8 Conn. App. 407 | Conn. App. Ct. | 1986
This negligence case arose out of a very complicated multivehicle accident which occurred on January 13,1976, on an icy area of Interstate 84 (1-84), eastbound, in New Britain. The plaintiff’s decedent, Hannelore Zimny, got out of the driver’s seat of her
The defendant claims that the trial court erred in several respects: (1) in charging the jury on the rescue doctrine; (2) in admitting certain testimony of the plaintiffs accident reconstruction expert; (3) in failing to set aside the verdict and order a new trial or order a remittitur; (4) in failing to rule that General Statutes § 52-216a violates the equal protection provisions of the United States and Connecticut constitutions; and (5) in failing to set aside the verdict and render judgment for the defendant on the basis of insufficient evidence of negligence.
The parties stress conflicting testimony concerning key factors in the accident. A summary of the undisputed evidence and the areas in which the parties disagree follows. On January 13, 1976, between 2 p.m. and 2:15 p.m., Hannelore Zimny was driving her car in an easterly direction on 1-84. She was travelling in the extreme left lane. Her mother, Frieda Zimny, was a passenger in the right front seat. At approximately the same time, a car operated by Hiam J. Lundy was
The defendant stresses the following evidence: While driving on 1-84, he felt two hard impacts on the rear of his car. The first impact was so hard that the trunk lid on his car popped up, blocking his view of the car that struck him. Approximately ten seconds later, he felt the second of the two blows. After the second blow, his car came to a complete stop on the left hand side of the highway. The Zimny car, which the defendant later learned was the car that hit him, came to rest to the rear of his car near the left side of the highway.
The plaintiff stresses entirely different testimony as follows: As the plaintiff’s decedent’s car and the defendant’s car approached the site of the Lundy collision, the defendant, whose speed exceeded the plaintiff’s decedent’s, started to pass. The defendant saw that the road ahead was obstructed but nevertheless elected to drive through the obstruction. As he passed the vehicle of the plaintiff’s decedent, his car fishtailed and its left rear skidded and struck the plaintiff’s decedent’s passenger side door. That impact caused Zimny’s car to rotate in a counterclockwise direction until its front hit the highway curbing. The defendant’s car continued to fishtail until its rear collided with the highway retaining wall. As a result of the impact, Zimny’s car came to rest in the left lane of 1-84.
I
The Court’s Charge to the Jury on the Rescue Doctrine
This issue raises the thorny question, not previously considered by an appellate court in Connecticut, as to the application of the rescue doctrine in a comparative negligence situation.
The rescue doctrine was first promulgated by Cardozo, J., in Wagner v. International R. Co., 232
The Supreme Court established the doctrine in Connecticut in the landmark case of Cote v. Palmer, 127 Conn. 321, 16 A.2d 595 (1940). The plaintiff’s decedent, the mother of an eight year old daughter, was killed by the engine of the defendant’s train. Her death was a result of her running towards the track in an attempt to move away the daughter who was too close to the track. The court concluded that the jury could have found the defendant negligent. It then went on to consider the question of the mother’s contributory negligence.
“The question as to contributory negligence on the part of the decedent requires consideration of the so-called ‘rescue doctrine,’ for only under that doctrine could she be held free from such negligence. It is succinctly stated in the Restatement as follows: ‘It is not contributory negligence for a plaintiff to expose himself to danger in a reasonable effort to save a third per
“The mere presence of danger and desire to save person or property from injury or destruction will not alone
“In the situation before us we have, in the protective instinct of motherhood, one of the strongest incentives to the risk of life; the jury might reasonably conclude that there was imminent danger of death or serious bodily injury to the child and an instinctive reaction to that danger on the part of the mother; and, had the child actually come upon the track in the face of the approaching train, the mother would have barely failed to reach her before it would have been too late. That her sacrifice did not avail to stop the child before she reached the track, cannot be determined from this record; but even if that sacrifice in the ultimate proved unnecessary, that could not affect the decedent’s rights, for they were to be determined upon the facts as she might reasonably have believed them to be. Thoresen v. St Paul & Tacoma Lumber Co., 73 Wash. 99, 103, 131 Pac. 645, 132 Pac. 860 [1913]; Corbin v. Philadelphia, 195 Pa. St. 461, 469, 45 Atl. 1070 [1900]. It is
A recent case formulated the rule as follows: “ Where a defendant’s negligent act, of commission or omission, has created a condition or situation which involved urgent and imminent peril and danger, to life or property, of himself or of others, those acts of negligence are also negligence in relationship to all others who, in the exercise of ordinary care for their own safety under the circumstances, short of rashness and recklessness, may attempt, successfully or otherwise, to rescue such endangered life or property, by any means reasonably appropriate to the purpose. . . .’ ” Turpel v. Sayles, 692 P.2d 1290, 1291 (Nev. 1985).
The defendant agrees that, as far as it went, the court’s charge on the rescue doctrine was correct. He argues, however, that the court erred in not charging the jury that the rescue doctrine cannot be invoked by a rescuer who has contributed to placing the victim in a position of peril. It is beyond question that this limitation on the doctrine is universally accepted in cases where a plaintiff’s contributory negligence acts as a complete bar to recovery. Sulphur Springs Valley Electric Cooperative, Inc. v. Verdugo, 14 Ariz. App. 141, 144, 481 P.2d 511 (1971); Klang v. Shell Oil Co., 17 Cal. App. 3d 933, 938-40, 95 Cal. Rptr. 265 (1971); Air-line Railway Co. v. Leach, 91 Ga. 419, 422, 17 S.E. 619 (1893); Tarnowski v. Fite, 335 Mich. 267, 269-70, 55
The defendant notes that no case has been found to the contrary, nor have we found any. All of this universal authority, however, involved cases in which the claimant rescuer’s contributory negligence was an absolute bar to recovery. In such cases, not only are there policy reasons to prohibit the at-fault rescuer’s recovery, but, and this must be stressed, there would be no occasion to consider the rescuer’s post-accident negligence since the rescuer would be barred completely by contributory negligence. Thus, the defendant’s claim boils down simply to the question whether the unchallenged rule that a contributor to the peril cannot invoke the rescue doctrine survives intact under Connecticut’s comparative negligence law or whether that rule is enveloped within, and in a different form becomes a part of, the doctrine of comparative negligence.
Appellate courts in jurisdictions which have adopted a comparative negligence rule have applied the rescue doctrine in cases where the circumstances warrant it. In Cords v. Anderson, 80 Wis. 2d 525, 548, 259 N.W. 2d 672 (1977), two would-be rescuers were injured attempting to rescue a companion who had fallen into a gorge. In analyzing the effect of comparative negligence on the rescue doctrine the court stated: “We hold that a rescuer is not negligent where the rescue, although dangerous, is not unreasonable or unreasonably carried out. In a comparative negligence jurisdiction such as Wisconsin, if the trier of fact finds that the rescue is unreasonable or unreasonably carried out the fact finder should then make a comparison of negligence between the rescuer and the one whose negligence created the situation to which the rescue was a response.”
In Sweetman v. State Highway Department, 137 Mich. App. 14, 357 N.W. 2d 783 (1984), the plaintiff attempted to aid a motorist allegedly injured as the result of the negligent maintenance and design of a highway overpass. The Michigan Court of Appeals closely followed the analysis of Ryder. In so doing, the court extensively discussed the effects of the adoption of a comparative negligence standard on the policy behind the rescue doctrine: “When contributory negligence was the prevailing rule the rescue doctrine served a dual purpose: (1) it helped establish a causal connection between the defendant’s negligence and the plaintiff’s injury, and (2) it served to eliminate the absolute defense of contributory negligence. Ryder Truck Rental, Inc. v. Korte, [supra]. The doctrine helps to establish proximate cause by providing that where a defendant has created a situation of peril for another the defendant is held to have caused the peril not only to the victim but also to his rescuer. . . . This aspect of the rescue doctrine is wholly viable even in the wake
We agree with the logic of these cases and accordingly hold that the first aspect of the rescue doctrine, that it is not negligence for a plaintiff to make a reasonable attempt to save an individual from peril, survives the adoption of a comparative negligence doctrine. Where, however, the attempt is unreasonable, we find that a result different from that obtained under a contributory negligence standard should apply. The rescuer should not be absolutely barred from recovering but, rather, the amount of his recovery should be reduced by the degree to which he is comparatively negligent.
The defendant admits that there was no evidence in any of these cases that the plaintiffs had contributed to creating the perilous situation which gave rise to their rescue attempts. Therefore, these cases do not reach the narrow issue we consider. He claims, however, that Padilla v. Hooks International, Inc., supra, 123-24, did involve this issue. He notes correctly that in Padilla the defendants claimed that the plaintiff would-be rescuer had negligently contributed to placing the victim in peril on a backhoe he was repairing. He quotes the majority opinion to the effect that “[tjhere are two ways in which a plaintiff’s own negligence can become a fact question in rescue doctrine cases. First, the plaintiff may have been negligent by helping to create the very situation which later ‘invited’ his rescue.
The Padilla court thus stated the rule applicable before the advent of comparative negligence. It made no analysis, however, of the effect of comparative negligence on the rescue doctrine. That general issue was clearly enunciated by Sutin, J., concurring, who stated that the “rescue doctrine” takes on a different form when applied to the rule of comparative negligence. Id., 580.
We do not agree with Padilla’s facile acceptance of the old rule. The rescue doctrine no longer serves the purpose of eliminating the absolute defense of contributory negligence in comparative negligence situations. Thus, the bar to its use where the rescuer contributed to the peril no longer makes sense. The purpose of this corollary rule is not applicable to a comparative negligence case and should not be gratuitously extended to that field. Accordingly, we reject the defendant’s invitation to follow Padilla. To do so would be to distort and dilute the socially ameliorative doctrine of comparative negligence.
We hold that the rescue doctrine applies under Connecticut’s comparative negligence statute. This is so whether or not the plaintiff-rescuer contributed to the victim’s peril. When the plaintiff in seeking to effect a rescue is himself negligent, he should recover only that portion of the entire damages sustained by him as the defendant’s negligence bears to the combined negligence of both the plaintiff and the defendant. The defendant does not otherwise challenge the court’s charge on the totality of the decedent’s contributory negligence, proximate causation and comparative negligence. Accordingly, the court did not err in its charge on the rescue doctrine.
II
The Court’s Allowing the Plaintiff’s Accident Reconstruction Expert Robert Cromwell to Testify
The defendant claims error in three regards concerning the admission of the testimony of Robert Cromwell, the plaintiff’s accident reconstruction expert:
A brief background of certain rulings in the case is necessary to understand the issues.
On June 4, 1979, the trial court, Satter, J., ordered pursuant to the stipulation of the parties that “[t]he plaintiffs Frank Zimny and Frieda Zimny will provide to the defendants copies of the reports of any liability experts, including Mr. Cromwell, on or before July 2, 1979. These plaintiffs further agree that no expert will testify as to any matter not specifically reflected in the expert’s report.” The court also ordered that “it is further understood that any deviation from [the order] for a justifiable reason must be — will be permitted only on the order of this court.” On June 30, 1979, the plaintiff produced a three page document prepared by Robert M. Cromwell, which Cromwell called a preliminary report.
On August 30,1984, the court, Aspell, J., ruled that Cromwell could not testify because he had filed only a preliminary report which was not followed up by a final report as required by Judge Satter’s June 4,1979 order. The trial court concluded that such testimony would be a “complete surprise” to the defendants as to the substance of his opinion of the cause of the accident. The court also based its ruling on the case of Going v. Pagani, 172 Conn. 29, 372 A.2d 516 (1976), since Cromwell did not begin his investigation of the case until ten months after the accident and did not see the exact conditions or vehicles involved. The court
A
CLAIMED VIOLATION OF DISCOVERY ORDER
The expert’s “preliminary report” was submitted within the time required in the discovery order. We have examined with care the three page preliminary report. We conclude that the report is a detailed analysis of the dynamics of the accident, directly faulting Hogan as follows: “[T]he plaintiff, Hannelore Zimny, was operating her 1976 Ford in an easterly direction in the left-hand lane when Thomas W. Hogan, Jr., moved his 1966 Oldsmobile left directly into her path causing contact to be made between the right front of
The defendant claims that Cromwell was awaiting all of the information from the deponents in order to place the vehicles in their proper relationships prior to the impact, and not just for the vehicle identification numbers as he claimed at trial. He contends that Cromwell’s “final” opinion as to the pre-impact position of the cars was not available until the time of trial, and asserts therefore, that Cromwell’s conclusions were a complete surprise and his testimony unfair as a result. According to the defendant, what occurred here is the kind of “cat and mouse game” which we specifically discountenanced in Sturdivant v. Yale-New Haven Hospital, 2 Conn. App. 103, 106, 476 A.2d 1074 (3984).
In Sturdivant, the plaintiff in a medical malpractice case disclosed the name and subject of the testimony of her medical expert during the jury selection process after initially stating in answers to interrogatories that she would use no expert. In supplemental answers to interrogatories she stated that her expert would tes
We conclude that the situation in this case is a far cry from that in Sturdivant. There, although the plaintiff admitted that she had consulted with the expert “informally” a few years before the trial, the very existence of the expert and the proposed subject matter of his testimony were completely unknown to the defendant. Sturdivant was a classic case of surprise and trial by ambush. Here, the defendant knew the identity of the expert and the nature of his testimony. The defendant had a detailed report in his hands and a similar response to the interrogatories. Both documents placed fault clearly on Hogan.
The defendant also claims that the trial court, in allowing Cromwell to testify “to the extent of the information that he gave in the interrogatories,” violated Judge Satter’s order that no expert testimony be allowed “as to any matter not specifically reflected in the expert’s report” and that “any deviation from the order will be permitted only on the order of the court.” We conclude that the trial court’s order did not violate Judge Satter’s order. The trial court’s order was specifically limited to the material contained in the preliminary report. Nor has the defendant shown how the testimony deviated from the preliminary report except in very minor ways discussed below. We find that the defendant’s claim of complete surprise is more apparent than real.
CLAIM OF INSUFFICIENT FACTUAL FOUNDATION
The defendant claims that the case of Going v. Pagani, supra, requires the exclusion of Cromwell’s testimony. In Going, our Supreme Court upheld the trial court’s exclusion of Cromwell’s expert testimony,
We have carefully considered the defendant’s arguments attempting to show the lack of a factual foundation for Cromwell’s opinion in this case. Notwithstanding the defendant’s assertions to the contrary, we do not consider Going to state an ironclad rule determinative of every case. Rather, we interpret Going as an example of our Supreme Court’s upholding the trial court's ruling concerning the adequacy of the factual foundation of an expert’s testimony. There are several significant reasons why we distinguish Going from the
The defendant is correct in arguing that the factual foundation of Cromwell’s opinion was weakened as to portions of his testimony which were at variance with actual witnesses. The key portion of his testimony, however, concerned the collision between the Hogan and Zimny vehicles. That testimony was consistent with that of state trooper Gaylord. Finally, Cromwell’s reconstruction of this accident did not rest upon an exact mathematical place of the point of impact on the highway.
The defendant asserts that the trial court erred by admitting five overlay maps concerning the accident. In support on this claim, he contends that each lacked mathematical precision. Cromwell, however, repeated that each overlay was intended only to give approxi
“Whether a witness is qualified to testify as an expert with respect to a certain matter is a decision to be made by the trial court. Oborski v. New Haven Gas Co., 151 Conn. 274, 280, 197 A.2d 73 (1964). That decision will not be disturbed on appeal unless there has been an abuse of discretion or there was a clear error involving a misconception of the law. State v. Cosgrove, 181 Conn. 562, 588, 436 A.2d 33 (1980); Siladi v. McNamara, 164 Conn. 510, 513, 325 A.2d 277 (1973). It is rare for this court to find that a trial court has erred in a ruling permitting expert testimony. Wray v. Fairfield Amusement Co., 126 Conn. 221, 224, 10 A.2d 600 (1940). Once the trial court has determined that the witness has reasonable qualifications to testify as an expert on the question presented, the objection goes to the weight rather than the admissibility of the testimony. State v. Wallace, 181 Conn. 237, 241, 435 A.2d 20 (1980); Osborski v. New Haven Gas Co., supra.” McKiernan v. Caldor, Inc., 183 Conn. 164, 167-68, 438 A.2d 865 (1981).
“ ‘The facts upon which an expert’s opinion is based are an important consideration in determining the admissibility of his opinion.’ Going v. Pagani, supra, 34. ‘The question of whether a sufficient foundation was laid is a factual question for the court.’ Spoto v. Hayward Mfg. Co., 2 Conn. App. 663, 670, 482 A.2d 91 (1984).” Liskiewicz v. LeBlanc, 5 Conn. App. 136, 141, 497 A.2d 86 (1985).
“Expert opinion testimony as to the point of impact in a motor vehicle accident is proper provided the witness has been qualified and an adequate foundation for his testimony has been laid. . . . The trial judge has
We conclude that the trial court did not abuse its wide discretion in admitting Cromwell’s opinion testimony.
C
CLAIM OF ERROR IN ALLOWING CROMWELL TO TESTIFY BEYOND THE SCOPE OF THE PRELIMINARY REPORT ADMITTED INTO EVIDENCE
The defendant claimed in his motions to set aside the verdict, as well as in objections overruled and properly excepted to at trial, that the trial court erred in allowing Cromwell to testify beyond the scope of the preliminary report. The defendant claims two general errors in this regard: (1) in admitting testimony as to the length of the Angelo vehicle and its placement on a particular map overlay; and (2) in admitting testimony as to the dynamics of the collision between the vehicles operated by the defendant and Hannelore Zimny.
The first of these two claims is based on the fact that Cromwell testified at trial that the Angelo vehicle was a maxivan rather than a van, a factor that was not included in the preliminary report. We conclude that was not a significant enough extension of Cromwell’s
We do not find that this testimony amounted to a significant extension of the preliminary reports. The trial court’s statement at trial that the evidence was merely “an elaboration of what’s contained in his report,” and that the objection went to the weight, rather than the admissibility, of Cromwell’s testimony is well taken. We find no error in this ruling.
Ill
Error in Failing to Set Aside the Verdict and Order a New Trial or a Remittitur
The defendant claims that the verdict was excessive as a matter of law and that the trial court therefore erred in refusing to set aside the verdict and order a new trial or a remittitur. The defendant briefed only the trial court’s denial of his motions for a remittitur. We therefore conclude that the claim of error as to denial of his motion for a new trial on the grounds of excessiveness of the verdict was abandoned. See State v. Samaha, 180 Conn. 565, 565 n.1, 430 A.2d 1290 (1980). The trial court articulated its denial of the defendant’s motions for remittitur by stating that, in denying them, the court considered the $225,000 paid to the plaintiff as a result of the precedent settlement payments. Thus we must decide whether the court'
The plaintiffs claim includes, of course, damages for Zimny’s injuries and suffering before she died and for her ultimate death from those injuries. Zimny was nineteen years and ten months old at the time of the accident. She was admitted to the John Dempsey Hospital, after the accident, suffering a crush injury to her chest, including multiple rib fractures and a crushed right lung; a broken neck injury akin to a hanging type injury; and a lacerated liver with extensive bleeding into the abdominal cavity. Because of damage to her lungs, and the fact that her neck injury caused the upper part of her larynx to be ripped loose of the floor of her mouth, she could not breathe voluntarily. She was conscious and suffered severe pain which was described throughout her hospitalization as dramatically painful. She underwent many operations and surgical procedures including a laparotomy, multiple operations of her larynx, the drilling of holes in her head to install Crutchfield tongs, abdominal operations, a bronchoscopy, and the removal of her entire right lung. She was in an iron lung during her entire hospitalization and was drugged to maintain complete paralysis. On February 24, 1976, forty-five days after the accident, she bled to death as a result of her injuries.
Zimny was a student at Eastern Connecticut State College. She was a happy young woman who wished to become an elementary school teacher. She was an excellent student and an achiever. There was expert testimony that based upon a fifty-nine year life expectancy, the net economic loss to her estate was $624,118. The special damages totaled $71,459.36.
“ ‘The trial court’s refusal to set aside [a] jury verdict is entitled to great weight and every reasonable presumption should be given in favor of its correctness.’ Kalleher v. Orr, 183 Conn. 125, 127, 438 A.2d 843 (1981); Waldron v. Raccio, 166 Conn. 608, 618, 353 A.2d 770 (1974). This is so because ‘[f]rom the vantage point of the trial bench, a presiding judge can sense the atmosphere of a trial and can apprehend far better than [an appellate court] can, on the printed record, what factors, if any, could have improperly influenced
Given the nature and extent of Zimny’s injuries and the pain associated with them, the net economic loss to her estate and the special damages, the amount of damages in this case does not shock the sense of justice so as to compel the conclusion that the jury was influenced by ignorance, partiality, prejudice, or corruption. The court did not err in denying the defendant’s motions for a remittitur.
Whether General Statutes § 52-216 violates the Equal Protection Provisions of the United States Constitution
The defendant in this case challenged the constitutionality of General Statutes § 52-216a
y
Sufficiency of the Evidence
The defendant’s final claim is that the evidence of his liability was insufficient to support the jury’s verdict. At the close of the plaintiff’s case, the defendant moved for a directed verdict upon which the court reserved decision. After the jury verdict was rendered, the defendant made two motions, one to set aside the verdict, and one for judgment pursuant to Practice Book §§ 320 and 321. The court denied all of these motions.
A trial court in passing upon a motion to set aside a verdict, and this court in reviewing its action thereon is limited by established legal principles. Our rule is clear and long-standing although it has been stated in a variety of ways. “If, on the evidence as presented and under the pleadings, the jury could have reasonably found in accordance with the verdict as rendered, then it cannot be set aside as against the evidence.” Goodman v. Norwalk Jewish Center, Inc., 145 Conn. 146, 154, 139 A.2d 812 (1958); see also Horvath v. Tontini, 126 Conn. 462, 464, 11 A.2d 846 (1940).
It is the trial court’s duty to protect the parties by setting aside a verdict where its manifest injustice is so plain as clearly to indicate that the jury has disregarded the rules of law applicable to the case; Jacobs v. Goodspeed, 180 Conn. 415, 417, 429 A.2d 915 (1980); or was influenced by ignorance, prejudice, corruption
We must reiterate the fact that a court should be especially hesitant to set aside a jury’s award of damages. “ ‘The trial court’s refusal to set aside [a] jury verdict is entitled to great weight and every reasonable presumption should be given in favor of its correctness.’ ” Zarrelli v. Barnum Festival Society, Inc., supra, 326; Kalleher v. Orr, supra, 127.
In his brief the defendant cites detailed testimony which he claims proves not only evidence of the defendant’s non-negligent conduct, but also that the accident was unavoidable. He stresses: (1) testimony of the defendant, his mother, and his sister that while their vehicle travelled on the bridge it was struck very hard twice in the rear by another vehicle later determined to be the Zimny vehicle; (2) his own testimony that his vehicle never spun out either clockwise or counterclockwise and that the front of his car did not collide with or strike the right side of the Zimny vehicle; (3) the testimony of Gaylord concerning the very slippery road conditions; (4) Gaylord’s testimony that the cause of the accident was weather conditions and not any
The plaintiff claims that there was credible evidence of the following: The defendant, who had been proceeding eastbound on 1-84 from Waterbury to the accident scene, knew or should have known that the road surface to the west of the accident was slippery and hazardous. When the defendant came upon the scene of the Lundy collision and saw that the highway was partially obstructed, he nonetheless attempted to proceed through the obstruction. The defendant was operating his vehicle at a rate of speed greater than that of the Zimny vehicle and sought to pass the Zimny vehicle. Because of the defendant’s speed, his location on the highway, and the condition of the highway, he lost control of his vehicle and collided with the Zimny vehicle. The collision of the defendant’s vehicle with the Zimny vehicle forced the Zimny vehicle into the left curbing of the highway, where it came to rest. The defendant thus left the Zimny vehicle and its occupants in a position of peril. Thereafter and in the course of seeking to effect a rescue of her mother from a position of peril caused by the defendant, the decedent was struck and severely injured by a tractor trailer.
It is axiomatic that the jury is the judge of the credibility of witnesses. Balboni v. Stonick, supra, 529. With his sufficiency of the evidence claim, the defendant is in effect attempting to retry the case. This is an extremely complex case in which the jury heard not only from all the surviving participants in the accident, but also from five police officers, a reconstruction expert and a meteorologist. Because of the significance of the case, and the eompli-cated fact pattern, we have examined with care the
We find no error.
In this opinion the other judges concurred.
Under the rule cited by Turpel v. Sayles, 692 P.2d 1290 (Nev. 1985) the rescuer’s actions must be short of rashness or recklessness. Other cases use wanton conduct to limit the rescuer’s right to invoke the rescue doctrine. The diverging but overlapping tests developed in a host of cases is ably discussed in the concurring opinion by Sutin, J. in Padilla v. Hooks International, Inc., 99 N.M. 121, 123, 654 P.2d 574 (1982). The law in Connecticut confines the application of the rescue doctrine to one who makes a reasonable effort to effect a rescue. This follows the rule formulated in 2 Restatement (Second), Torts § 472.
The court charged the jury on the rescue doctrine as follows: “Now with respect to the rescue doctrine, the defendant Thomas Hogan has made several allegations of comparative negligence against Hannelore Zimny. One of these allegations is that she failed to use reasonable care for her own safety under the circumstances and conditions. Although the allegation of the answer is not specific, the defendant has argued, in effect, that Hannelore Zimny should not have gotten out of her car in an attempt to rescue her mother. You will recall that Hannelore Zimny was struck while she was standing in the highway attempting to open the passenger side door.
“I charge you that with respect to the question of contributory negligence, you must bring to bear upon that question the same tests and considerations which you have brought to bear on the issue of Mr. Hogan’s negligence in the first instance. In other words, you must find that the act or acts were negligent, and you must find that the act or acts in question were a proximate cause of the accident which led to her eventual death.
“Now, in respect to the possible comparative negligence of Hannelore Zimny, there is a doctrine in the law which you may consider when viewing her conduct. That doctrine is known as the rescue doctrine. Succinctly put, that doctrine states that it is not contributory or comparative negligence for a person to expose himself or herself to danger in a reasonable effort to safely [rescue] a third party. You will note that I have used the word ‘reasonable.’ The rescue doctrine applies only where the effort being made to save another person is reasonable under the circumstances. The conduct of the person doing the rescuing, however, must be judged under the circumstances.
“You may find that the circumstances in the case were a sudden emergency which Miss Zimny was confronting. If you find that she was reasonably confronting a sudden emergency, then her conduct is to be judged not in the light of cold reason, but in view of the emotions which a daughter might have for her mother under the circumstances, and you will take into consideration her lack of opportunity for deliberation and the exercise of cool judgment.
“In other words, the rescue doctrine has several parts to it. These parts are as follows: (1) you must consider the circumstances of Miss Zimny’s conduct; (2) if you find that at the time she attempted to rescue her mother, she was reasonably faced with a sudden emergency and reasonably had fear that her mother might be injured if she did not act; then, (3) you may consider her conduct under the circumstances and you should not judge her as a person who has time for cool deliberation, but a person who may have had aroused emotions for the safety of her mother and acted quickly in a reasonable effort to safely [rescue] her mother from danger.
This charge was substantially similar to the plaintiff’s request to charge.
The defendant expatiated this objection to the charge in a later exception. “[MR. ADINOLFI:] Yes, your Honor. It’s our position that the rescue doctrine here was inapplicable. The case in 127 Connecticut on which your Honor relies is a case in which a mother exposed herself to danger by attempting to warn her child from the railroad tracks and the mother had nothing whatever to do to placing that child in the position of danger. And we have found a case in the court of appeals of Arizona — we don’t have — that specific question of whether or not the plaintiff has placed the rescuee in the position of danger has not come up in Connecticut, but it has come up in the court of appeals of Arizona in Sulpher Springs Valley Electric Cooperative Inc. v. Doris Verdugo in 481 Pacific 2d at 511, and that follows the restatement of torts doctrine, Restatement 2d of Torts, section 472, in which it is clear that the rescue doctrine does not apply if the plaintiff himself or herself had anything to do with putting the person to be rescued in that position of danger.”
General Statutes § 52-272 (a) provides: “In causes of action based on negligence, contributory negligence shall not bar recovery in an action by any person or his legal representative to recover damages resulting from injury to persons or damage to property, if the negligence was not greater than the combined negligence of the person or persons against whom recovery is sought. Any damages allowed shall be diminished in the proportion of the percentage of negligence attributable to the person recovering.”
The plaintiff claims that since the defendants’ brief concerning these issues did not comply with Practice Book § 3060F (d) (3), we should not consider these claims of error. The plaintiff is correct that the defendant failed to present his evidentiary claims of error in the manner required. “Because the . . . allegations of error challenge only the trial court’s exercise of discretion with regard to the admissibility of expert testimony enforcement of the Practice Book [would] cause no injustice . . . .” Gorra Realty, Inc. v. Jetmore, 200 Conn. 151, 171, 510 A.2d 440 (1986). We therefore could decline to consider the issues raised. See Fogg v. Wakelee, 196 Conn. 287, 492 A.2d 511 (1985); Acheson v. White, 195 Conn. 211, 487 A.2d 197 (1985). Notwithstanding that fact “[bjecause the application of the rule to this case is so complex, we nonetheless choose to consider [his] claims of error on their merits.” Liskiewicz v. LeBlanc, 5 Conn. App. 136, 139 n.2, 497 A.2d 86 (1985).
For a case in which this court did find error in the trial court’s allowing incursions into the area of expert testimony which the court had previously forbidden, see Hartford v. Anderson Fair-Oaks Inc., 7 Conn. App. 591, 600, 510 A.2d 200 (1986).
The parties agree that the apparently ubiquitous Cromwell was involved in both cases.
We consider this matter on the basis of the gross award of $1,074,171.90 before the reduction of the jury’s award by 20 percent due to the plaintiffs decedent’s contributory negligence.
Although the quoted language concerns the setting aside of a jury verdict its reasoning and authority is obviously equally applicable to the issue of a remittitur by the trial court.
General Statutes § 52-216a provides as follows: “An agreement with any tortfeasor not to bring legal action or a release of a tortfeasor in any cause of action shall not be read to a jury or in any other way introduced in evidence by either party at any time during the trial of the cause of action against any other joint tortfeasors, nor shall any other agreement not to sue or release of claim among any plaintiffs or defendants in the action be read or in any other way introduced to a jury. If the court at the conclusion of the trial concludes that the verdict is excessive as a matter of law, it shall order a remittitur and, upon failure of the party so ordered to remit the amount ordered by the court, it shall set aside the verdict and order a new trial. If the court concludes that the verdict is inadequate as a matter of law, it shall order an additur, and upon failure of the party so ordered to add the amount ordered by the court, it shall set aside the verdict and order a new trial. This section shall not prohibit the introduction of such agreement or release in a trial to the court.”
Practice Book § 3063, made applicable to this court by virtue of Practice Book § 2000, provides: “The supreme court shall not be bound to consider a claim unless it was distinctly raised at the trial or arose subsequent to trial.”