Lead Opinion
Jane Doe, appellant/plaintiff below (hereinafter referred to as “Ms. Doe”), appeals an adverse jury verdict from the Circuit Court of Raleigh County.
I.
FACTUAL AND PROCEDURAL HISTORY
On February 23, 1994, Ms. Doe was abducted from the Beekley Crossings Shopping Center in Raleigh County, West Virginia by Billy Jo Hampton (hereinafter referred to as “Mr. Hampton”). At the time of the abduction, Mr. Hampton was being pursued by Virginia law enforcement officials for attempted murder. Mr. Hampton forced Ms. Doe into her car. He then drove the car to a remote area of Summers County where he sexually assaulted Ms. Doe. After the sexual assault, Mr. Hampton fled. Mr. Hampton left Ms. Doe alive at the crime scene.
Thereafter, on February 1, 1995, Ms. Doe filed the instant action against Wal-Mart Stores, Inc., appellee/defendant below (hereinafter referred to as “Wal-Mart”).
On remand, the case proceeded to trial. The jury returned a verdict in favor of Wal-Mart. Ms. Doe timely appealed the verdict. While the appeal was pending before this Court, Ms. Doe moved to remand the case for posttrial discovery. In her remand request, Ms. Doe alleged pretrial discovery abuses by Wal-Mart. By order entered June 3, 1999, this Court granted the motion for remand to conduct posttrial discovery.
As a result of this Court’s remand, the trial court granted Ms. Doe ninety days to conduct posttrial discovery. At the end of the discovery period, the parties presented to the trial court three motions. Ms. Doe moved the court for an extension of time to conduct further discovery which motion the trial court denied. Then, Wal-Mart presented two motions: a motion for partial sum-nwy judgment as to the admissibility of a previously undisclosed study and a motion for a protective order preventing discovery of information pertaining to sanctions against Wal-Mart in other jurisdictions. The trial court granted both of Wal-Mart’s motions.
As a result of these rulings, Ms. Doe also appealed the trial court’s posttrial discovery rulings. Therefore, for appeal purposes, this Court consolidated the original appeal of the adverse jury verdict with the appeal concerning the trial court’s three posttrial discovery rulings.
II.
STANDARD OF REVIEW
When reviewing a trial court’s rulings, we typically employ a three-part standard of review.
In reviewing challenges to the findings and conclusions of the circuit court, we apply a two-prong deferential standard of review. We review the final order and the ultimate disposition under an abuse of discretion standard, and we review the circuit court’s underlying factual findings under a clearly erroneous standard. Questions of law are subject to a de novo review.
Syl. pt. 2, Walker v. West Virginia Ethics Comm’n,
III.
DISCUSSION
A. Disqualification of Potential Juror for Cause
Ms. Doe first asserts that the trial court committed error in failing to strike a potential juror for cause. She claims that during voir dire of the jury panel, she learned that one juror, Tammy Rae Hylton, and her husband owned stock in Wal-Mart. During voir dire, Ms. Doe further discovered that Ms. Hylton’s husband was employed as a produce manager by Wal-Mart in one of its Virginia stores. Ms. Doe moved the trial court to strike Ms. Hylton for cause. However, the trial court denied the motion after Ms. Hyl-ton stated during individual voir dire that she could fairly and impartially decide the issues in the ease based upon the evidence. Therefore, Ms. Doe used one of her two peremptory strikes to remove Ms. Hylton from the jury.
In reviewing such matters, we have held that “[t]he decision to grant a motion to strike a juror for cause is within the sound discretion of the trial court.” Wheeler v. Murphy,
In reviewing the qualifications of a jury to serve in a criminal [or civil] case, we follow a three-step process. Our review is plenary as to legal questions such as the statutory qualifications for jurors; clearly erroneous as to whether the facts support the grounds relied upon for disqualification; and an abuse of discretion as to the reasonableness of the procedure employed and the ruling on disqualification by the trial court.
A trial court’s determination as to whether to strike a juror for cause will be “reverse[d] only where actual prejudice is demonstrated.” Miller,
In Syllabus point 7 of State v. Neider,
Under the common law there were several grounds for which a person was per se disqualified from serving on a jury. Those grounds were:
(1) Kinship to either party within the ninth degree; (2) was arbitrator on either side; (3) that he has an interest in the cause; (4) that there is an action pending between him and the party; (5) that he has taken money for his verdict; (6) that he was formerly a juror in the same ease; (7) that he is the party’s master, servant, counsellor, steward, or attorney, or of the same society or corporation with him; and causes of the same class or founded upon the same reason should be included.
State v. Riley,
*671 Either party in any action or suit may, and the court shall on motion of such party, examine on oath any person who is called as a juror therein, to know whether he is a qualified juror, or is related to either party, or has any interest in the cause, or is sensible of any bias or prejudice therein; and the party objecting to the juror may introduce any other competent evidence in support of the objection; and if it shall appear to the court that such person is not a qualified juror or does not stand indifferent in the cause, another shall be called and placed in his stead for the trial of that cause. And in every ease, unless it be otherwise specially provided by law, the plaintiff and defendant may each challenge four jurors peremptorily.
(Emphasis added).
As illustrated above, under the common law and by statute, a person is disqualified from sitting on a jury in a ease in which he or she has an interest in the outcome. Therefore, we hold that pursuant to West Virginia statutory and common law, a person is disqualified from sitting on a jury in a case in which he/she has an interest in the outcome of the litigation. Therefore, if, during jury selection, it becomes apparent that a potential juror has such an interest, the trial court must strike the juror for cause. Failure to so strike an interested potential juror constitutes reversible error. See Chestnut v. Ford Motor Co.,
In the instant proceeding, the juror owned stock in Wal-Mart and her husband was employed by defendant Wal-Mart.
B. Erroneous Jury Instructions
Ms. Doe also assigns error to certain jury instructions which were given. She also claims that it was erroneous for the trial comí; to refuse certain proffered jury instructions. This Court addressed the standard of review for jury instructions in Syllabus point 6 of Tennant v. Marion Health Care Foundation, Inc.,
The formulation of jury instructions is within the broad discretion of a circuit court, and a circuit court’s giving of an instruction is reviewed under an abuse of discretion standard. A verdict should not be disturbed based on the formulation of the language of the jury instructions so long as the instructions given as a whole are accurate and fair to both parties.
A trial court’s instructions to the jury must be a correct statement of the law and supported by the evidence. Jury instructions are reviewed by determining whether the charge, reviewed as a whole, sufficiently instructed the jury so they understood the issues involved and were not misle[d] by the law. A jury instruction cannot be dissected on appeal; instead, the entire instruction is looked at when determining its accuracy. A trial court, therefore, has broad discretion in formulating its charge to the jury, so long as the charge accurately reflects the law. Deference is given to a trial court’s discretion concerning the specific wording of the instruction, and the precise extent and character of any specific instruction will be reviewed only for an abuse of discretion.
Within the confines of these principles, we shall examine each jury instruction issue presented by Ms. Doe.
1. Defendant’s Instruction No. 14. Ms.
Doe argues that Instruction No. 14 submitted by Wal-Mart, was an incorrect statement of the law.
Based upon our review of the record, we conclude that Ms. Doe objected to Instruction No. 14 as originally submitted. However, the trial court amended the instruction to conform to the objection. Thereafter, Ms. Doe did not object to the amended instruction. “A litigant may not silently acquiesce to an alleged error, or actively contribute to such error, and then raise that error as a reason for reversal on appeal.” Syl. pt. 1, Maples v. West Virginia Dep’t. of Commerce,
Instruction No. 8 was a correct statement of the law. The instruction tracks the language of Syllabus point 3 of Andrick v. Town of Buckhannon,
Where the operator of a business obtains the right for its customers to park in an adjoining lot owned by another and invites them to do so, the operator has a duty of reasonable care to protect its invitees from defective or dangerous conditions existing in the parking area which the operator knows or reasonably should know exist.
Therefore, if Instruction No. 8 is proffered again during the new trial, it should be given.
C. The Empty Chair Closing Argument
Ms. Doe’s next assignment of error concerns the trial court’s denial of her motion to preclude Wal-Mart from presenting a closing argument which blamed B.C. Associates for the incident.
The record reveals that WalMart properly interjected comments during trial regarding the lease between B.C. Associates and Wal-Mart. However, Wal-Mart violated the mandate of Syllabus point 2 of Groves when it made the following argument to the jury:
Counsel for Wal-Mart: ... [W]hy is Wal-Mart the party to this lawsuit? Why isn’t it Cato, why isn’t it — where is B.C. Associates, why isn’t it B.C. Associates?
This argument allows for inappropriate speculation by the jury regarding B.C. Associates’ role in the case. Groves specifically prohibits Wal-Mart from making such an argument. We therefore find that the trial court erred by not limiting Wal-Mart’s references concerning B.C. Associates.
D. Discovery Limitation
Ms. Doe additionally contends that the trial court committed error by limiting her discovery request pertaining to similar criminal assaults at other Wal-Mart stores throughout the nation. With respect to a trial court’s ruling on discovery matters, we have held that:
A trial court is permitted broad discretion in the control and management of discovery, and it is only for an abuse of discretion amounting to an injustice that we will interfere with the exercise of that discretion. A trial court abuses its discretion when its rulings on discovery motions are clearly against the logic of the circumstances then before the court and so arbitrary and unreasonable as to shock our sense of justice and to indicate a lack of careful consideration.
Syl. pt. 1, B.F. Specialty Co. v. Charles M. Sledd Co.,
1. Limitation of geographic area. The trial court ruled that Ms. Doe could only discover information of similar criminal assaults at Wal-Mart stores “within a geographic area encompassing parts of South Eastern Ohio, Southern Western Virginia, South Western Virginia and Eastern Kentucky.”
Our cases have held that
[u]nder Rule 26(b)(l)(iii) of the West Virginia Rules of Civil Procedure, a trial court may limit discovery if it finds that the discovery is unduly burdensome or expensive, taking into account the needs of the case, the amount in controversy, limitations on the parties’ resources, and the importance of the issues at stake in the litigation.
Syl. pt. 2, State Farm Mut. Auto. Ins. Co. v. Stephens,
2. Limiting meaning of similar incidents. Ms. Doe also asserts that the trial court impermissibly limited the definition of “similar incidents” of criminal assaults at Wal-Mart stores to mean “the incident had to be reported to Wal-Mart within three days and it had to involve a person who had just been or was patronizing a Wal-Mart store.” Based upon this limitation, WalMart responded that no similar incident occurred at stores within the geographic limitations imposed by the trial court.
While we believe the trial court was correct in limiting similar incidents to mean crimes committed on persons that were patronizing Wal-Mart stores, we are unable to find a rational basis for the three day reporting limitation. Therefore, on remand, the trial court must permit Ms. Doe to discover information from Wal-Mart regarding crimi
E. Exclusion of Expert Testimony
Ms. Doe further assigns error to the trial court’s exclusion of certain expert testimony. This Court has held that “[t]he admissibility of testimony by an expert witness is a matter within the sound discretion of the trial court, and the trial court's decision will not be reversed unless it is clearly wrong.” Syl. pt. 6, Helmick v. Potomac Edison Co.,
1. Testimony regardiny other crimes. Ms. Doe’s expert, Dr. George Kirk-man, relied upon thirty-eight incidents of crimes at other shopping center parking lots in areas around the Beekley Crossings Shopping Center to formulate his opinion that Wal-Mart was on notice for the need to provide security at its parking lot. However, prior to trial, the court limited Dr. Kirkman’s testimony and excluded crimes that were not the same type of crimes committed against Ms. Doe.
Upon this Court’s examination of the various crimes committed at shopping centers in the area of the Beekley Crossings Shopping Center, we are not persuaded that the trial court properly excluded such evidence. Those crimes involved robbery, sexual assault, purse snatching, vehicle break-in, assault and battery, and auto theft. We noted in Syllabus point 2 of Mayhorn v. Logan Medical Foundation,
Rule 703 of the West Virginia Rules of Evidence allows an expert to base his opinion on (1) personal observations; (2) facts or data, admissible in evidence, and presented to the expert at or before trial; and (3) information otherwise inadmissible in evidence, if this type of information is reasonably relied upon by experts in the witness’ field.
Wal-Mart does not contend that the thirty-eight crimes in question are not of the type relied upon by security consultants like Dr. Kirkman. Instead, Wal-Mart argues that the “probative value [of such evidence] is substantially outweighed by the danger of prejudice it createsf.]” We disagree. While this evidence may be prejudicial to Wal-Mart, such prejudice does not outweigh its probative value in allowing the jury to fairly assess the validity of Dr. Kirkman’s expert opinion. We therefore conclude that the trial court should have permitted Dr. Kirkman to testify regarding the thirty-eight crimes in areas around the Beekley Crossing Shopping Center that helped to formulate his opinion.
2. Testimony concerning expert’s prior experience with Wal-Mart. During the trial of this case, Ms. Doe sought to introduce Dr. Kirkman’s testimony regarding his involvement in nine other lawsuits against Wal-Mart in other parts of the country. Such evidence was introduced to show “that Wal-Mart’s experience as a company was relevant to its duty to provide security in this case.” The trial court precluded such testimony. Here, Wal-Mart contends that the probative value of the evidence relating to the parking lot crimes in nine other lawsuits was substantially outweighed by its prejudicial impact. Therefore, the trial court was correct in excluding such testimony.
The facts or data in the particular case upon which an expert bases an opinion or inference may be those perceived by or made known to the expert at or before the hearing. If of a type reasonably relied upon by experts in the particular field in forming opinions or inferences upon the subject, the facts or data need not be admissible in evidence.
Under Rule 703, an expert may base an opinion on inadmissible evidence. Assuming, without deciding, that testimony pertaining to the nine lawsuits is generally inadmissible, the question remains as to whether Dr. Kirk-man may nevertheless be allowed to present such testimony to the jury.
[a]n expert often should be allowed to disclose to the jury the basis for an opinion because otherwise the opinion is left unsupported with little way for evaluation of its correctness. In those situations, the expert may testify to evidence even though it is inadmissible under the hearsay rule, but allowing the evidence to be received for this purpose does not mean it is admitted for its truth. It is received only for the limited purpose of informing the jury of the basis of the expert’s opinion and therefore does not constitute a true hearsay exception.
John W. Strong, McCormick on Evidence § 324, at 356 (5th ed. 1999).
In a similar manner, federal courts have resolved the issue of admitting an expert’s inadmissible underlying facts by amending Rule 703 of the Federal Rules of Evidence in April of 2000. Amended Federal Rule 703 provides:
The facts or data in the particular case upon which an expert bases an opinion or inference may be those perceived by or made known to the expert at or before the hearing. If of a type reasonably relied upon by experts in the particular field in forming opinions or inferences upon the subject, the facts or data need not be admissible in evidence in order for the opinion or inference to be admitted. Facts or data that are otherwise inadmissible shall not be disclosed to the jury by the proponent of the opinion or inference unless the court determines that their probative value in assisting the jury to evaluate the expert’s opinion substantially outweighs their prejudicial effect.
(Emphasis added). Under Federal Rule 703, the trial court must undertake a balancing test to determine whether to allow an expert to testify to inadmissible facts that helped formed the basis of his or her opinion. See Katt v. City of New York,
In light of the above authorities, we hold that an expert witness may testify about facts he/she reasonably relied upon to form his/her opinion even though such facts would otherwise be inadmissible as hearsay if the trial court determines that the probative value of allowing such testimony to aid the jury’s evaluation of the expert’s opinion substantially outweighs its prejudicial effect. If a trial court admits such testimony, the jury should be instructed that the otherwise inadmissible factual evidence is not being admitted to establish the truth thereof but solely
During the proceedings underlying the case sub judice, Dr. Kirkman was prepared to testify specifically about nine other cases against Wal-Mart. The testimony was being offered as part of the basis for his opinion as to Wal-Mart’s awareness of the potential for parking lot crimes and the need for adequate security. In view of the admissibility test announced herein, we reverse the trial court's exclusion of this testimony. On remand, should Ms. Doe again seek to have Dr. Kirkman testify regarding the nine previous lawsuits, the trial court must utilize the test formulated this opinion to determine whether such testimony is admissible.
F. Exclusion of the David Gorman Article
Ms. Doe similarly complains of the trial court’s exclusion of an article written by David Gorman, Wal-Mart’s Vice President of Loss Prevention. In Syllabus point 9, in part, of Tudor v. Charleston Area Medical Center, Inc.,
The West Virginia Rules of Evidence ... allocate significant discretion to the trial court in making evidentiary ... rulings. Thus, rulings on the admission of evidence ... are committed to the discretion of the trial court. Absent a few exceptions, this Court will review evidentiary ... rulings of the circuit court under an abuse of discretion standard.
Mi'. Gorman’s article, published in 1996 in Security Management Magazine, indicated that, according to a 1994 survey, 80% of all Wal-Mart crimes occurred in its parking lots. The article reported that a “trial use” of roving golf cart patrols in parking lots at certain Wal-Mart stores in Florida reduced crime in those parking lots.
On appeal, Wal-Mart asserts that the evidence was properly excluded under Rule 407 of the West Virginia Rules of Evidence as evidence of subsequent remedial measures.
Wal-Mart further intimates that it did not present evidence regarding the feasibility of using roving golf cart patrols at the Beckley Crossings Shopping Center. Therefore, Rule 407’s feasibility exception was not triggered. The problem with Wal-Mart’s contention in this respect is that under Rule 407, feasibility is only one of a few examples of how evidence of subsequent remedial measures may be admitted into evidence. Professor Franklin D. Cleckley has demonstrated that another exception to Rule 407 is impeachment. See Franklin D. Cleckley, 1 Handbook on Evidence for West Virginia Lawyers § 4-7(D) (1994). See also Muzyka v. Remington Arms Co., Inc.,
While it is clear that impeachment is an exception to Rule 407, we are mindful that evidence of subsequent remedial measures is not admissible to prove negligence or culpable conduct in connection with the event. “The purpose of the rule is to exclude evidence of a party’s subsequent remedial measures so as not to discourage them from taking such safety measures.” Huckaby v. A.G. Perry & Son, Inc.,
Where the impeachment value rests on inferences other than prior negligence, such evidence may be admitted where its probative value outweighs the prejudice to defendant.... Similarly, where the defendant goes beyond stating that the original condition was safe or adequate, and attempts to make exaggerated claims that the condition was the “safest possible,” fairness may require that conduct inconsistent with these claims be admitted. In such a situation, the defendant has gone beyond simply stating that he was not negligent prior to the accident and claimed that no greater care was possible. Any subsequent remedial measure taken by the defendant is directly impeaching of this claim without an inference of prior negligence.
Thus, we hold that pursuant to West Virginia Rules of Evidence Rule 407, evidence of subsequent remedial measures may be introduced for purposes of impeachment (1) when inferences other than the defendant’s prior negligence may be drawn therefrom or (2) when the defendant introduces evidence to prove that the condition alleged to have caused the plaintiffs injury was as safe as the circumstances would permit, and (3) the probative value of such evidence outweighs its potential prejudicial effect.
In the instant proceeding we find that, under the test announced herein, Dr. Gor-man’s article was admissible as impeachment evidence, and it was error for the trial court to have excluded it. On remand, should Wal-Mart again defend this ease on the basis that the crime which occurred could not have been prevented because no greater care was possible, Ms. Doe may be permitted to impeach such defense through Dr. Gorman’s article.
G. Posttrial Sanctions
In Wal-Mart I,
IV.
CONCLUSION
In view of the foregoing, the judgment awarding a verdict for Wal-Mart is reversed. This ease is remanded for a new trial and further proceedings consistent with this opinion.
Reversed and Remanded.
Notes
. This appeal is a consolidation of two appeals filed by Ms. Doe.
. Mr. Hampton was later apprehended in North Carolina.
. The lawsuit also named as defendants Mr. Robert Belcher and B.C. Associates Limited Partnership. The action against B.C. Associates was settled prior to trial, and B.C. Associates is not a party in this appeal. Mr. Robert Belcher, the manager of the Beekley Crossings Wal-Mart store, was apparently named as a nominal party. In this appeal, however, Ms. Doe’s brief refers only to Wal-Mart, and no separate issues have been raised relating to Mr. Belcher.
. "Under our law, the eligibility and qualifications of jurors in both civil and criminal cases are controlled by several statutes and by our adoption of the common law grounds for disqualification[.]” State v. Beckett,
. Whether a de minimis ownership of stock in a corporation constitutes "any interest in the cause” may require an inquiry by the trial court,into whether or not a juror should be disqualified.
. Defendant's Instruction No. 14 read as follows: The plaintiff must establish by a preponderance of the evidence that Wal-Mart owed her a duty and that it breached the duty owed. Wal-Mart's duty, if any, as to the common areas is defined by the terms of the Lease Agreement between Wal-Mart and B.C. Associates. Therefore, if you And that the Lease Agreement does not require Wal-Mart to provide security for the Beckley Crossings parking lot or to take any other action to prohibit criminal activity then you may find in favor of Wal-Mart.
. Although Ms. Doe waived any objections to Instruction No. 14 as amended, we concluded that the instruction is not an accurate statement of the law in West Virginia and should not be given on retrial. This Court has previously noted that "in cases dealing with premises liability we have generally adhered to the principle that liability results either from control of the subject area or from a specific wrongful act.” Durm v. Heck's, Inc.,
.Ms. Doe also assigned error to Defendant's Instruction No. 20. Wal-Mart correctly points out that this instruction, as amended by the trial court, was likewise not objected to by Ms. Doe. We therefore find that this issue was also waived. However, for purposes of retrial, we note that Instruction No. 20, as amended, is a correct statement of the law. That instruction read:
If you find that Wal-Mart, as lessee of the store building, did not assert control over the parking lot, had no duly under the lease to maintain the parking lot or to take any other action to prohibit criminal activity in the Beck-ley Crossings parking lot, you may find in favor of Wal-Mart.
For further discussion of a lessee's responsibility vis-a-vis common areas, See note 7.
.Plaintiff's Instruction No. 8 read as follows:
If the defendant Wal-Mart knew or had reason to know, that its patrons regularly used the parking lot in connection with its business, then Wal-Mart owed the plaintiff Ms. Doe a duty of reasonable care for her protection as to hazards of which it was aware or by the exercise of ordinary diligence should have been aware.
Therefore, if you find by a preponderance of the evidence that the defendant Wal-Mart knew or had reason to know that its customers were subject to an attack by a criminal in its parking lot and failed to take steps as would likely deter the possible criminal attacks, or that the steps taken by it were negligent, than you may return a verdict for Ms. Doe against Wal-Mart as you are hereinafter instructed.
. B.C. Associates settled with Ms. Doe prior to trial.
. Wal-Mart contends that Ms. Doe’s failure to make an objection during closing argument precludes our consideration of the empty chair argument. We disagree. Ms. Doe did not have to object during closing arguments because the trial court denied her motion in limine on this exact issue. See Syl. pt. 1, Wimer v. Hinkle,
. The parties reference the trial court's memorandum order on this issue. Ms. Doe’s brief refers to an order dated August 17, 1998. The record contains an order dated August 17, 1998, however, that order is for a different case and was apparently placed in this record by mistake. Wal-Mart suggests the date for the order is August 7, 1998. Unfortunately, there is no August 7, 1998, order contained in the record presently before this Court.
. Additionally, Dr. Kirkman was precluded from testifying about twenty-eight other crimes committed within a two mile radius of Beekley Crossings Shopping Center. Following our review of these crimes, we are concerned that some of these occurrences do not appear to have occurred at commercial enterprise parking lots and that still others involved drug trafficking. On remand, the trial court should permit testimony by Dr. Kirkman concerning these additional twenty-eight crimes to the extent that they occurred in parking areas of commercial enterprises and did not involve the sale of illegal drugs.
Because the trial court found that Dr. Kirkman could testify about some of these disputed crimes, we have assumed that all of the crimes discussed in this section were not subject to challenge as inadmissible facts relied upon by Dr. Kirkman in forming his expert opinion. To the extent that our assumption is incorrect, the determination of the admissibility of all crimes relied upon by Dr. Kirkman should be governed by the principles set fourth in Section III, E. 2, infra.
. Rule 705 of the West Virginia Rules of Evidence permits the trial court to require disclosure of the underlying facts that helped formed an expert’s opinion and provides:
The expert may testify in terms of opinion or inference and give reasons therefor without first testifying to the underlying facts or data, unless the court requires otherwise. The expert may in any event be required to disclose the underlying facts or data on cross-examination.
. The trial use of roving golf cart patrols was begun after the crime in the instant proceeding.
. Rule 407 of the West Virginia Rules of Evidence provide as follows:
When, after an event, measures are taken which, if taken previously, would have made the event less likely to occur, evidence of the subsequent measures is not admissible to prove negligence or culpable conduct in connection with the event. This rule does not require the exclusion of evidence of subsequent measures when offered for another purpose, such as proving ownership, control, or feasibility of precautionary measures, if controverted, or impeachment.
. In addition to excluding Dr. Gorman’s article, Ms. Doe points out that the trial court precluded another of her experts, Dr. Jack Enter, from testifying about specific issues raised in the arti
. Mr. Gorman’s study and article are separate documents. The study concerned data and other information that was relied upon to prepare the article, and is admissible for the same reasons cited for admissibility of the article.
. Ms. Doe also argues that the trial court committed error by precluding her from conducting posttrial discovery to determine the type of sanctions other jurisdictions imposed on Wal-Mart. This issue is also not properly before this Court because the trial court ruled that such an inquiry could be made once it was determined that sanctions would in fact be imposed.
Concurrence Opinion
concurring:
(Filed Dec. 13, 2001)
I concur with the majority’s decision to reverse the judgment below, and to remand this case for a new trial. I write separately to emphasize that when a large corporate defendant such as Wal-Mart, an institution with significant power and financial resources, uses obstructive tactics to make litigation difficult for injured victims and their attorneys, a circuit court must deal with these tactics head-on and use its power to level the playing field.
A quick search of reported cases reveals that Wal-Mart parking lots are a virtual magnet for crime. A host of rapes, robberies and murders have occurred in the past few years which resulted in litigation against Wal-Mart.
But even with the knowledge that its parking lots are crime magnets, Wal-Mart did nothing to prevent crimes against its customers — customers such as the plaintiff in this case. While Wal-Mart was putting cameras and security guards inside its stores to prevent theft, Wal-Mart’s Vice President of Loss Prevention, Dave Gorman, indicated in 1996 that only 276 of Wal-Mart’s 2,600 stores had outside security patrols and only 400 had outside cameras. See “An Interview with Wal-Mart’s Dave Gorman on the Chain’s New Parking Security Program,” 7 Parking Security Rep. 10 (June 1996) (quoted in Gilbert Adams, III, et al., “Big Box Retailers: Discovery Abuse,” 36 Trial 39, 40 n. 11 (April 2000)).
In the instant case, the record suggests that Wal-Mart improperly narrowed — with the circuit court’s support — the plaintiffs right of discovery about crimes at Wal-Mart stores to mean “the incident had to be reported to Wal-Mart within three days and it had to involve a person who had just been or was patronizing a Wal-Mart store.” The circuit court also geographically limited the plaintiffs discovery to the area surrounding southern West Virginia.
In addition to the circuit court limiting Wal-Mart’s responses to the plaintiffs discovery requests, Wal-Mart appears to have just out-and-out hidden evidence from the plaintiff. A standard technique for Wal-Mart is to suggest to trial courts that the plaintiffs cause of action is unique — even though Wal-Mart’s legal department may have handled dozens, hundreds, or even thousands of identical cases. And then Wal-Mart “accidentally” fails to produce important documents which pertain to the plaintiffs lawsuit — even though it may have already produced those documents in another lawsuit, and even if the plaintiff specifically asks for the documents.
For example, the average consumer probably thinks being hit and injured by merchandise falling from shelves at Wal-Mart is an uncommon occurrence — yet it actually happens thousands of times each year. In several cases, Wal-Mart has been compelled—
In the instant case, Wal-Mart appears to have concealed from the plaintiffs information regarding Mr. Gorman’s study of crime in Wal-Mart parking lots. See David H. Gorman, “Loss Prevention Racks Up Success,” Security Management (Mar. 1996) (at page 56) (also available at timw. security management, com/library ¡000098.html). Mr. Gor-man discovered that “80 percent of crimes at Wal-Mart were occurring not in the stores, but outside them walls, either in the parking lots or around the exterior perimeter of the stores.” The crimes ranged from “theft, break-in and vandalism of cars” to “purse snatches, muggings, and assaults.”
To combat crime, Wal-Mart introduced a roving golf cart security patrol at one store in Tampa, Florida. At that facility, during 1994 there were 226 ears stolen, 25 purse snatches, 32 burglaries, 14 armed robberies, 3 assaults, and 1 arson. When the roving patrol began, “[d]uring the first four months ... the reported incidents for each of these crimes dropped to zero, and numbers have remained low. Other stores have seen similar declines.”
The total cost to Wal-Mart: “up to $45,000 per year per store, including vehicle leasing and drivers’ salaries.”
The total cost to Wal-Mart to virtually eliminate crime from its parking lots is, at most, by its own reckoning, $45,000 — the loss of the plaintiff in the instant case is immeasurable. I believe the obvious disparity a jury would see between these two sums would provide a significant incentive for Wal-Mart to hide Mi'. Gorman’s report, and his raw data and other suppositions, from the plaintiffs.
Upon remand, the circuit court should eliminate this incentive to engage in discovery abuse like hiding documents, so that Wal-Mart clearly understands that West Virginia courts will not tolerate such misconduct. Circuit courts must make discovery abuse a more expensive alternative than honest disclosures.
Our law requires businesses to keep then-premises reasonably safe; our law also requires litigants to participate openly and fairly in the discovery process. When Wal-Mart has failed to participate openly and fairly in discovery, courts have routinely imposed massive penalties, ranging from monetary sanctions and attorneys’ fees to jury instructions allowing juries to draw negative inferences from Wal-Mart’s conduct. Some courts have even gone so far as to strike Wal-Mart’s answer and defenses. As one court recently stated:
Wal-Mart has drawn sanctions for its pretrial conduct in several other cases. In Meissner v. Wal-Mart Stores, Inc., A-159, 432 (Tex.Dist.Ct. Jefferson Co. Apr. 1999), the court fined Wal-Mart $18 million and entered default judgment in favor of the plaintiff on liability because Wal-Mart withheld evidence. In Woska v. Wal-Mart Stores, Inc., No. 95-3998 (Fl.Cir.Ct. Orange Co. Jan 1998), a Florida court sanctioned Wal-Mart $7,000 for repeated discoveiy violations. In the ease of Wal-Mart Stores, Inc. v. Davis,979 S.W.2d 30 (Tex.App.1998), a Texas court affirmed the imposition of a $120,000 sanction against Wal-Mart for repeated discoveiy abuses. A Nebraska trial court fined Wal-Mart $5,000 and struck its answer for Wal-Mart’s refusal to produce discovery. Greenwalt v. Wal-Mart Stores, Inc.,253 Neb. 32 ,567 N.W.2d 560 (1997) (affirming the sanctions). Wal-Mart was fined $15,000 when a Nevada federal court found that it had destroyed photographs of an accident scene. Shafer v. Wal-Mart Stores, Inc., No. 96-650 (D.Nev. June 1996). Another Texas district court fined Wal-Mart $5,000 for its repeated failure to obey discovery orders in Lynch v. Wal-Mart Stores, Inc., (Tex.Dist.Ct. Gregg Co. Aug. 1996). One court noted that “Wal-Mart has chosen extreme discovery abuse*682 as a litigation strategy” and fined Wal-Mart $104,120 plus $1,000 for every day that Wal-Mart failed to comply. New v. Wal-Mart Stores, Inc., 96-8-10571 (Tex. Dist.Ct. Jackson Co.). It seems Wal-Mart has yet to leam a lesson from the repeated imposition of sanctions.
Empire, Inc. v. Wal-Mart Stores, Inc.,
“Unfortunately, nefarious conduct is all too common in lawsuits in which Wal-Mart is a party.” Wilson v. Wal-Mart Stores, Inc.,
I therefore respectfully concur.
. A search of the reporters revealed the following cases: Grisham v. Wal-Mart Stores, Inc.,
. The circuit court ruled that the plaintiff could only discover information "within a geographic area encompassing parts of ... Eastern Kentucky.” Wal-Mart responded to the plaintiff's discovery requests by stating that no similar criminal assaults had occurred at stores within this geographic area.
However, research reveals a similar criminal assault within this geographic area. In Grisham v. Wal-Mart Stores, Inc.,
. A classic example of this type of discovery abuse by Wal-Mart can be found in a recent case from Ohio. The decedent was an employee of Wal-Mart. While the decedent was operating a forklift, the truck he was unloading prematurely pulled away from the loading dock. The forklift fell from the truck and the employee was killed. The plaintiff, the decedent’s wife, sued Wal-Mart and was awarded $2 million in damages. See Davis v. Sam’s Club,
During the lawsuit, the plaintiff learned Wal-Mart had withheld documents. A private investigator hired by the plaintiff discovered a 1992 memorandum discussing premature pull-away incidents at loading docks. When the plaintiff specifically requested that Wal-Mart produce information relating to loading dock injury claims, neither the 1992 memorandum nor any other documents were produced. The plaintiff’s copy of the 1992 memorandum was used at trial.
A week after Wal-Mart paid the judgment, the plaintiff filed a second lawsuit alleging that Wal-Mart's spoliation of evidence had led her to dismiss certain causes of action, preventing her from recovering additional compensatory and punitive damages. Discovery revealed new documents regarding employee loading dock injury claims recorded in memoranda that were not disclosed by Wal-Mart in the first trial.
The Supreme Court of Ohio concluded that the spoliation claims were separate from the underlying tort action, and that the plaintiff could proceed with her spoliation action.
. In fact, there are entire Internet sites dedicated to litigation involving customers hit by falling merchandise at Wal-Mart and other stores. See, e.g., www.fallingmerchandise.com and www.wal-martsurvivor.com.
. Other courts imposing sanctions on Wal-Mart for misconduct during discovery include Testa v. Wal-Mart Stores, Inc.,
