122 Wash. App. 227 | Wash. Ct. App. | 2004
The Estate of Cynthia Bordon sued the Washington State Department of Corrections (DOC) for Bordon’s wrongful death, alleging that DOC negligently supervised Richard Alan Jones and its negligence proximately caused Bordon’s death. A jury found in favor of Bordon and apportioned 24 percent of fault to DOC. The State appeals, asserting the trial court erred by denying its Civil Rule 50 motion for judgment as a matter of law based on lack of duty and factual and legal causation. We reverse, concluding the trial court erred by submitting the issue to the jury when there was insufficient evidence establishing cause in fact. We also conclude the trial court did not abuse its discretion when it excluded expert testimony Bordon claims would have established causation because the testimony was outside the witness’ expertise and therefore speculative.
FACTS
On April 11, 1998, Richard Jones and Max Buno drove to a construction site, and Buno loaned Jones his car to pick up sandwiches for lunch. Jones never returned. Approximately five hours later, Jones was driving Buno’s car eastbound on State Route 522. He was intoxicated and crossed the center line, colliding with Cynthia Bordon’s car. Bordon died as a result of her injuries.
At the time of the accident, DOC was supervising Jones for several crimes. Jones had been convicted of two counts of forgery and two counts of possession of stolen property in the second degree for attempting to use a stolen credit card. On February 23, 1996, Jones was sentenced to 3 months’ confinement
Jones finished his prison time on November 14,1997.
On January 2, 1998, Community Corrections Assistant Shelby Jeffries received her check sheet at the OMMU. It showed that Jones’ LFO payment was overdue. Jeffries reviewed Jones’ file and decided to try to persuade Jones to report for intake before she filed a violation report.
The Estate of Cynthia Bordon (Bordon) filed an action against Jones and Buno. Bordon settled with them and entered into a “Stipulation for Partial Payment of Damages and Covenant not to Execute” to preserve joint and several liability between the two defendants and any other defendant they added to the lawsuit. Bordon added DOC by amended complaint on April 3, 2001. DOC filed a motion to dismiss Buno and Jones from the lawsuit on the ground that Bordon had already released them, and the trial court granted the motion. DOC also moved for summary judgment, arguing that, as a matter of law, it did not owe Bordon a duty and even if it did, a breach of that duty did not cause Bordon’s death. The trial court denied the motion, and the case went to trial. At the conclusion of the plaintiff’s case, DOC moved to dismiss based on lack of duty and/or evidence supporting causation. Specifically, it argued that Bordon presented no competent evidence that Jones would have been in jail when the accident occurred even if DOC had reported the driving violation to the court. It also argued there was no evidence that Jones would have refrained from driving on the day of the accident if DOC had acted differently. The trial court denied the motions.
The jury found in favor of Bordon. It apportioned 24 percent of the fault to DOC and the remaining 76 percent to Jones. Judgment in the amount of $169,051.68 was entered against DOC for its share of fault. It appeals.
ANALYSIS
The elements of a negligence cause of action are the existence of a duty to the plaintiff, breach of the duty, and injury to the plaintiff proximately caused by the breach.
I. Did DOC owe Bordon a duty?
The State argues that the trial court erred by failing to rule as a matter of law at the conclusion of the plaintiff’s case that DOC did not owe Bordon a duty. “In general, an actor ‘has no duty to prevent a third person from causing physical injury to another.’ ”
The parties in this case are arguing two different theories on appeal. The State’s argument assumes that because it did not know about the eluding charge, the “take charge” relationship described in Taggart did not exist and it had no duty to supervise Jones on the conditions imposed on that conviction. And because the other two charges imposed only LFOs as conditions of supervision, DOC asserts it had no authority, much less a duty, to control Jones’ behavior based on those convictions.
Second, although the condition of supervision on the eluding charge merely stated that Jones was to follow the law that requires a driver to be licensed and insured, the driving condition is sufficient to give rise to a duty under Taggart to protect the public from foreseeable behavior associated with that condition. Taggart established that DOC has a duty to take reasonable precautions to protect the public from reasonably foreseeable dangers posed by
We reject DOC’s argument that because the court did not impose an absolute prohibition on Jones’ driving, it did not intend that the prohibition prevent future harm and DOC had no duty to control Jones’ driving behavior. First, the condition that Jones not drive a car without a license and insurance was effectively a no-driving condition for a one-year period in light of RCW 46.61.024.
II. Evidence of proximate cause.
There are two elements of proximate cause: legal causation and cause in fact.
There is cause in fact if a plaintiff’s injury would not have occurred “but for” the defendant’s negligence.
DOC contends the trial court erred by denying its CR 50 motion and submitting the question of proximate cause to the jury. Specifically, it argues that Bordon presented no evidence that Jones would have been in jail on the day of the accident if DOC had filed a report on the driving violations. It also notes that the way in which a plaintiff in a negligent supervision case establishes the requisite causal connection is unclear under Washington case law. In response, Bordon argues that expert testimony establishing causation is not necessary. Citing Tyner v. Department of Social & Health Services,
Bordon cites to several parts of the record she claims support factual causation, but the testimony she refers to only supports a finding that DOC did not report the driving condition violation to the trial court and “some violations” may be punishable with up to 15 days in jail.
We reject Bordon’s argument that under Tyner,
In Tyner, a father who was separated from his children during a child abuse investigation sued the Department of Social and Health Services (DSHS) for negligent investigation. Tyner argued that the negligent investigation and failure to provide material information to the court led directly to its decision to issue the no-contact order. DSHS argued that the court’s action was an intervening act that severed the causation chain. Because Tyner presented expert testimony that courts “ ‘always follow’ ” social worker’s recommendations in dependency proceedings,
Estate of Jones v. State also does not support Bordon’s argument. In Jones, this court merely reiterated the Tyner rule that “the State’s failure to provide all material infor
We also reject Bordon’s argument that Bell v. State
We hold that some evidence of a direct link between DOC’s negligence and the harm to a third party is neces
In sum, we reverse because Bordon did not present any evidence establishing a direct causal connection between DOC’s negligence and Bordon’s death. The trial court thus erred when it denied the State’s motion for a judgment as a matter of law at the conclusion of Bordon’s case.
B. Excluded Expert Testimony
Evidentiary rulings are reviewed for an abuse of discretion.
the purpose of supervision is to let the offender know that they have to follow the conditions of the court and the rules of the Department. And if they don’t do so, there will be consequences. So if those consequences change behavior, great. If they don’t, there are consequences. . . ,54
In arguing the motion in limine, Bordon indicated she did not want Stough to testify about what a judge would do
Second, despite the problems with her argument at trial, we are able to determine from the record that the trial court did not abuse its discretion. The trial court concluded that any testimony about what a judge would do at a sanction hearing would be speculative at best. Stough is not a judge, he has never supervised an SRA offender, nor has he ever attended an SRA violation hearing.
We reverse.
Appelwick and Schindler, JJ., concur.
Review denied at 154 Wn.2d 1003 (2005).
With credit for time served of 62 days, he was released on February 29, 1996.
There were no conditions imposed on the community supervision.
The judgment and sentence states as follows:
Community supervision conditions: do not drive unless validly licensed & insured. Driving privilege is revoked.
On December 6, 1996, the Department of Licensing (DOL) revoked Jones’ driving privilege for 365 days. This revocation is automatic under ROW 46.61.024, which requires that DOL suspend the license of anyone convicted of eluding a police officer.
There was no copy of the judgment or sentence in the DOC file or in its computerized offender based tracking system (OBTS). DOC Senior Secretary Kathy Sexton and Snohomish County Prosecutor’s Office Secretary Janis Duncan testified at trial that the Snohomish County Prosecutor’s Office is responsible for providing this information to DOC. Neither party testified that the judgment and sentence was actually delivered to DOC, and Duncan could not recall handling this judgment and sentence. The absence of any reference to the documents in the field file and on OBTS indicated to Sexton that DOC did not receive the documents.
While in prison, Jones had difficulty controlling his behavior and following prison rules. As a result, his scheduled work release was cancelled.
According to her report of her first meeting with Jones, Bronson told him to get a driver’s license and she “gave him stuff to take to [the] Depart[ment] of Licensing.”
The accuracy of her belief is unclear. The record suggests Jones’ 12-month community supervision sentence on the theft conviction began in March 1996. Jones served approximately seven months of supervision before being arrested for burglary and reincarcerated for that conviction. So it appears that he had approximately five months of active community supervision left when Bronson transferred the case and an additional nine years to pay his LFOs.
The OMMU unit merely monitors payment of LFOs, while the Marysville community corrections office performs active supervision.
This is normal practice in the Everett OMMU field office. It was implemented to reduce the number of violation reports being filed with the court.
He was arrested on January 5, 1998.
The trial court expressed concern about the lack of appellate court guidance on the issue of proximate cause, specifically noting that it was unclear whether a plaintiff was required to prove proximate cause in negligent supervision cases. The judge also noted that he did not know how one would prove proximate cause in these cases if it were required. As a consequence, he denied the motion, stating that this case would put the issue “squarely in front of the higher courts.”
Hertog v. City of Seattle, 138 Wn.2d 265, 275, 979 P.2d 400 (1999).
Id.
Couch v. Dep’t of Corn, 113 Wn. App. 556, 564, 54 P.3d 197 (2002) (quoting Taggart v. State, 118 Wn.2d 195, 218, 822 P.2d 243 (1992)), review denied, 149 Wn.2d 1012 (2003).
Id. (quoting Hertog, 138 Wn.2d at 276, 288).
Taggart v. State, 118 Wn.2d 195, 218, 822 P.2d 243 (1992).
Taggart, 118 Wn.2d at 220.
The State cites Couch (collecting LFOs does not give rise to the kind of take charge relationship that Taggart requires because DOC only has authority to collect LFOs). The Couch court appears to make a distinction between active supervision and minimal supervision to collect LFOs, noting that the offender in that case had completed his year of community supervision and his only remaining obligation was to pay LFOs. Because we hold that a duty arises from the eluding charge, we do not discuss this distinction.
Joyce v. Department of Corrections, 116 Wn. App. 569, 64 P.3d 1266, 75 P.3d 548 (2003), review granted, 150 Wn.2d 1032, 84 P.3d 1229 (2004), appears to say that DOC has a duty to supervise an offender’s behavior despite its relationship to the underlying crime and in the absence of any court-imposed condition authorizing them to do so. In that case, Division Two concluded DOC had a duty to supervise the offender’s driving even though there was no condition authorizing them to do so and the injurious behavior was unrelated to the underlying crimes of assault and
He also testified that Bronson should never have transferred the case to the OMMU because Jones violated his conditions by not paying his LFOs. Based on DOC policy, he opined that it is improper to transfer a case that is in violation.
Taggart, 118 Wn.2d at 224.
Ten of those arrests were in 1995. Jones also committed two infractions for driving without insurance in 1995.
He was arrested in Alaska four times in 1989 for driving after drinking or driving while intoxicated (DUI). He was arrested again in Alaska for DUI in 1993.
Jones was arrested eight times between 1987 and 1994 for speeding.
Stough also testified that in his opinion, Jones clearly posed a danger to others, particularly when driving.
RCW 46.61.024 states:
(1) Any driver of a motor vehicle who willftdly fails or refuses to immediately bring his vehicle to a stop and who drives his vehicle in a reckless manner while attempting to elude a pursuing police vehicle, after being given a visual or audible signal to bring the vehicle to a stop, shall be guilty of a class C felony. . . .
We also reject DOC’s argument that because Jones was eligible to get a driver’s license at the time of the accident, it did not have a duty to control his driving behavior. Its argument misses the point. Jones did not get a license. DOC was supposed to supervise Jones on the driving condition. The fact that Jones could have acted lawfully on the day of the accident is irrelevant as to whether DOC had a duty “to take reasonable precautions to protect anyone who might foreseeably be endangered by [Jones’] dangerous [driving] propensities.” Taggart, 118 Wn.2d at 224.
Schooley v. Pinch’s Deli Mkt, Inc., 134 Wn.2d 468, 478, 951 P.2d 749 (1998).
Mathers v. Stephens, 22 Wn.2d 364, 370, 156 P.2d 227 (1945).
Petersen v. State, 100 Wn.2d 421, 436, 671 P.2d 230 (1983).
Walker v. Transamerica Title Ins. Co., 65 Wn. App. 399, 403, 828 P.2d 621 (1992).
Walters v. Hampton, 14 Wn. App. 548, 555, 543 P.2d 648 (1975).
Hume v. Am. Disposal Co., 124 Wn.2d 656, 667, 880 P.2d 988 (1994), cert, denied, 513 U.S. 1112 (1995).
CR 50(a)(1).
Hollmann v. Corcoran, 89 Wn. App. 323,331,949 P.2d 386 (1997) (citing Forro Precision, Inc. v. Int’l Bus. Machs. Corp., 673 F.2d 1045, 1058 (9th Cir. 1982)).
141 Wn.2d 68, 1 P.3d 1148 (2000).
Bordon provides citations to the record without explanation. The following testimony appears on the pages she cites: (1) Stough’s testimony that the CCO did not mention Jones’ four prior failures to report, his driving violation on January 5, Jones’ failure to get a job though he was instructed to do so, and DOC’s failure to report the violations before transferring the file; (2) DOC employee Rick Kendo’s testimony that had he known about the eluding charge, he would have instructed Jones’ CCO to file a violation report and that some violations of supervision conditions are punishable by up to 15 days in jail; and (3) DOC has a duty to enforce the conditions of supervision. None of this evidence establishes that Jones would have been in jail on the day of the accident.
In contrast to parole supervision, under the Sentencing Reform Act of 1981 (SRA), chapter 9.94A RCW, a violation report is filed with the prosecutor’s office which makes an independent decision about whether to pursue the violation with the court. Bordon presented no evidence establishing that the prosecutor’s office would have pursued the violation in this case.
There are a number of factors that may affect the trial court’s discretionary decision to impose sentences under the SRA, including the time an offender has already served and overcrowded jails. In this case, determining what a judge would have done is particularly speculative given that Jones had already been punished with 90 days in jail (80 days suspended) for his January 5th arrest for driving without a license.
107 Wn. App. 510,15 P.3d 180 (2000), review denied, 145 Wn.2d 1025 (2002).
147 Wn.2d 166, 52 P.3d 503 (2002).
141 Wn.2d at 87 n.7.
Id. at 88.
Jones, 107 Wn. App. at 519 (emphasis added).
Tyner, 141 Wn.2d at 87 n.7 (expert testimony that courts “always follow” social workers’ recommendations in dependency hearings).
Estate of Jones, 107 Wn. App. 510 (the offender would not have been eligible for release to community supervision if DOC was not negligent in classifying him).
Petersen, 100 Wn.2d at 442 (sentencing judge responded to the hypothetical questions about how he would have ruled in certain situations).
Joyce v. Dep’t of Corr., 116 Wn. App. 569, 64 P.3d 1266, 75 P.3d 548 (2003) (expert testimony that the offender would have been in prison but for the violations). We note that in Joyce, William Stough, the same expert witness who testified here, presented the testimony that established causation. Division Two concluded that the trial court did not abuse its discretion by admitting Stough’s testimony about how courts treat violation reports. We do not know the circumstances under which the testimony was admitted in Joyce, but we conclude below that based on the record in this case, the trial court did not abuse its discretion by refusing to admit Stough’s testimony.
Blomster v. Nordstrom, Inc., 103 Wn. App. 252, 259, 11 P.3d 883 (2000).
id.
Bordon argues in her brief that she sought to elicit testimony from Stough similar to that in his declaration where he said:
Based on [his] experience with supervision, with supervising CCO’s, and with dealing with the Court first-hand on these matters, it is [his] considered opinion that on a more probable than not basis, had the Department adequately and reasonably informed the Court of Jones’ violations and difficulty adjusting to supervision at [the] hearing on April 6, 1998, Jones would have been sentenced to well over 60 days in jail. At the very least, Jones would have been sentenced to more than 15 days in jail, and he would have been in custody on April 11, 1998 when he committed vehicular homicide against Cynthia Bordon.
Moreover, had the department timely and effectively responded to Jones’ violations when he absconded, then it is more likely than not that Jones would have recognized the need to comply with his supervision and done so. That is the whole point of supervision. Offenders who see that the Department will monitor and enforce the conditions of supervision tend to comply with these conditions. Had Jones been in compliance on April 11,1998, he would not have been driving recklessly or been driving at all.
The trial court allowed Bordon to present this testimony but she never did so.
The trial judge stated, “He’s not going to be testifying as to what a judge would do.” Bordon’s counsel responded, “I don’t want him to.”
ER 103(a)(2).
Adcox v. Children’s Orthopedic Hosp. & Med. Ctr., 123 Wn.2d 15, 26,864 P.2d 921 (1993) (quoting State v. Ray, 116 Wn.2d 531, 538, 806 P.2d 1220 (1991)).
See 5 Karl B. Tegland, Washington Practice: Evidence § 103.18, at 67 (1995) (an appellate court will generally not consider an alleged error unless there was a timely and specific argument in the record that the evidence ought to be admitted) (citing State v. Jordan, 39 Wn. App. 530, 694 P.2d 47 (1985), review denied, 106 Wn.2d 1011 (1986), cert, denied, 479 U.S. 1039 (1987)).
Stough last supervised an offender case load at DOC in 1973, more than a decade before the SRA was implemented.