This is a suit for damages arising out of a fall on the sidewalk entrance to defendant’s gas station. There have been two trials; at the first trial the jury disagreed and on the second trial some months later before the same judge a verdict was returned for the defendant. Plaintiffs unsuccessfully sought a new trial on the sole ground that the verdict was against the weight of the evidence.
On this appeal plaintiffs make no complaint against the denial of their motion for new trial, but assign as error the trial judge’s rejection of the questions they submitted to him for the voir dire.
The error was not waived because it was not assigned in the motion for new trial. Objections to rulings made at trial are ripe for review and need not be reiterated in the court below on a motion for new trial. This is equally true whether no such motion is made or the objection is not included as a ground for new trial when a motion is filed. See 6 Moore, Federal Practice (2d ed. 1953), ¶ 59.14. 1
The trial judge denied plaintiffs’ request that he put the following questions to the prospective jurors on their voir dire:
“1. Are any of you employed by or stockholders in an insurance company which is engaged in the casualty insurance business?
“2. Are any of you engaged in the general insurance agency business or are any of you an agent for a casualty insurance company?
“3. Have any of you ever worked as a claims investigator or insurance adjuster?
“4. Have any of you read any articles or advertising in periodical publications which tend to indicate a relationship between the amounts of personal injury verdicts and increases in insurance premiums?
“5. (If any of the jurors answer the next preceding question in the affirmative) Notwithstanding any opinion which you might have formed regarding the subject of the advertising or articles just mentioned, would you be able to decide the question of liability and damages in this case solely on the evidence and the law without being influenced by such an opinion?”
While no reasons were specifically given for the ruling, it is apparent from the record that the trial judge refused the requests on three grounds: (1) the practice in the state and federal courts in Delaware is not to conduct any extensive voir dire; (2) Delaware counsel — including those who appeared in this case — subscribe to the services of an investigating agency which supplies them with information on all prospective jurors in the federal and state courts some time before the commencement of the trial sessions; and (3) a prima facie showing was required of the prospective *778 juror’s connection with the business of insurance before the questions would be considered.
1. The right to an impartial jury in the federal courts in civil and criminal cases is guaranteed by the Constitution. The Sixth Amendment provides : “In all criminal prosecutions, the accused shall enjoy the right to a speedy and public trial, by an impartial jury of the State and district wherein the crime shall have been committed * * Amendment VII preserves “the right of trial by jury” in civil cases, and although the impartiality of the jury is not expressly mentioned it is inherent in the right of trial by jury and is implicit in the requirement of the Fifth Amendment that “No person shall * * * be deprived of life, liberty, or property, without due process of law * *
The Federal Rules, which are substantially identical in civil and criminal cases, leave it to the discretion of the court whether the voir dire shall be entrusted to counsel or conducted by the court, and provide that in the latter event the court must permit such supplementary examination by counsel as it deems proper or shall itself submit such additional questions to the prospective jurors. 2 Here, in the manner in which the voir dire is conducted, the widest discretion necessarily is reposed in the trial judge.
The present question, of course, is not the allocation of the inquiry between the court and counsel. Nor is there any problem of an interminable examination, an abuse which the Federal Rules were intended to correct. 3 What is here involved is the permissible substantive content of the voir dire examination. In this, too, as well as in the procedural area, a wide discretion necessarily resides in the trial court 4 which is familiar with the nature of the case, the demeanor of the prospective jurors and the general circumstances which surround the opening of the trial. This “broad discretion as to the questions to be asked” on voir dire is “subject to the essential demands of fairness.” 5
The questions were rejected because of the court’s reliance on an existing local practice of a limited
voir dire
examination which denies its use to assist counsel in the exercise of the right of peremptory challenge (See colloquy at R. 11) and drastically curtails it
*779
in aid of the right of challenge for cause. The rejection of appropriate questions on
voir dire
for such erroneous reasons amounts to an abuse of discretion. See Bailey v. United States,
In Dennis v. United States,
In following a local custom which forbids
voir dire
examination in aid of peremptory challenge and in effect denies it in aid of challenge for cause the court below deprived the plaintiffs of a necessary and important right, recognized as such by the Supreme Court as recently as Swain v. State of Alabama,
“Indeed the very availability of peremptories allows counsel to ascertain the possibility of bias through probing questions on the voir dire and facilitates the exercise of challenges for cause by removing the fear of incurring a juror’s hostility through examination and challenge for cause.” (pp. 219-220, 85 S. Ct. p. 835).
The Court below exercised no discretion, but applied a supposed principle of general application. The principle it followed is erroneous, and its decision therefore must be reversed.
2. A local practice forbidding detailed voir dire may not be sustained because of the availability of reports of private investigators. To conclude otherwise would be to confuse cause and effect. For it is when the door of inquiry is closed in busy courtrooms that the pressure of need breaks open in private investigations conducted outside the courtroom. The practice recognized by the Court below would in general reward the lawyer who specializes in accident or other litigation at the expense of the general practitioner. The availability, and even the use — as here — of investigation reports by both parties, is not adequate ground for permitting them to replace voir dire. For they are private, nonjudicial inquiries. The impartiality of jurors should be tested under the control of the court rather than by the unsupervised activity of investigators with all the undesirable possibilities of intimidation and jury tampering 9 which such surveillance inevitably presents.
3. The trial judge required some prima facie showing of the connection of a prospective juror with the business of insurance. 10 Many decisions in the United States have considered the reference to insurance on voir dire examination. 11 In most of them some inquiry is permitted although this is usually accompanied with the requirement that counsel must act in good faith. Provided the so-called good faith is shown, 12 counsel has been permitted in many cases to in *781 quire regarding the juror’s connection with the insurance business in general, 13 or with the insurance company interested in the specific case, 14 and even whether an individual juror was himself insured and, if so, with what company. 15
To us these efforts to deal with the problem seem unsatisfactory. They fail to reflect adequately the significance of bias, which may assume a variety of forms of involvement beyond a crudely direct financial interest in the result. We are therefore required to fashion, if possible, a rule which fairly protects the right to an adequate voir dire examination and yet safeguards the principle which restricts disclosure that a defendant is insured.
The policy against disclosure to the jury of a defendant’s insurance is founded on the view that knowledge of its existence would overthrow the requirement of fault as the foundation for negligence liability and moreover would result in extravagant verdicts. We need not now re-examine this policy.
16
It is based on the desire to assure a fair trial to a defendant, and it may not be permitted to destroy the plaintiff’s equal right to a fair trial. A fair trial for a plaintiff in an accident case presupposes the right to a
voir dire
examination without any crippling limitations imposed by an overextension of the rule against disclosure that the defendant is insured. That men will be prone to favor that side of a cause with which they identify themselves either economically, socially or emotionally is a fundamental fact of human character. It is not enough, therefore, to grant the rights of peremptory challenge and challenge for cause and then limit the factual basis for their use to the visible appearance of the jurors and the scant information on the jury list of their residence and occupation. While the practical limitations of a trial make it impossible to permit the parties on
voir dire
to penetrate deeply into the minds and emotions of prospective jurors, which, are far too subtle and complex to be fully judged by surface scrutiny,
17
at least the visible ties which generally bind men to one side of a cause are clearly within the limited range of appropriate interrogation on
voir dire.
An analogous situation arose in Aldridge v. United States,
It follows that in an accident case the inquiry whether a prospective juror is a stockholder or employee of a casualty insurance company or is employed as a claims investigator or insurance adjuster, or is an insurance company agent, is relevant in ascertaining bias against one claiming damages for negligence. A juror’s identification with the business of investigating and paying damage claims affects his impartiality as significantly as does a juror’s employment by a lawyer who is a specialist in prosecuting such claims. Such a relevant matter may not be shut out because it deals with insurance. The word “insurance” is not outlawed from the courtroom as a word of magical evil.
Jurors are not unaware that insurance is at large in the world 19 and its mention will not open to them a previously unknown realm. It is in fact more realistic for the judge to dissolve the phantom by open talk in the courtroom than to have it run loose in the unconfined speculations of the jury room. The court has wide control over the voir dire and can adequately safeguard the inquiry by explaining to the jurors the limited scope and purpose of the examination and thus eliminate any implication of the existence or relevance of insurance in the case before it.
We hold, therefore, that in order to exercise intelligently his limited number of peremptory challenges and to determine whether ground exists for challenge for cause, a plaintiff in an accident case may make reasonable inquiry whether prospective jurors are or have been connected with the business of investigating or paying accident claims, either as employees, agents or stockholders of insurance companies or claims agencies without suggesting the existence of insurance in the case. An adequate caution should be given by the court to make it clear to the jury that these questions do not imply either that any defendant is insured or that the matter of insurance or lack of insurance is to be considered in reaching a verdict.
The court below erred, therefore, in refusing to adopt the first three questions, which dealt with the relationship of the prospective jurors with the claims *783 adjustment and insurance business. The rejection of the fourth and fifth questions was within the sound discretion of the court and in this we find no error.
The judgment will be reversed and the cause remanded with direction to award a new trial.
Notes
. The explanation for this rule may perhaps lie in two characteristics of federal practice:
(1) A motion for new trial follows the judgment, which is entered immediately after the verdict. Thus a final, appeal-able judgment exists at the time a motion for new trial is filed. This differs from the practice in those states where the motion for new trial is first disposed of before judgment is entered on the verdict and in which, moreover, such motions are heard by a court en bane, thus affording a kind of intermediate appellate review.
(2) There is no need in federal practice for an exception if objection has been made at the trial. In the common law state practice error generally would not be noticed on appeal unless an exception had been taken to the ruling of the court on the original objection, — a survival of the practice of sealing a bill of exceptions in the days before court reporters.
. Rule 47(a) of the Rules of Civil Procedure provides:
“Examination of Jurors. 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 it deems proper or shall itself submit to the prospective jurors such additional questions of the parties or their attorneys as it deems proper.”
Rule 24(a) of the Rules of Criminal Procedure is identical except for the necessary change in the reference to criminal proceedings.
. See The Jury System in the Federal Courts, Report of the Judicial Conference Committee on the Operation of the Judicial System, September 1960,
. In the leading case of Connors v. United States,
. Aldridge v. United States,
. In rural areas disqualification because of acquaintance with the parties or counsel would render the selection of a jury well-nigh impossible. Yet in large urban centers it is commonplace to excuse all jurors who are acquainted with a party or counsel — as was in fact done in the first trial of this case — notwithstanding the historical origin of the jury system in the selection of 12 jurors familiar with the parties and the cause of action itself.
. See Comfort v. Mosser,
. United States v. Wood,
. The problems inherent in jirivate investigations were apparent even in the present case. Counsel for defendant in explaining the prevailing Delaware practice to the trial judge, stated: “The names of jurors are provided to the attorneys and there are a number of investigative agencies in town that have made a regular business of investigating jurors so that you know the names, addresses, occupations and some other miscellaneous information. This has come to the attention of the court in a number of ways. For instance, * * * quite recently in front of Judge Layton [it was] mentioned that some of these investigative agencies were overstepping the bounds in some situations. And I think the Court knows this.” (R. 8)
Cf. Dow v. Carnegie-Illinois Steel Corporation,
. See R. 12.
. See cases collected in
. In Lentner v. Lieberstein,
. Duff v. Page,
. Wagner Electric Corporation v. Snowden,
. Braman v. Wiley,
. See 2 Wigmore, Evidence (3 ed. 1940), § 282a.
. In United States v. Dennis,
. In Swain v. State of Alabama,
. See Brown v. Walter,
