providing specific, widely distributed articles and advertisements that he believed could have biased prospective jurors.
In this case, none of the questions asked by the trial court even remotely addressed whether the prospective jurors had heard or read anything relating to tort-reform issues. Nor did the trial court attempt to address in a more general fashion the issues of medical negligence and tort-reform propaganda in its voir dire questioning. The court asked only broad questions concerning the prospective jurors’ self-assessed ability to be fair and impartial. As a result of this limited line of questioning, appellant was wholly unable to determine which, if any, prospective jurors had been exposed to tort reform propaganda, much less whether that exposure produced hidden or subconscious biases affecting their ability to render a fair and impartial verdict. Thus, under Evans, the trial court‘s line of questioning ignored appellant‘s need to garner information necessary both to detect actual bias and to intelligently exercise his peremptory challenges.
Accordingly, we conclude that the trial court should have asked the prospective jurors appropriate preliminary questions—either those suggested by appellant or alternative questions more to its liking—designed to detect, initially, whether any of the prospective jurors had been exposed to tort reform and medical negligence propaganda. Had the trial court done so, and had any of the jurors responded positively to these initial questions, appellant would have been entitled to have more specific questions put to the jurors designed to probe those jurors’ attitudes regarding, and possible bias resulting from, the tort-reform information.
HARMLESS ERROR?
Under Evans v. Doty, 824 P.2d 460 (Utah App. 1991), cert. denied, 836 P.2d 1383 (Utah 1992), our conclusion that the trial court should have allowed additional voir dire questioning does not end our inquiry. Id. at 467. “The failure to ask an appropriate question on voir dire does not always constitute an abuse of discretion requiring reversal.” Id. However, “[s]ubstantial impairment of the right to informed exercise of peremptory challenges is reversible error.” Hornsby v. Corporation of the Presiding Bishop, 758 P.2d 929, 933 (Utah App. 1988). Accordingly, we must reverse if “considering the totality of the questioning, counsel [is not] afforded an adequate opportunity to gain the information necessary to evaluate the jurors.” Id. at 462 (quoting State v. Bishop, 753 P.2d 439, 448 (Utah 1988)).
Appellee argues that even assuming the trial court was obligated to ask prospective jurors preliminary questions concerning their exposure to medical negligence and tort-reform propaganda, the court conducted an appropriate inquiry overall. Therefore, appellee claims that any failure to ask preliminary tort-reform questions must be deemed harmless error, the conclusion reached in Evans. See 824 P.2d at 468. We disagree. While the trial court in Evans failed to ask prospective jurors questions regarding exposure to tort reform information, the court in that case engaged in extensive voir dire overall, during which it commented about articles and television programs in asking them whether anything they had read or heard with regard to medical negligence would affect their ability to be fair and impartial. See id. at 467. The court also inquired whether any had strong feelings about lawsuits against doctors. See id.
The record in this case, by contrast, reveals that despite appellant‘s submission of supplemental voir dire questions accompanied by a supporting memorandum, no pertinent questions regarding tort-reform and medical negligence issues were asked, even indirectly, nor were such matters even touched upon by the trial court. In view of our earlier conclusion that appellant was denied an opportunity to ferret out jurors who had been exposed to tort-reform material, and was prevented from further questioning of such jurors, appellant‘s ability to intelligently exercise his peremptory challenges was substantially impaired. The factors which permitted the Evans court, in what must have been a close call, to determine that the voir dire problems there were harmless, are simply not present here. In the instant case, the overall voir dire was much less extensive. Moreover, in contrast to Evans, the trial court did not so much as mention the subject of articles and programs on medical negligence, nor did it verbalize the concept of lawsuits against doctors prompting discernible emotions.
Our conclusion that the error in this case was prejudicial to appellant under the Hornsby standard, uniquely applicable in the jury voir dire context, is further supported by an examination of the two crucial purposes behind asking preliminary questions aimed at discerning exposure to tort-reform information. First, these questions identify those jurors to whom particularized questions aimed at detecting actual bias may be productively directed. Second, regardless of a prospective juror‘s response to particularized questions about the effect of mere exposure, counsel can include the fact of exposure in the calculus for determining how to best utilize peremptory challenges. Thus, when proper preliminary questions are asked, counsel is able to direct peremptory challenges at those who have been exposed, even if those jurors claim not to have been influenced by such exposure. Because appellant here was entirely unable to identify exposed jurors, he was never allowed to ask appropriate questions directed toward detecting actual bias, expressed or subconscious, and he was denied information helpful in the intelligent use of his peremptory challenges. Accordingly, the inadequate voir dire in this case substantially impaired appellant‘s right to the informed exercise of peremptory challenges, and thus constitutes reversible error. See Hornsby, 758 P.2d at 933.
CONCLUSION
The trial court‘s failure to ask prospective jurors threshold questions sufficient to elicit information on the jurors’ possible exposure to tort-reform and medical negligence information prevented appellant from detecting possible bias and from intelligently exercising his peremptory challenges. The trial court‘s limitation of voir dire questioning substantially impaired appellant‘s right to the informed exercise of his peremptory challenges, and therefore constitutes reversible error. The judgment in favor of appellee is reversed, and the case is remanded for a new trial.
GREENWOOD, J., concurs.
BENCH, Judge (dissenting):
I respectfully dissent. The main opinion improperly addresses issues that, as a result of the jury‘s no-cause-of-action verdict, are not before this court. In dicta, however, the main opinion goes far beyond the scope of the case law governing the issues framed in the main opinion. In the event that the main opinion might be misconstrued as binding case law, I feel compelled to respond to the main opinion‘s analysis.
No-Cause-Of-Action Verdict
Prior to selecting the jury, plaintiff presented to the trial court several articles concerning tort reform. Plaintiff argued that he should be able to have the prospective jurors questioned as to their awareness of such articles. Plaintiff submitted eleven proposed questions with respect to tort-reform issues. Over plaintiff‘s objections, the trial court refused to ask any of plaintiff‘s questions. After a two-week trial, the jury returned a no-cause-of-action verdict.
The main opinion overlooks the import of the jury‘s verdict with regard to plaintiff‘s arguments on appeal. Plaintiff has not alleged that the jury returned a no-cause-of-action verdict as a result of the trial court‘s alleged inadequacies in its voir dire questioning with respect to tort-reform issues. In fact, the article and advertisements submitted by plaintiff discuss tort-reform issues in the context of the amount of damages being awarded by juries after negligence is determined. They simply do not suggest that juries should not make the initial determination of negligence.1 Therefore, in order to even get to the question, plaintiff must show that he was prejudiced in the initial negligence determination by the trial court‘s failure to inquire into the prospective jurors’ familiarity with the articles. Plaintiff has made no such showing.
Unfortunately, the foregoing conclusions [with respect to tort-reform issues] do not avail Borkoski on this appeal. Even though we accept Borkoski‘s arguments, it is undeniable that the purpose of advertisements was to reduce the amount of damages awarded by a jury. At no point is it suggested, either by Borkoski or in the advertisements themselves, that juries should not find a party negligent in the first place. The ads speak only to damages, not liability. Here, the jury found defendant doctors not liable at all. The jury did not even reach the question of damages. In such a case, Borkoski‘s arguments lose their vitality, and any error committed must be viewed as harmless and not grounds for reversal.
Id. 594 P.2d at 695 (citation omitted). This is precisely the situation in the present case. The jury never even reached the issue of damages. Therefore, like the conclusion in Borkoski, any alleged error committed by the trial court during voir dire must “viewed as harmless and not grounds for reversal.” This should be the end of the main opinion‘s inquiry and any analysis beyond this point is superfluous and mere dicta.
Specific Tort-reform Information
The main opinion, however, proceeds to analyze the merits of plaintiff‘s arguments. In its treatment of plaintiff‘s arguments, it goes far beyond the controlling case law governing voir dire when issues involving specific tort-reform material are present. As indicated by the main opinion, there are three different situations when plaintiffs may attempt to address tort-reform issues during voir dire:
First, plaintiffs have sought to inquire into prospective jurors’ relationships with insurance companies.... Second, plaintiffs have requested permission to determine whether jurors have been exposed to a specific, identifiable media report or advertising campaign; often where insurance companies have funded such a campaign to convince the public of the “evils” of modern tort law and the impact of large jury awards on insurance premiums.... Finally, plaintiffs have sought to inquire of jurors as to their general knowledge about and attitudes toward medical negligence and tort reform without regard to a specific advertising campaign or news media report.
Evans v. Doty, 824 P.2d 460, 463 (Utah App. 1991) (citations omitted), cert. denied, 836 P.2d 1383 (Utah 1992). The main opinion seems to indicate that this case may fit within either the second or third categories. However, plaintiff presented a specific article and several advertisements to the trial court, and now complains that the trial court erred in not conducting additional voir dire with respect to possible bias as a result of the identified articles. Therefore, this case fits squarely within the second category regarding specific tort-reform articles and campaigns.
Since this case involves specific tort-reform articles, it is governed by Ostler v. Albina Transfer Co., 781 P.2d 445 (Utah App. 1989), cert. denied, 795 P.2d 1138 (Utah 1990), which was the first case in this jurisdiction to deal with specific tort-reform material. See State v. Thurman, 846 P.2d 1256, 1269 (Utah 1993) (under stare decisis, first appellate panel to issue opinion on particular question of law binds all subsequent panels). This case is therefore governed not by Evans, as asserted by the main opinion, but by Ostler. In relying on the wrong case, the main opinion applies the wrong test and needlessly confuses the analysis where the voir dire process is challenged with respect to specific tort-reform material.
In lieu of plaintiff‘s proposed questions, the judge informed the venire that plaintiff‘s claim may exceed a million dollars and asked if any would object to an award of that magnitude. None did. The judge also asked if any of the prospective jurors believed that people should not resort to the courts to settle disputes or recover damages for injuries. Again, none did. The judge followed with a question asking whether any believed they were incapable of rendering a fair and true verdict based on the evidence. None responded affirmatively. In their totality, and in the context with the remainder of voir dire, these questions are substantially responsive to plaintiff‘s concerns and appear sufficient to reveal “tort reform” bias in the manner discussed in Doe, 772 P.2d at 458-59. Plaintiff, therefore, has not shown an abuse of discretion in the court‘s voir dire of prospective jurors.
Applying the Ostler test to present case, it is clear that the trial court did not abuse its discretion in its voir dire questioning. The trial court asked the prospective jurors whether any of them owned stock in any companies. None indicated that they owned stock in any insurance companies. The court then informed the prospective jurors that plaintiff‘s claim for damages could exceed several hundred thousand dollars and asked whether any of them could not give such an award if it was supported by the evidence.2 None of the prospective jurors indicated they could not give such an award. The court asked if any of the prospective jurors believed that it was not appropriate to go to court to resolve disputes and determine compensation for damages.3 None did. The court asked the prospective jurors whether they would be satisfied to have their own case tried with jurors possessing their present state of mind. None indicated they would not be satisfied. The court also asked the prospective jurors if there was any reason that any one of them felt they should not serve on the jury. None indicated they should not serve.
In their totality, and in the context of the remainder of the court‘s voir dire questioning, the specific questions asked by the court are substantially responsive to plaintiff‘s concerns and appear sufficient to reveal “tort-reform” bias in the manner discussed in Ostler, 781 P.2d at 447. Plaintiff has not shown that the trial court abused its discretion in refusing to use his specific questions during voir dire. While the main opinion likewise concludes that the trial court did not abuse its discretion in this context, it utilized an erroneous test and relied on improper case law in reaching its conclusion.
General Tort-reform Information
The main opinion also analyzes this case as if it involved general exposure to tort-reform material. The main opinion mistakenly relies upon Evans since an alleged general exposure to tort-reform material was first dealt with in this jurisdiction by Doe v. Hafen, 772 P.2d 456, 458-59 (Utah App. 1989), cert. denied, 800 P.2d 1105 (Utah 1990).
In Hafen, the plaintiff, dissatisfied with the amount of judgment received, claimed on appeal that the trial court erred in not asking specific questions with respect to whether any prospective jurors had formed opinions about high damage awards because of tort-reform information. The trial court did ask, however, whether any of the prospective jurors had read or experienced anything that would affect the amount of compensation they were willing to award. This court adopted the reasoning in the Borkoski dicta in order to analyze whether the trial court‘s questioning had been adequate. Id. at 458. This court focused on the Borkoski requirement that before any specific questioning would be allowed, the court must ask a broad preliminary question with regard to whether any of the prospective jurors would be unable, for whatever reason, to be a fair and impartial juror. If any of the prospective jurors indicated they could not be fair and impartial, more specific questioning might be warranted. Applying this principle to the case before it, this court held that in light of the broad general question asked by the court “we conclude the judge properly refused to continue questioning the prospective jurors about [tort-reform information].” Id.
Applying the Hafen test to the present case, the trial court asked several broad preliminary questions designed to determine whether any of the prospective jurors would not be able to be fair and impartial. None of the prospective jurors indicated that they could not serve fairly and impartially. Under Hafen, the questioning was then at an end, and the trial court had no obligation to probe further.4 Therefore, the trial court did not abuse its discretion by refusing “to continue questioning the prospective jurors about [tort-reform information].” Id.
By ignoring Hafen, the main opinion has done away with the requirement that there be some initial showing of a question of bias before a plaintiff is entitled to ask specific questions regarding tort-reform material.5 The main opinion states,
In light of the pervasive dissemination of tort-reform information, and the corresponding potential for general exposure to such information by potential jurors, a plaintiff is entitled to know which potential jurors, if any, have been so exposed. Plaintiff is entitled to such information absent any particular showing of specific campaigns, advertisements, or literature offered for the purpose of showing potential prejudice.
As a result of the main opinion‘s ruling, plaintiffs will now demand that the trial court ask specific questions regarding tort-reform material without any initial showing of a bias. I believe that is contrary to case law and general principles governing voir dire.
Conclusion
I would affirm the no-cause-of-action verdict. The issue of tort-reform bias influencing the amount of the award is not before us because the jury never reached the issue of damages. In any event, the trial court did not abuse its discretion in conducting voir dire with respect to tort-reform issues.
BENCH, Judge (dissenting)
Notes
The court may permit the parties or their attorneys to conduct the examination of prospective jurors or may itself conduct the examination. In the latter event, the court shall permit the parties or their attorneys to supplement the examination by such further inquiry as is material and proper or shall itself submit to the prospective jurors such additional questions of the parties or their attorneys as is material and proper.
