F I L E D
United States Court of Appeals
Tenth Circuit
UNITED STATES COURT OF APPEALS
APR 6 2000
TENTH CIRCUIT
PATRICK FISHER
Clerk
TAMMY STORTS,
Plaintiff - Appellee,
v.
No. 98-3285
(D.C. No. 95-CV-1036-MLB)
HARDEE’S FOOD SYSTEMS, INC.,
(District of Kansas)
a foreign corporation licensed to do
business in Kansas,
Defendant - Appellant.
TAMMY STORTS,
Plaintiff - Appellant,
v.
No. 98-3320
(D.C. No. 95-CV-1036-MLB)
HARDEE’S FOOD SYSTEMS, INC.,
(District of Kansas)
a foreign corporation licensed to do
business in Kansas,
Defendant - Appellee.
ORDER AND JUDGMENT *
*
This order and judgment is not binding precedent, except under the
doctrines of law of the case, res judicata, and collateral estoppel. This court
generally disfavors the citation of orders and judgments; nevertheless, an order
and judgment may be cited under the terms and conditions of 10th Cir. R. 36.3.
Before BALDOCK, BRORBY and LUCERO, Circuit Judges.
In this diversity action, defendant Hardee’s Food Systems, Inc.
(“Hardee’s”) appeals from a jury verdict in favor of plaintiff Tammy Storts for
injuries she suffered as a result of her abduction from a Hardee’s parking lot.
Hardee’s’ primary contentions are that the district court’s instructions on the duty
to provide security and the duty to warn of a dangerous condition, and the verdict
finding negligence, were not supported by the evidence. Hardee’s also contends
that the instructions misstated the law, the suit is barred by the statute of
limitations, and the district court erroneously admitted expert testimony. On
cross-appeal, Storts argues the district court erred when it dismissed two of her
theories of liability—undertaking of duty and breach of contract—and instructed
the jury on comparative negligence. We conclude that although the evidence is
sufficient to establish the existence and breach of the duty to provide security, it
does not support an instruction on the duty to warn of a dangerous condition.
This error requires reversal because it is impossible to determine from the general
verdict whether the jury relied on the improperly submitted duty to warn theory of
negligence. The remaining claims of error are without merit. We also deny
Hardee’s’ motion to certify various questions to the Kansas Supreme Court. We
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exercise jurisdiction pursuant to 28 U.S.C. § 1332 and reverse and remand for a
new trial.
I
On February 5, 1993, Tammy Storts pulled off the Kansas Turnpike into the
Belle Plaines service area, where she parked her van and entered a restaurant
managed, owned, and operated by Hardee’s. After using the restroom, calling
work, and purchasing a soda, she exited the restaurant. Walking towards her van,
she noticed two men standing next to the trunk of a car backed into the adjacent
parking space, and a third man in the driver’s seat of the car. As she started to
get into her van, someone grabbed her purse and then threw her into the trunk of
the car. Her abductors drove off, eventually exiting the turnpike and parking in a
field. There, they removed Storts from the trunk, stole her jewelry, and raped and
sodomized her. One of her assailants also put the barrel of a pistol into her
mouth.
Storts did not report the incident to the authorities until May 1993. On
June 27, 1994, she was admitted to St. John’s Medical Center in Tulsa, Oklahoma
because she had overdosed on drugs and alcohol and was suffering from
depression. Storts had been unconscious or unresponsive for thirty hours prior to
her admission and remained lethargic and experienced hallucinations for much of
her six-day stay at the hospital.
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Storts filed the instant suit on February 2, 1995, but did not serve Hardee’s
until May 19, 1995. In her complaint, Storts alleged that Hardee’s had
“negligently failed to provide proper security, in the form of visibility and natural
surveillance, to protect plaintiff, a customer and business invitee of Hardee’s.” (I
Appellant’s App. at 4.) In response to Hardee’s’ motion to dismiss on statute of
limitations grounds, Storts submitted a first amended complaint that dropped the
negligence claim and alleged instead that the lack of proper security constituted a
breach of a contract between Hardee’s and the Kansas Turnpike Authority
(“KTA”), of which she was an intended third party beneficiary. The district court
found that Storts’s contract claim failed as a matter of law, but granted leave to
file a second amended complaint based on her allegations of temporary
incapacitation. See Storts v. Hardee’s Food Sys., Inc., 919 F. Supp. 1513, 1522-
23 (D. Kan. 1996). Storts accepted that invitation, and in her second amended
complaint reasserted her negligence claim. Both parties then moved for summary
judgment on the statute of limitations issue. The district court ruled in favor of
Storts, finding that the limitations period had been tolled pursuant to Kan. Stat.
Ann. § 60-515 because of her June 1994 hospitalization. In a separate
memorandum and order, the district court denied Hardee’s’ motion for summary
judgment on the issue of its duty to provide security measures as well as on a
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motion in limine to exclude the testimony of various experts, but granted
summary judgment in favor of Hardee’s as to Storts’s undertaking of duty theory.
The case was tried to a jury, which found Hardee’s 70% at fault pursuant to
a comparative negligence instruction and calculated total damages of $200,000.
The court entered judgment against Hardee’s for $140,000 and denied Hardee’s’
motions for judgment as a matter of law and a new trial.
Both parties appeal this judgment. Hardee’s argues that Storts’s claim is
barred by the statute of limitations, it owed no duty as a matter of law to provide
increased security, the jury instructions regarding duty were erroneous, and the
court erred in admitting the testimony of several experts. Storts asserts that the
court erred in instructing the jury on contributory negligence and in dismissing its
contract and undertaking of duty claims.
II
We first address Hardee’s’ various arguments regarding the Kansas statute
of limitations.
A
State law establishes the limitations period and tolling procedures for this
federal diversity action. See Habermehl v. Potter, 153 F.3d 1137, 1139 (10th Cir.
1998). Under Kansas law, a negligence action must be commenced within two
years of the date the cause of action accrues. See Kan. Stat. Ann. §§ 60-510, 60-
-5-
513(a)(4). A civil action is deemed commenced on the date the complaint is filed,
provided service of process is obtained within ninety days of the date of filing.
See Kan. Stat. Ann. § 60-203(a)(1). If service is not obtained within the ninety-
day period, the action is deemed commenced on the date service is obtained. See
Kan. Stat. Ann. § 60-203(a)(2). Storts was injured, and therefore her action
accrued, on February 5, 1993. While she filed the instant action on February 2,
1995, within the two-year limitations period, she did not obtain service on
Hardee’s until May 19, 1995, more than ninety days later. Therefore, the action is
deemed commenced on May 19, 1995, outside the two-year limitations period.
State law also provides, however, that if at any time during the period the
statute of limitations is running the person entitled to bring an action is
“incapacitated [,]. . . such person shall be entitled to bring such action within one
year after the person’s disability is removed.” Kan. Stat. Ann. § 60-515(a). An
incapacitated person has been defined as “‘any adult person whose ability to
receive and evaluate information effectively or to communicate decisions, or both,
is impaired to such an extent that the person lacks the capacity to manage such
person’s financial resources . . . or to meet essential requirements for such
person’s physical health or safety, or both.’” Biritz v. Williams, 942 P.2d 25, 28-
29 (Kan. 1997) (quoting Kan. Stat. Ann. § 59-3002, which defines “disabled
persons”). Adopting the magistrate’s report and recommendation, the district
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court found Storts was unable to meet the essential requirements of her personal
health and safety, and therefore “incapacitated,” Kan. Stat. Ann. § 60-515(a),
during her hospitalization from June 27 until July 2, 1994. Because Storts
commenced her claim on May 19, 1995, less than one year from July 2, 1994, the
district court held her claim was not time-barred as a matter of law.
Hardee’s argues the district court’s holding was incorrect because
“[i]ntentional, short-term, self-induced ‘incapacitations’ [such as a drug and
alcohol overdose] were not intended by the Kansas Legislature to extend the
statute of limitations.” (Appellant’s Br. at 30). This argument is foreclosed by
the Kansas Supreme Court’s decision in Biritz, 942 P.2d at 29-30. In that case,
the defendant argued the plaintiff was not incapacitated within the meaning of
§ 60-515 because he had voluntarily taken the pain medication which had
rendered him incapacitated and his incapacitation lasted only forty-eight hours.
See id. The court rejected these arguments, holding that “[t]he statute tolls the
statute of limitations for any person who is incapacitated at the time the cause of
action accrues or at any time during the period the statute of limitations is running
. . . . The statute is not ambiguous and clearly applies to any disability.” Id. at 30
(emphasis in original). We agree with the district court that § 60-515, as
interpreted by Biritz, applies to all incapacitated persons irrespective of their
cause of the disability. As for duration, while it might be less likely that someone
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who is disabled for only a brief time would meet the definition of incapacity
adopted by Biritz, 942 P.2d at 28-29, the undisputed evidence is more than
sufficient to support the district court’s finding that Storts was unable to meet the
essential requirements of her health and safety. Therefore, summary judgment in
favor of Storts on the question of the application of the statute of limitations was
proper.
B
Hardee’s has submitted to this court a motion to certify to the Kansas
Supreme Court the question of whether an incapacitation induced by voluntary
actions can toll the statute of limitations pursuant to § 60-515. The district court
denied a similar motion. While it should be apparent from the preceding
discussion that Biritz settles this issue, we pause to set forth in some detail the
standard for certification because Hardee’s has requested certification of several
issues addressed in this opinion.
The rule of this court provides that “[w]hen state law permits, this court
may: (1) certify a question arising under state law to that state’s highest court
according to that court’s rules; and (2) stay the case in this court to await the state
court’s decision of the certified question.” 10th Cir. R. 27.1(A). State law
permits the Kansas Supreme Court to
answer questions of law certified to it by . . . a court of appeals of
the United States [or] a United States district court . . . , when
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requested by the certifying court if there are involved in any
proceeding before it questions of law of this state which may be
determinative of the cause then pending in the certifying court and as
to which it appears to the certifying court there is no controlling
precedent in the decisions of the supreme court and the court of
appeals of this state.
Kan. Stat. Ann. § 60-3201. While certification is appropriate “where the legal
question at issue is novel and the applicable state law is unsettled,” Allstate Ins.
Co. v. Brown, 920 F.2d 664, 667 (10th Cir. 1990), it is never compelled, see
Lehman Brothers v. Schein, 416 U.S. 386, 390-91 (1974). Furthermore, “under
the diversity statutes the federal courts have the duty to decide questions of state
law even if difficult or uncertain.” Copier v. Smith & Wesson Corp., 138 F.3d
833, 838 (10th Cir. 1998) (citing Meredith v. Winter Haven, 320 U.S. 228, 235
(1943)). Finally, “[w]e generally will not certify questions to a state supreme
court when the requesting party seeks certification only after having received an
adverse decision from the district court.” Massengale v. Oklahoma Bd. of Med.
Exam’rs in Optometry, 30 F.3d 1325, 1331 (10th Cir. 1994) (citing Armijo v. Ex
Cam, Inc., 843 F.2d 406, 407 (10th Cir. 1988)); see also Harvey E. Yates Co. v.
Powell, 98 F.3d 1222, 1229 n.6 (10th Cir. 1996) (denying a motion for
certification because the moving party had removed the case to federal court, had
not moved for certification below, and had received an adverse ruling).
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In light of Biritz, the issue of voluntary incapacitation is neither novel nor
unsettled. See 10th Cir. R. 27.1(A). Therefore, we deny Hardee’s’ motion for
certification of that issue.
III
The district court denied Hardee’s’ motion for judgment as a matter of law,
relying on its findings at the summary judgment stage that the evidence was
sufficient to establish that Hardee’s owed and breached a duty to provide security
measures for Storts’s safety. We review de novo the district court’s denial of a
motion for judgment as a matter of law. See Vining v. Enterprise Fin. Group,
Inc., 148 F.3d 1206, 1213 (10th Cir. 1998). Construing all evidence and the
inferences therefrom in the light most favorable to the non-moving party, we will
reverse such a ruling “only if the evidence points but one way and is susceptible
to no reasonable inferences supporting the party opposing the motion.” Id. (citing
Haines v. Fisher, 82 F.3d 1503, 1510 (10th Cir. 1996)). 1
1
Hardee’s also asserts that it was error for the district court to deny its
motion for summary judgment on the question of duty to provide security. We
need not address this argument. “Even if . . . summary judgment was erroneously
denied, ‘the proper redress would not be through appeal of that denial but through
subsequent motions for judgment as a matter of law . . . and appellate review of
those motions if they were denied.’” Medlock v. Ortho Biotech, Inc., 164 F.3d
545, 549 n.1 (10th Cir. 1999) (quoting Roberts v. Roadway Express, Inc., 149
F.3d 1098, 1103 (10th Cir. 1998)).
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A
The Kansas Supreme Court established the standards for determining when
the owner of a business has a duty to provide security for its patrons in Seibert v.
Vic Regnier Builders, Inc., 856 P.2d 1332 (Kan. 1993), a premises liability action
arising out of an assault in a shopping center parking lot.
In determining whether there is a duty owed, we start with two
general rules. The owner of a business is not the insurer of the safety
of its patrons or customers. The owner ordinarily has no liability for
injuries inflicted upon patrons or customers by the criminal acts of
third parties in the business’ parking lot, as the owner has no duty to
provide security. Such a duty may arise, however, where
circumstances exist from which the owner could reasonably foresee
that its customers have a risk of peril above and beyond the ordinary
and that appropriate security measures should be taken.
Id. at 1338. Whether a risk of peril above and beyond the ordinary is reasonably
foreseeable is determined based on the “totality of the circumstances.” Id. at
1339. The circumstances to be considered must “have a direct relationship to the
harm incurred” and “must relate specifically to the foreseeability of the attack on
the plaintiff.” Id. at 1339, 1340. “Prior incidents remain perhaps the most
significant factor, but the precise area of the parking lot is not the only area which
must be considered. If the parking lot is located in a known high crime area, that
factor should be considered.” Id. at 1339. Seibert’s discussion of 62A Am. Jur.
2d, Premises Liability § 520, suggests that the “place and character of the
business [and the business owner’s] past experience” are additional circumstances
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that can be considered. Id. at 1336 (citing Restatement (Second) of Torts § 344
(1965)).
[T]he duty to provide security and the level of such security must be
reasonable—that includes the economic feasibility of the level of
security. . . . [I]f because of the totality of the circumstances the
owner has a duty to take security precautions by virtue of the
foreseeability of criminal conduct, such security measures must also
be reasonable under the totality of the circumstances.
Id. at 1339-1340.
In general, the determination of duty is a matter of law. See Nero v.
Kansas State Univ., 861 P.2d 768, 772 (Kan. 1993). At the same time,
“‘[w]hether risk of harm is reasonably foreseeable is a question to be determined
by the trier of fact. Only when reasonable persons could arrive at but one
conclusion may the court determine the question as a matter of law.’” Id. at 779
(quoting Kansas State Bank & Tr. Co. v. Specialized Transp. Servs., Inc., 819
P.2d 587 (Kan. 1991)). Seibert imposes on Hardee’s a duty to provide reasonable
and appropriate security if it is reasonably foreseeable, based on the totality of the
circumstances, that “its customers have a risk of peril above and beyond the
ordinary.” Seibert, 856 P.2d at 1338. Because Hardee’s’ fundamental argument
is that the attack on Storts was not foreseeable, we will reverse only if that is the
sole conclusion a reasonable juror could reach.
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B
As a preliminary matter, Hardee’s moves this court to certify to the Kansas
Supreme Court two questions related to a business owner’s duty to provide
security. The first is “whether Kansas’ ‘totality of the circumstances test’ rule
should be abandoned in favor of the ‘prior similar incidents test’ or modified to
clarify the requisite degree of foreseeability . . . .” (Appellant’s Mot. for
Certification at 2.) That question is entirely inappropriate for certification. In
Seibert, the Kansas Supreme Court expressly rejected the prior similar incidents
test in favor of the totality of the circumstances test. Seibert, 856 P.2d at 1338-
39. The purpose of certification is to permit the state court to resolve novel and
unsettled questions of state law, not to abandon or modify settled law.
The second question posed is whether the totality of the circumstances can
include prior criminal attacks that occurred in an area as widespread as the entire
Kansas Turnpike. We deny certification of this question because it was first
posed after the moving party had been subject to an adverse decision in district
court, see Massengale, 30 F.3d at 1331, and because the totality of the
circumstances test as set forth in Seibert is broad enough to encompass such
evidence. A defendant is of course free to attempt to persuade a jury to accord
such evidence little weight.
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C
The question we must resolve is whether the evidence presented at trial,
viewed in the light most favorable to Storts, demonstrates that under the totality
of the circumstances having a direct relationship to her abduction, Hardee’s could
have reasonably foreseen that its customers were exposed to a risk of peril above
and beyond the ordinary and that it failed to provide reasonable security in light
of such a risk.
Seibert instructs us that “perhaps the most significant” circumstance
tending to demonstrate the foreseeability of harm is prior incidents of crime.
Seibert, 856 P.2d at 1339. Although Storts cannot identify a prior abduction from
this particular Hardee’s location, Seibert rejects the need for identical prior
incidents. Id. at 1339-40. Rather, we examine the record for evidence of prior
incidents having “a direct relationship to the harm incurred.” Id. at 1339. There
was no evidence of violent crime at the Belle Plaines Hardee’s in the three years
preceding the attack on Storts, although there was a police report of a man
arrested at the nearby Belle Plaines service station for aggravated assault using a
gun. There was evidence of a shooting and a murder on the turnpike near the
Belle Plaines service area. Evidence of crimes at other Hardee’s restaurants and
other service areas along the turnpike was more abundant: numerous robberies,
one involving an armed kidnaping and another an assault in a bathroom, and
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various disturbances and fights, including an attack on a Hardee’s patron in a
service area parking lot. A victim of an abduction and rape reported the crime at
the Lawrence service area Hardee’s. Elsewhere on the turnpike there was
evidence of an assault on a trooper with intent to kill and an arrest for battery of
an officer.
The second circumstance relevant to foreseeability specifically endorsed in
Seibert is whether the business is located in a high crime area. See id. Based on
reports of crimes along the Kansas Turnpike, a range of other factors, and their
personal experience, experts Michael Witkowski and Fred DelMarva testified that
the risk of crime, including abduction, at the Belle Plaines Hardee’s was greater
than usual. While Hardee’s emphasizes that these experts were unable to provide
concrete data comparing the rate of crime along the Turnpike to other areas, the
totality of the circumstances test does not require comparative statistical evidence
to show foreseeability “above and beyond the ordinary.” Seibert, 856 P.2d at
1338.
The nature and location of the restaurant are additional circumstances that
Seibert suggests are appropriate to consider under the totality of the
circumstances test. See id. at 1336. There was substantial evidence tending to
prove that fast food restaurants generally, and turnpike locations in particular,
faced a higher risk of crime than ordinary and that this was well known in the
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industry. Witkowski testified that the most frequent area of criminal attacks at
fast food restaurants was their parking lots. Evidence established that several
factors related to the location of the Belle Plaines Hardee’s increased the risk of
criminal activity there: It was located on the Kansas Turnpike, a crime corridor
with a high crime rate; it experienced an exceptionally high volume of customers;
and the parking lot was isolated, lacking natural surveillance otherwise afforded
by the presence of other businesses and activities. Two managers of the Belle
Plaines Hardee’s testified that they were aware of and concerned about security
risk problems in the parking lot and believed the rear of the restaurant posed a
special risk.
There was also considerable testimony concerning the appropriateness of
security measures at the Belle Plaines Hardee’s and the feasibility of enhanced
measures, both of which are factors relevant to a foreseeability analysis. See
Seibert, 856 P.2d at 1339-40. Plaintiff’s experts testified that surveillance, either
natural surveillance from surrounding businesses and activities, surveillance from
within the restaurant through windows, or the use of surveillance cameras, are
significant crime deterrents used in most Hardee’s and other fast food restaurants.
In some Hardee’s restaurants, the crime rate, primarily armed robberies, had
fallen by as much as 84% after surveillance cameras were installed. At Belle
Plaines, the area where Storts parked and was abducted was at the rear of the
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restaurant near the trash dumpsters and an employee entrance. The employee
entrance had no window. In order to get to the closest customer entrance, a
recessed door, Storts had to walk along a windowless wall. Plaintiff’s experts
testified that this parking area surprisingly had no natural surveillance and fell far
below industry standards. They suggested that Hardee’s should have installed
security cameras, windows facing the parking area, and/or a window or peephole
in the rear employee entrance, and they testified that such measures would have
been cost-effective. The convenience store at the opposite end of the Belle
Plaines service area had installed surveillance cameras.
Whether this evidence is adequate to support a jury determination of
liability under Seibert can be determined by measuring it against the evidence
presented in two Kansas cases holding, as a matter of law, that a property owner
did not breach its duty to provide security and therefore was not liable for injuries
to guests caused by third parties. In Gragg v. Wichita State Univ., 934 P.2d 121,
135 (Kan. 1997), the Kansas Supreme Court held that a university could not have
reasonably foreseen the shooting of an individual on its campus following a
festival and that the security provided was adequate. Applying Seibert, the court
found evidence of a student shot during a different festival on a different part of
campus two years earlier and of a high crime rate in a neighborhood bordering the
campus to be insufficient to overcome a motion for summary judgment. See id.
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This conclusion relied in significant part on the fact that over 100 security
personnel were present at the festival and that “the security and lighting were
adequate.” Id. At issue in Weroha v. Craft, 951 P.2d 1308 (Kan. Ct. App. 1998),
was a business owner’s liability for an assault inside a pinball arcade. The court
granted summary judgment in favor of the business owner, finding there was no
evidence that the arcade was in a high crime area and no basis from which to infer
that violent activity had occurred previously in the arcade or that pinball arcades
in general experience a high rate of crime. See id. at 1313-14.
The evidence of foreseeability in the present case, although not
overwhelming, is more substantial than the evidence in Gragg or Weroha. Unlike
either of those cases, the record before us contains evidence that the Kansas
Turnpike, and other Hardee’s along the Turnpike, had been the sites of multiple
violent crimes in the preceding three years. Furthermore, unlike Weroha, the
evidence demonstrates that fast food restaurants experience a high rate of crime,
the Belle Plaines Hardee’s and its parking lot were especially vulnerable, and the
foreseeable risk of crime at that location was greater than usual. Finally, unlike
Gragg, the jury heard opinion testimony that reasonable, widely-used security
measures were not employed and the security in place was below industry
standards. Under the totality of the foregoing circumstances, and considering the
evidence in the light most favorable to Storts, we hold a reasonable juror could
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conclude that Hardee’s should have foreseen a risk of harm to its patrons above
and beyond the ordinary and nevertheless failed to take reasonable security
measures to deter such harm.
IV
In addition to the duty to provide security, Storts alleged that Hardee’s
breached its duty of reasonable care by failing to warn her of a dangerous
condition on its property. Hardee’s now argues the district court’s instructions to
the jury on both duties misstated the law, were unsupported by the evidence, and
had prejudicial titles. We review de novo the district court’s instructions
to determine whether, as a whole, the instructions correctly stated the
governing law and provided the jury with an ample understanding of
the issues and applicable standards. Assuming the instruction[s]
properly sets forth the relevant law, we review the district court’s
decision to give the particular instruction[s] for an abuse of
discretion.
Kinser v. Gehl Co., 184 F.3d 1259, 1272 (10th Cir. 1999) (internal quotations and
citations omitted). An instruction should not be given unless supported by
sufficient competent evidence. See Farrell v. Klein Tools, Inc., 866 F.2d 1294,
1297 (10th Cir. 1989). Reversal is required if submission of the erroneous
instruction was prejudicial. See id. at 1298. 2
2
In a federal diversity case, the substance of jury instructions is governed
by state law but the grant or denial of an instruction as a matter of procedure is
governed by federal law. See Farrell, 866 F.2d at 1296.
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A
The two duty instructions were entitled “Duty to Provide Security” and
“Duty to Warn of a Dangerous Condition.” (III Appellant’s App. at 516, 518.)
During discussion of the instructions, Hardee’s objected to the duty to provide
security title. The district court explained the reason for the title was to make
clear that two separate duties were at issue. The court then asked if Hardee’s
“had a problem with that,” to which Hardee’s responded “No, sir.” (IV Tr. at
954.) We find that this constitutes a waiver of objection to the titles, and
therefore this issue was not properly preserved for appellate review. See Fed. R.
Civ. P. 51. Alternatively, insofar as this comment can be construed, as Hardee’s
argues, as simply expressing “an understanding of the Court’s position,”
(Appellant’s Reply Br. at 29), Hardee’s fails to identify where in the record it
distinctly stated the “grounds of the objection,” Fed. R. Civ. P. 11. We further
hold that the instruction titles do not constitute plain error because they are not
“‘patently plainly erroneous and prejudicial.’” United Drilling Co. v. Enrol Oil &
Gas Co., 108 F.3d 1186, 1190 (10th Cir. 1997) (quoting Moe v. Avions Marcel
Dassault-Breguet Aviation, 727 F.2d 917, 924 (10th Cir. 1984)).
B
The instruction on the duty to provide security stated in part:
The operator of a business has a duty to provide security for
customers on the premises when circumstances exist from which the
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operator could reasonably foresee there is a risk of harm above and
beyond the ordinary and that appropriate security measures should be
taken.
(III Appellant’s App. at 516.) Hardee’s contends the court should have instructed
the jury that any foreseeable risk of harm must be “substantially” above and
beyond the ordinary. In support of this contention, it relies on the statement in
Seibert that the duty to provide security arises “only where the frequency and
severity of criminal conduct substantially exceed the norm or where the totality of
the circumstances indicates the risk is forseeably high.” 942 P.2d at 1339.
However, elsewhere in Seibert, somewhat different language is used: The duty
arises “where circumstances exist from which the owner could reasonably foresee
that its customers have a risk of peril above and beyond the ordinary . . . .” Id. at
1338. The instruction given by the district court simply adopts one of two
formulations of the same concept. Furthermore, the formulation chosen is the one
that appears in the Kansas Supreme Court’s syllabus of the case, see id. at 540,
and the Kansas Pattern Jury Instructions, see PIK Civil 3d 126.35. See also Webb
v. ABF Freight Sys. Inc., 155 F.3d 1230, 1248 (10th Cir. 1998) (holding that “no
particular form of words is essential if the instruction as a whole conveys the
correct statement of the applicable law”) (internal quotations and citation
omitted). We conclude the instruction on the duty to provide security correctly
stated the applicable law, provided the jury an ample understanding of the
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applicable standards, and, as discussed above in Part III.B, was supported by
sufficient competent evidence.
C
The instruction on the duty to warn of a dangerous condition stated:
An operator of a place of business which is open to the public owes a
duty to the customer to use reasonable care, under all of the
circumstances, in keeping the business place safe. This duty applies
to all areas in the business used by the customer. The operator of the
business must warn the customer of any dangerous condition which it
knows about or should know about if it had exercised reasonable care
in tending to the business.
The operator of a business has no duty to warn a customer of any
condition known to the customer or which the customer should
discover in the exercise of reasonable care.
(III Appellant’s App. at 518.)
The propriety of this instruction is the final question that Hardee’s requests
we certify to the Kansas Supreme Court, and once again we deny that request.
Hardee’s did not request certification of this question prior to the adverse
judgment, and, as discussed presently, it is resolved by controlling precedent. See
Massengale, 30 F.3d at 1331.
The duty expressed in this instruction, although an accurate statement of
the law, is not applicable to this case. Rather, it applies when a physical
condition of the business premises is the direct cause of the plaintiff’s injury.
The pattern jury instruction upon which this instruction is based cites as authority
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Thompson v. Beard & Gabelman, Inc., 216 P.2d 798 (Kan. 1950). See PIK Civil
3d 126.03. In that case, the plaintiff was injured when, after entering what she
believed to be a store dressing room, she fell down a dimly-lit stairway. See id. at
800. The court described the store owner’s duty in language almost identical to
that in the instruction before us. See id. Similarly, every other Kansas case
reciting this standard of care involved a physical condition of the premises that
was the direct cause of the plaintiff’s injuries. See, e.g., Lyons v. Hardee’s Food
Sys., Inc., 824 P.2d 198, 199, 204 (Kan. 1992) (the plaintiff tripped on a tree
grate on the sidewalk area outside a restaurant); Noland v. Sears, Roebuck & Co.,
483 P.2d 1029, 1031, 1032 (Kan. 1971) (the plaintiff fell down stairs lacking
handrails); Smith v. Mr. D’s, Inc., 415 P.2d 251, 253 (Kan. 1966) (the plaintiff
slipped on a piece of lettuce). The evidence in this case tended to demonstrate
that a lack of windows or surveillance created an environment in which criminal
attack was more likely to occur. This simply is not the sort of dangerous
condition that gives rise to a duty to warn of a dangerous condition under Kansas
law.
As Storts points out, there are situations in which Kansas law recognizes a
duty to warn and protect in the context of criminal assaults. See, e.g., Gould v.
Taco Bell, 722 P.2d 511 (Kan. 1986). The circumstances giving rise to such a
duty, however, are materially different from those in this case. While Gould held
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that a business proprietor’s duty to warn and protect customers against reasonably
foreseeable dangers can include the duty to forestall or prevent an assault against
a customer by a third party, the Gould court specifically limited such a duty: It
“‘does not arise until the impending danger becomes apparent to him, or the
circumstances are such that a careful and prudent person would be put on notice
of the potential danger.’” Id. at 515 (quoting Kimple v. Foster, 469 P.2d 281, 283
(Kan. 1970)). The record in this case is completely void of evidence that
Hardee’s or any of its employees or agents knew or should have known that the
three men would rob, abduct, or otherwise assault Storts. Indeed, Storts does not
even allege that Hardee’s could or should have intervened in her abduction.
Seibert, clearly the more factually analogous case, distinguishes Gould and
Kimple on precisely the same grounds. 856 P.2d at 1338 (“Neither the premises
owner nor any of its employees were aware of the presence of the plaintiff or her
attackers or that an attack was occurring.”). Moreover, to the extent the duty to
warn of dangerous condition instruction purported to articulate the duty described
in Gould and Kimple, it misstated the law because it did not require the jury to
find that Hardee’s failed to forestall or prevent an apparent impending danger,
namely an attack by third parties.
Similarly, Nero, 861 P.2d at 768, does not support the application of the
duty to warn of a dangerous condition instruction to this case. In Nero, a
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university student was assaulted by a fellow student in a common area of their
dorm. See id. at 772. The court held that “a university has a duty of reasonable
care to protect [or warn] a student against certain dangers, including criminal
actions against a student by another student or third party if the criminal act is
reasonably foreseeable and within the university’s control.” Id. at 780. Because
the university knew the assailant had been charged with rape three weeks earlier,
and because it placed the assailant in a coed dorm with the victim, the court
concluded that the foreseeability of the attack was a factual issue. See id.
By contrast, in the instant case, Storts does not allege that Hardee’s knew
her abductors were in the parking lot, let alone inclined towards violence, or had
control over their presence. As the Seibert court stated when distinguishing
Gould and Kimple:
Rather, the liability sought to be imposed herein is predicated upon
the frequency and severity of prior attacks against different patrons
by presumably different attackers at different times and in different
areas . . ., plus the totality of the circumstances making the attack
upon the plaintiff or some other business invitee foreseeable to the
defendant, who then had a duty to take appropriate security action to
prevent or make less likely the same from occurring.
856 P.2d at 1338. That Nero is analogous to Gould and Kimple but not Seibert is
reinforced by the fact that the majority cites to Gould but not Seibert, see Nero,
861 P.2d at 779-80, even though Seibert was decided less than two months earlier
and is discussed by the dissent, see id., 861 P.2d at 784-85 (Six, J., dissenting).
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It is the duty described in Seibert, and not the duty described in Thompson,
Gould, or Nero, that applies in this case. Therefore, the district court erred when
it submitted to the jury the duty to warn of a dangerous condition instruction.
“Generally, where a jury has returned a general verdict and one theory of
liability upon which the verdict may have rested was erroneous, the verdict cannot
stand because one cannot determine whether the jury relied on the improper
ground.” Anixter v. Home-Stake Prod. Co., 77 F.3d 1215, 1229 (10th Cir. 1996)
(citing Sunkist Growers, Inc. v. Winkler & Smith Citrus Prods. Co., 370 U.S. 19,
29-30 (1962)); see also Morrison Knudsen Corp. v. Fireman’s Ins. Fund Co., 175
F.3d 1221, 1254 (10th Cir. 1999); Franklin v. Northwest Drilling Co., Inc., 524
P.2d 1194, 1203 (Kan. 1974). This case was submitted to the jury on two
theories. Submission of the duty to provide security theory was proper, but
submission of the duty to warn of a dangerous condition theory was erroneous.
Because the verdict form did not specify upon which theory the verdict rested, we
cannot say “‘with absolute certainty’ that the jury was not influenced by the
submission of the improper or erroneous instruction.” Anixter, 77 F.3d at 1229
(quoting Farrell, 866 F.2d at 1299-1301 (10th Cir. 1989)). Therefore, we reverse.
V
The final issue presented by Hardee’s is whether the district court erred by
admitting irrelevant and unreliable expert testimony. While the precise nature of
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the objection is not entirely clear, Hardee’s appears to contest both the foundation
for the expert testimony as well as the relevance of particular statements. We
address this issue because it is likely to recur on re-trial.
Abuse of discretion is the proper standard for review of a district court’s
decision to review or exclude expert testimony. See General Elec. Co. v. Joiner,
522 U.S. 136, 141 (1997). In Kumho Tire Co. v. Carmichael, 526 U.S. 137, 119
S. Ct. 1167, 1174-75 (1999), the Supreme Court held that a district court has a
gatekeeping obligation to ensure the relevance and reliability of all expert
testimony when the data, principles, methods, or application upon which the
testimony is based are called into question. See also Kinser, 184 F.3d at 1271.
“However, the Court also held that trial courts have great latitude in determining
the methods by which it tests the reliability of expert testimony. Indeed, the
abuse of discretion standard ‘applies as much to the trial court’s decisions about
how to determine reliability as to its ultimate conclusion.’” United States v.
Charley, 189 F.3d 1251, 1261 n.11 (10th Cir. 1999) (quoting Kumho Tire, 119 S.
Ct. at 1176). “Even though the trial court in this case did not have the benefit of
Kumho Tire’s direction, its evidentiary decisions do not warrant reversal if it
determined, in some apparent manner, that the expert testimony it admitted was
reliable.” Id. (citing Kumho Tire, 119 S. Ct. at 1179). In the absence of adequate
findings on an expert’s qualifications, we conduct a de novo review of the entire
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record to determine whether that omission is harmless. See Kinser, 184 F.3d at
1271.
Hardee’s first challenged the relevance and reliability of Storts’s experts
when their affidavits were submitted in response to its motion for summary
judgment on the question of duty, alleging that the opinions expressed therein
would not be admissible at trial as required by Fed. R. Civ. P. 56(e). The court
found that the backgrounds of experts Mellard and DelMarva qualified them to
express opinions, based on their experience and training, as to the foreseeability
of crime at the Belle Plaines Hardee’s. With regard to Witkowski, the district
court conducted a separate hearing to determine the reliability of the theory of
Crime Prevention Through Environmental Design (“CPTED”), upon which many
of his opinions were based. The appendices do not contain the district court’s
ruling on the reliability of Witkowski’s testimony, but it is apparent that he was
permitted to testify as an expert on CPTED.
The district court did not abuse its discretion in determining that the
experts’ proffered testimony was reliable and relevant. While it did not conduct a
separate hearing for Mellard and DelMarva, it did review evidence of their
qualifications. Our own review confirms its conclusions. Mellard has an
extensive background in law enforcement and crime prevention and has personal
knowledge of the Kansas Turnpike, and DelMarva has extensive background in
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the restaurant management and security, particularly with fast food restaurants.
This knowledge and experience supports the reliability of their relevant testimony
concerning whether Hardee’s should have foreseen, and taken steps to reduce the
likelihood of, criminal attacks at Belle Plaines. With respect to Witkowski, Storts
presented, and Hardee’s failed to refute, evidence that CPTED is widely accepted
in the security field and was employed by Hardee’s as part of its security
program. This theory served as the basis for Witkowski’s relevant opinion that
the likelihood of the attack on Storts could have been reduced by improved
surveillance.
With respect to Hardee’s challenges to individual statements made by the
experts, Hardee’s rarely indicates where in the record we can find the offending
testimony and the objections thereto. See United States v. Rodriguez-Aguirre,
108 F.3d 1228, 1237 n.8 (10th Cir. 1997) (holding that the appellant must provide
specific citations in support of its allegations that the trial court admitted
prejudicial evidence). We thus address only those statements identified with
sufficient particularity.
On two occasions, Hardee’s objected to expert testimony on the ground that
it invaded the province of the jury: when Witkowski stated the abduction of Storts
“was foreseeable based upon other types of crimes throughout the Hardee’s chain
of restaurants and also crime along the contiguous highway on which it was
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located” (I Tr. at 172); and when Mallard stated, in effect, that it was
unreasonable for a company to look only at convictions, and not incident reports,
when assessing the foreseeability of criminal acts. Federal Rule of Evidence
704(a) permits expert testimony that “embraces an ultimate issue to be decided by
the trier of fact,” but experts are still prohibited from testifying to “legal
conclusions drawn by applying the law to the facts,” A.E., by and through Evans
v. Independent Sch. Dist. No. 25, 936 F.2d 472, 476 (10th Cir. 1991) (citing
United States v. Jensen, 608 F.2d 1349, 1356 (10th Cir. 1979); Frase v. Henry,
444 F.2d 1228, 1231 (10th Cir. 1971)). Mallard and Witkowski’s opinions on
reasonableness and foreseeability, respectively, do not offend this prohibition.
They do not “‘merely tell the jury what result to reach,’” nor are they “‘phrased in
terms of inadequately explored legal criteria.’” Specht v. Jensen, 853 F.2d 805,
807 (10th Cir. 1988) (en banc) (quoting Fed. R. Evid. 704 advisory committee’s
note). Following Witkowski’s statement, he was questioned in detail concerning
the number and types of crimes occurring at other Hardee’s and along the Kansas
Turnpike. Mallard’s opinion was preceded and followed by a discussion of the
reasons that conviction statistics alone under-represent criminal activity, and an
assertion that the standard in the security industry is to use incident reports.
Moreover, the district court repeatedly warned the jury that the ultimate issues of
law and fact were for it to determine. We have held that it is not an abuse of
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discretion to admit expert testimony embracing ultimate issues of fact when the
expert
explained the bases for his opinions in sufficient detail to permit the
jury to independently evaluate his conclusions. The legal terms used
are not so complex or shaded with subtle meaning as to be beyond
the understanding of the average person, and [the expert’s] use of
those terms did not conflict with the court’s instructions. Finally the
court instructed the jury that it was free to entirely disregard an
expert’s opinion “if you should conclude that the reasons given in
support of the opinion are not sound.”
Karns v. Emerson Elec. Co., 817 F.2d 1452, 1459 (10th Cir. 1987) (citations
omitted). The testimony and cautionary instructions at issue here are qualitatively
similar to those in Karns. Therefore, the district court properly overruled
Hardee’s’ objections to this opinion testimony.
The district court’s decision to admit evidence of “other crimes on the
turnpike of a similar nature during a similar time period” also was not an abuse of
discretion. (I Tr. at 126.) Hardee’s argues that “distinct crimes occurring in
distinct locations and under dissimilar circumstances” were not relevant to
foreseeability. (Appellant’s Br. at 50.) Seibert’s totality of the circumstances
test, however, only requires that the circumstances considered bear “a direct
relationship to the harm incurred.” Seibert, 856 P.2d at 1339. It does not require
that prior crimes be identical in all respects. See id. We agree with the district
court that violent crimes occurring along the turnpike in the three years preceding
the attack on Storts were sufficiently similar to the crime at issue to be considered
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under the totality of the circumstances test. There is little question that the more
similar the previous incident the more probative it is of the foreseeability of the
later crime, but this consideration goes to weight, not admissibility. Therefore,
the district court did not abuse its discretion in finding the testimony relevant.
VI
Having addressed Hardee’s’ claims on appeal, we now turn to the three
assignments of error raised by Storts in her cross appeal: instructing the jury on
contributory negligence; granting summary judgment for Hardee’s on her
undertaking of a duty theory; and granting summary judgment for Hardee’s on her
contract claim.
A
“The question of contributory negligence is ordinarily a question for the
jury and is to be determined by the court only when the facts are such that
reasonable minds might not differ.” Gardner v. Pereboom, 416 P.2d 67, 72 (Kan.
1966) (citing In re Estate of Lloyd, 290 P.2d 817 (Kan. 1955)). In addition, an
instruction should not be given unless supported by sufficient competent
evidence. See Farrell, 866 F.2d at 1297. When determining whether the question
of comparative negligence should be submitted to the jury, the evidence must be
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considered in the light most favorable to the defendant. See Cox v. Lesko, 953
P.2d 1033, 1038 (Kan. 1998). 3
Considering the evidence in the light most favorable to Hardee’s, we find
there was sufficient competent evidence to support the submission of the
comparative fault question to the jury. Storts, like everyone else, has a general
duty to exercise ordinary or reasonable care to avoid harm to herself and others.
See Stingley v. Allison, 436 P.2d 387, 389 (Kan. 1968). There is some evidence
that Storts breached this duty and that that breach was a cause of her abduction:
She approached two unknown men standing next to an unusually positioned car,
with a third man at the wheel, in an area of a remote parking lot hidden from
view, without looking to see if there was anyone else in the parking lot. We
cannot say it was error to let the jury determine whether a reasonable person
would have taken some precautionary measures in that situation.
B
We review de novo the district court’s grant of Hardee’s’ motion for
summary judgment on the issues of undertaking of duty and breach of contract.
See Wolf v. Prudential Ins. Co., 50 F.3d 793, 796 (10th Cir. 1995). Summary
judgment is appropriate “if the pleadings, depositions, answers to interrogatories,
3
Contrary to Storts’s assertion, Hardee’s’ closing argument cannot be
fairly read as waiving the comparative fault argument or admitting that Storts was
not negligent.
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and admissions on file, together with the affidavits, if any, show that there is no
genuine issue as to any material fact and that the moving party is entitled to
judgment as a matter of law.” Fed. R. Civ. P. 56(c).
In Schmeck v. Shawnee, 651 P.2d 585, 596 (1982), the Kansas Supreme
Court adopted the concept of tort liability for the undertaking of duty as defined
by the Restatement (Second) of Torts § 324A (1965):
One who undertakes, gratuitously or for consideration, to render
services to another which he should recognize as necessary for the
protection of a third person or his things, is subject to liability to the
third person for physical harm resulting from his failure to exercise
reasonable care to protect his undertaking, if
(a) his failure to exercise reasonable care increases the risk of such
harm, or
(b) he has undertaken to perform a duty owed by the other to the
third person, or
(c) the harm is suffered because of reliance of the other or the third
person upon the undertaking.
“In all the cases [where § 324A was held to create a duty] there was some duty by
another to a third person assumed by the party sought to be held liable which,
when the duty was breached, led to the injury of the third person.” Gooch v.
Bethel A.M.E. Church, 792 P.2d 993, 1000 (Kan. 1990). In order to assume a
duty under § 324A, the defendant must perform an affirmative act or enter into an
agreement. “Without an affirmative act or an agreement, there is no duty owed
under § 324A.” P.W. v. Kansas Dep’t of Soc. & Rehabilitative Servs., 877 P.2d
430, 435 (Kan. 1994). Thus, Storts must demonstrate a genuine issue of material
-34-
fact as to whether Hardee’s assumed a duty owed to Storts by a third party
through some affirmative act or agreement.
Storts argues that Hardee’s undertook a duty to provide security by virtue
of its internal policies and its lease agreement with the KTA. Hardee’s’ internal
policies clearly do not provide a basis for § 324A liability. By adopting those
policies, Hardee’s did not assume a duty owed to Storts, or the public at large, by
a third party. Nor did Hardee’s undertake a duty to protect Storts from attacks by
third parties by entering into the lease with the KTA. Storts relies on two
provisions of the lease requiring Hardee’s to maintain the safety of the property
“in a manner befitting the Turnpike.” (II Appellee’s Supp. App. at 273, 284.)
Parties are presumed to contract in light of existing law, and we will not interpret
a contract to impose duties exceeding those imposed by law unless such a
heightened duty is apparent from the language of the contract. See Schoke v.
Franklin, 633 P.2d 1151, 1153 (Kan. Ct. App. 1981). We agree with the district
court that the contract provisions requiring maintenance of safety did not impose
on Hardee’s duties exceeding those otherwise imposed on business proprietors by
Kansas law. See Storts, 919 F. Supp. at 1519. Therefore, Storts’s § 324A claim
was properly dismissed on summary judgment.
For similar reasons, we hold that the district court properly granted
summary judgment in favor of Hardee’s on Storts’s breach of contract claim.
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Storts alleged that she was an intended third party beneficiary of the lease
between Hardee’s and the KTA and that Hardee’s had breached that contract by
failing to keep the premises safe. Even if we assume Storts was an intended third
party beneficiary of the lease, we agree with the district court that the contract
does not impose a duty to keep the premises safe greater than that imposed by
law. See Storts, 919 F. Supp. at 1519-20. Therefore, Storts’s claim sounds in
tort, not contract. Cf. Young v. Kansas State Park & Resources Auth., 627 P.2d
384, 385-88 (Kan. Ct. App. 1981).
VII
Because the district court erroneously and prejudicially submitted to the
jury instructions on the duty to warn of a dangerous condition, we REVERSE and
REMAND for further proceedings consistent with this opinion.
ENTERED FOR THE COURT
Carlos F. Lucero
Circuit Judge
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