FILED
United States Court of Appeals
UNITED STATES COURT OF APPEALS Tenth Circuit
TENTH CIRCUIT March 18, 2014
Elisabeth A. Shumaker
Clerk of Court
CLIFFORD SMITH,
Plaintiff - Appellant,
v. No. 12-6195
(D.C. No. 5:10-CV-00999-HE)
CENTRAL MINE EQUIPMENT (W.D. Okla.)
COMPANY,
Defendant - Appellee.
ORDER AND JUDGMENT *
Before HARTZ, O’BRIEN, and TYMKOVICH, Circuit Judges.
No one knows how it happened, but on the morning of February 10, 2010, Cliff
Smith found himself entwined in the auger of a truck-mounted drill rig. The accident
caused severe disabling injuries, including the loss of his right arm and leg. He brought
an action against the manufacturer of the rig, Central Mine Equipment Company (CME).
*
This order and judgment is an unpublished decision, not binding precedent. 10th
Cir. R. 32.1(A). Citation to unpublished decisions is not prohibited. Fed. R. App. P. 32.1.
It is appropriate as it relates to law of the case, issue preclusion and claim preclusion.
Unpublished decisions may also be cited for their persuasive value. 10th Cir. R. 32.1(A).
Citation to an order and judgment must be accompanied by an appropriate parenthetical
notation B (unpublished). Id.
His complaint alleged strict product liability and negligent design. He appeals from a
summary judgment in favor of CME on his strict liability claim and alleges trial errors
led to a jury verdict absolving CME’s negligence. We affirm.
BACKGROUND
A. The Drill
CME designed and manufactured the offending equipment, a CME-55 truck-
mounted auger drill, (the Drill) in 1981 and first sold it in 1982. In 1989, it was returned
as a trade-in and remained in CME’s fleet until 1992. While at its facilities, CME placed
a “wobble-switch system” on it. This system consisted of sensor rods attached to
switches. The sensor rods hung down on both sides of the Drill mechanism and were
positioned so that a person would touch the sensor rod before coming into contact with
the auger. Touching the sensor rod would open the switch, shut the unit down, and stop
the auger from turning. The Drill also had emergency switches on both the operator’s
side and the helper’s side of the Drill. When these switches were pressed, the Drill would
shut down. At the time CME sold the Drill to a Texas company in 1992, the wobble-
switch system and the emergency shut-down buttons were operational.
The Drill was sold to at least one other company before Smith’s employer,
Burgess Engineering and Testing Company (Burgess), purchased it in 1999. When
Burgess bought the Drill, the wobble-switch system and the emergency switches were no
longer operable. In 2000, Burgess sent the Drill to CME for the limited purpose of
adding an “automatic hammer.” In November 2000, CME’s quality control manager
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prepared an inspection report on the Drill and noted the wobble switches were gone.
Burgess’s owner was advised of the problem but declined to have them replaced.
B. Smith
Smith began part-time work with Burgess in 2002 as a driver and mechanic. At
that time, Burgess had two CME drill rigs—the Drill and a track mounted CME-45.
Smith was employed full-time in late 2004/early 2005. By that time, Burgess had also
acquired a used 1998 CME-75 and had ordered a new (2004 model) CME-55 (New
Drill). The 1998 CME-75 rig had wobble switches. When Smith went to CME to take
possession of the New Drill for Burgess, CME instructed him on its operation, including
instruction on the wobble-switch system.
From 2005 until the day of the accident, Smith was the head drill operator; as
such, he was responsible for the maintenance of Burgess’s four CME drill rigs. He
considered himself an experienced driller/rig operator. At some point prior to the
accident, Smith replaced one of the wobble switches on one of the other drills.
From 2005 through 2010, Smith operated the Drill over a hundred times. He
understood that all of the drills were dangerous pieces of equipment. He knew he should
not get close to the auger; it was an open and obvious danger. 1 Smith acknowledged that
wobble switches should be on every drill rig because they make the rig much safer.
1
Smith also knew the operator’s platform on the Drill had been bent at an angle
and had not been repaired.
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Despite his knowledge that the Drill lacked operational safety equipment, making it more
dangerous than it would be otherwise, he used it almost every day.
Smith does not know how he got caught in the auger and has no memory of what
happened. The last thing he remembered was having drilled to five feet and his helper,
Derek Counts, had taken a soil sample to the side of the truck for testing. Smith’s next
memory was calling his boss to tell him he would not be able to finish the job that day.
PROCEDURAL BACKGROUND
A. Summary Judgment – Strict Liability
Smith claimed CME was strictly liable because it had placed a defective product,
the Drill, in the marketplace. He also claimed CME negligently designed the Drill. Both
claims were based on the lack of a guard around the auger and CME’s failure to design
the clutch lever with a “deadman switch” to cut the power if the operator’s hand released
the lever. Both parties moved for summary judgment. Relevant here, the district judge
entered summary judgment in favor of CME on the strict product liability claim. He
concluded Smith could not show the rig was unreasonably dangerous beyond the
expectations of a foreseeable user. By doing so, it was unnecessary to decide CME’s
argument regarding assumption of risk. He denied CME’s summary judgment motion on
Smith’s negligence claim because there was a question of fact as to whether CME used
due care in designing the drill rig. In summary, the only issue submitted to the jury was
negligent design.
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B. Pre-Trial Evidentiary Rulings – Negligent Design
Prior to the negligent design trial, the judge granted, in part, CME’s motion to
exclude two sources of evidence. First, he excluded some testimony proposed by Smith’s
expert, William Munsell. Munsell was prepared to testify CME’s design was negligent
because CME did not incorporate a deadman switch and, in 1982, CME had the
technology and ability to place one on the Drill at a reasonable cost. Munsell had
developed a deadman switch which he planned to demonstrate at trial. CME sought to
have Munsell’s proposed testimony excluded because, in its view, he was not a qualified
expert, his opinions were not supported by sound scientific methodology, and his
alternative design had never been tested on a truck-mounted rig in the field. The judge
denied CME’s motion, but limited Munsell to stating his design worked in the lab;
Munsell would not be permitted to testify that his design would work in the field.
The judge also excluded evidence of events occurring after 1992, the date CME
last had control of the Drill. He determined any later events were not relevant to CME’s
liability for negligent design. Smith protested because the limitation prevented him from
examining witnesses about a 2008 accident involving a CME drill. At that time, a
Canadian rig operator was killed when he fell into an auger attached to a CME drill.
Following the accident, Dan Carrocci, the operator’s employer, designed, built, and used
a barrier guard on his three CME rigs. In 2009, Carrocci brought his design to CME and
repeatedly tried to convince CME’s president, David Neibert, to try the guard and
consider incorporating it into CME’s design. Neibert declined. In addition, Smith said
the evidence of the 2008 accident would impeach CME’s corporate witness who had
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failed to report the incident in his discovery response, even though he had testified at the
Canadian investigation into the matter.
C. Jury Instruction on Assumption of Risk
At the end of the trial, the judge instructed the jury on assumption of risk. Smith
contended the instruction was unsupported by the evidence because he had not consented
to any contact with the auger or to his subsequent harm. According to Smith, the
instruction misled the jury and allowed CME to assert an unwarranted and complete
defense to his claim.
D. Judgment as a Matter of Law – Punitive Damages
At the close of Smith’s evidence, the judge granted CME’s motion for judgment as
a matter of law on his request for punitive damages. See Fed. R. Civ. P. 50.
The jury returned a verdict for CME on the only issued submitted to it−negligent
design. Smith challenges the summary judgment ruling, the pretrial rulings, the
instruction on assumption of the risk, and the refusal to submit the punitive damages
issue to the jury.
DISCUSSION
A. Alleged Trial Errors
1. Assumption of Risk Instruction – Negligence
Smith contends the jury was misled when it was instructed on assumption of the
risk as a defense to his negligent design claim. According to Smith, CME had to submit
evidence of his consent to be harmed before CME was entitled to an instruction providing
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a complete defense. 2 “State law governs the substance of a jury instruction in a diversity
case, and federal procedure governs the grant or denial thereof.” Holt v. John Deere &
Co., Inc., 24 F.3d 1289, 1292 (10th Cir. 1994).
The Oklahoma Supreme Court has said, “[t]he touchstone” of the assumption of
risk defense in a negligence action is “consent to harm and not heedlessness or
indifference.” Thomas v. Holliday, 764 P.2d 165, 169 (Okla. 1988). As Thomas
elaborated:
What is in actuality lack of due care or heedlessness on the part of a
plaintiff is often mislabeled assumption of risk. For risk assumption to
avail as a defense to a tort claim for negligence there must either be an
express agreement, a pre-existing status between the defendant and
plaintiff, or an element of consent to the harm that is known and
appreciated by the plaintiff.
Id. at 171.
Oklahoma recognizes three situations in which assumption of risk is a complete
defense to a negligence claim. The first, primary assumption of the risk (a direct consent
to assume risk), and the second (implied primary assumption of the risk, such as
attendance at a sports event) are not at issue here. See Thomas, 764 P.2d at 168, 169 n.8.
The third, however, is “called implied secondary assumption of risk, . . . [where] the
plaintiff implicitly assumes the risk created by the plaintiff’s negligence.” Id. “Even
2
Smith does not challenge the wording of the instruction. The jury was informed
CME must prove Smith (1) “knew of the risk and appreciated the degree of danger;” (2)
he “had the opportunity to avoid the risk;” (3) he “voluntarily exposed himself to the
danger;” and (4) his “action was the direct cause of his injury.” (Appellant’s App’x
Vol. 4 at 1864.)
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though the defendant in such cases is found to be at fault, the plaintiff is barred from
recovery on the ground that he knew of the unreasonable risk created by the defendant’s
conduct and voluntarily chose to encounter that risk.” Id. As the Oklahoma court
explained, “[t]his concept is encapsulated in the maxim volenti non fit injuria, which
means: If one, knowing and comprehending the danger, voluntarily exposes himself to it,
though not negligent in so doing, he is deemed to have assumed the risk and is precluded
from recovery for the resulting injury.” Id. at 169. We apply a subjective standard,
rather than the objective “reasonable man” standard applied in negligence cases because
the defense is predicated upon the plaintiff’s “knowledge and appreciation of the danger
and voluntary assent.” Id.; see also Palmer v. Krueger, 897 F.2d 1529,1534 (10th Cir.
1990) (“[K]nowledge of the danger is an essential of the defense of assumption of risk,
and the doctrine does not apply unless the one alleged to have assumed the risk can be
found to have known or to have been charged with knowledge of the danger.”). We
determine subjective intent by examining the information available to the plaintiff at the
time of the injury; we do not consider post hoc rationalizations. See Thomas, 764 P.2d at
169 n.13, 171 n.19.
Smith argues, “while . . . he was aware that the drill rig posed a danger, there is no
evidence whatsoever that he consented to being injured, and CME did not even contend
that there was such evidence.” (Appellant’s Br. 27.) According to Smith, CME was
required to show he voluntarily came in contact with the auger to establish Smith’s
assumption of the risk.
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CME claims our decision in Slane v. Jerry Scott Drilling Co., 918 F.2d 123 (10th
Cir. 1990), is dispositive. We agree. In Slane, we approved an assumption-of-risk-
instruction in a factual situation similar to Smith’s. Richard Slane was seriously injured
when, in the course of doing a “drill stem test by pulling wet,” the oil and gas in the well
exploded. Id. at 124. Applying the Thomas and Palmer standard, we said: “[Slane] was
imminently aware of the inherent dangers in and about the oil field and uniquely aware of
the dangers of a drill stem test. As such, once he voluntarily went to . . . perform the drill
stem test, he was deemed to have assumed the risk and is precluded from recovery for the
resulting injury.” Id. at 127 (quoting Thomas, 764 P.2d at 169).
It was uncontested that [Slane] had over thirty years [of] experience in oil
field work and was considered to be a very good tester. [He] personally
testified that: he was the supervisor for the drill stem test; he had pulled
some 300 wet drill stem tests; he knew it was dangerous to pull wet; he
considered the oil field, at its best, to be somewhat dangerous and, at its
worst, to be deadly; when on a rig he was in charge of his own safety; and
experienced men always watch out for themselves first and one other man.
Id.
Here, analogous facts were established at Smith’s trial. Smith testified to having
previously injured his arm in a rotating device on another piece of equipment; he knew,
first-hand, the danger of getting near a rotating device. More importantly, he had been
the rig supervisor for more than five years; he supervised four drill rigs and crews; he was
in charge of maintenance and could order safety devices; he had operated all the drilling
rigs; he was very experienced with the Drill; he knew the controls; he knew the shut-
down devices were not operable; he had been given a demonstration of the wobble
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switches as well as all the other features on the rig; he told his employer he thought the
rig was unsafe and talked about getting wobble switches; he knew there was no device
that would stop the rig if he turned loose of the controls; he knew there was no guard; and
he knew the operator’s platform was not level. In spite of the increased danger caused by
these conditions, he chose to use the rig.
Contrary to Smith’s assertion, his situation is unlike the plaintiffs in Thomas and
Palmer, where the assumption of risk instruction was rejected based on the lack of
evidence. In Thomas, a security guard opened the door of a shoplifter’s car and put his
body partially inside in an attempt to foil the thief’s escape. Thomas was injured when
he fell out as Holliday turned the car to make his getaway. 764 P.2d at 166. Essentially,
the court determined the defendant had only shown contributory negligence because there
was no evidence the plaintiff had assumed the risk that the defendant would continue to
drive in a manner causing injury to the guard. Id. at 170 (“A plaintiff may expose
himself to potential harm and not consent to relieve the defendant of any future duty to
act with reasonable care.”) (emphasis added).
In Palmer, a passenger was killed in a plane crash, cause unknown. 897 F.2d at
1531-32. Because there was no evidence from the record that the passenger “consented
to harm or was aware of any particular danger,” we held it was error to give an
assumption of the risk instruction to the jury. Id. at 1534. The passenger’s ownership
interest in the plane and a general knowledge that planes can be dangerous was not
sufficient to warrant an assumption-of-risk instruction. Id.
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In neither instance were the plaintiffs aware of the particular risk they confronted.
In Thomas, the court said Thomas’s general understanding of an inchoate risk justified a
contributory negligence instruction but not one on assumptions of risk. Here, Smith was
intimately familiar with specific, identified risks and chose to operate the rig in spite of
them. No evidence suggests he was under some compulsion to do so; he was the person
charged with keeping the rigs operational. Moreover, the risk he assumed was not the
myriad conditions drilling operators may face, but the risk of negligent design.
Assuming negligent design (a hotly contested matter), Smith, because of his experience
and expertise, knew specifically what those claimed design deficiencies were—no auger
guard and no deadman switch. He appreciated a very specific and identifiable risk and
chose to operate the Drill in spite of the risk. He assumed the risk.
The fault with Smith’s argument is that he seizes a few words or phrases in an
opinion but misapprehends the operative concept. The relevant consent is to fully
appreciate the danger; no rational person would consent to being injured. “Consent”
means appreciating and accepting a specific risk of harm. Smith’s continued use of the
Drill in a condition he acknowledged was more dangerous than if the safety devices had
been operational, and his ability to prevent this situation, established his consent to be
exposed to the very danger he claims caused his injuries. The judge did not err in
instructing the jury on assumption of risk.
2. Admission of Evidence
Smith claims the judge abused his discretion when he refused to allow Munsell to
testify his deadman’s clutch would work on a truck-mounted rig in the field. Smith also
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claims the judge erred in limiting the witnesses’ testimony to events occurring before
CME sold the Drill as used equipment in 1992.
Expert Testimony
The judge limited Munsell’s testimony because his device had not been tested on
any truck-mounted rig nor did Munsell have any personal experience with the operation
of a truck-mounted drilling rig. In response, Smith argues:
Allowing Munsell to testify about the switch and that it would work in and
of itself is entirely inconsistent with refusing to allow him to testify that it
would work on the rig. Plaintiff did not have a CME drill rig available
upon which to install Munsell’s switch, and did not have the $100,000.00 to
purchase one for purposes of such a test. The trial court clearly abused its
discretion in refusing to allow Munsell to give this testimony.
(Appellant’s Br. 29.)
The trial judge performs an important gatekeeping role in assessing scientific
evidence. Hollander v. Sandoz Pharm. Corp., 289 F.3d 1193, 1204 (10th Cir. 2002); see
Daubert v. Merrell Dow Pharm., Inc., 509 U.S. 579 (1993). The judge “must determine
at the outset, pursuant to [Fed. R. Evid.] 104(a), whether the expert is proposing to testify
to (1) scientific knowledge that (2) will assist the trier of fact to understand or determine
a fact in issue.” Hollander 289 F.3d at 1203-04 (quoting Daubert, 509 U.S. at 592). We
review such a determination for an abuse of discretion and “afford substantial deference
to the district court . . . .” Id. at 1204. There is nothing in this record which would
support the notion that Munsell had sufficient experience (he had none) to opine on how
the device he created for this litigation would perform as a part of the rig’s operation in
the field. There was no abuse of discretion.
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Temporal Limitation on Testimony
As Smith acknowledges, “Oklahoma does not recognize a post-sale duty to warn
or retrofit a product.” Wicker ex rel. Estate of Wicker v. Ford Motor Co., 393 F. Supp. 2d
1229, 1236 (W.D. Okla. 2005); Kirkland v. Gen. Motors Corp., 521 P.2d 1353, 1366
(Okla. 1974); see also Romero v. Int’l Harvester Co., 979 F.2d 1444, 1446, 1451 (10th
Cir. 1992) (under similar Colorado law, a manufacturer has no duty to notify previous
purchasers of its products about later-developed safety devices, or to retrofit those
products when the products were non-defective under standards existing at the time of
manufacture—collecting consistent cases). Undaunted, Smith argues, because “CME
took upon itself the duty to retrofit or otherwise modify for safety purposes its products
that came back under its control after initial manufacture and sale. . . . it was required to
undertake such activities in a non-negligent manner, using reasonable care under the
circumstances.” (Appellant’s Br. 32.) True enough, but he further maintains CME’s
assumption of this duty made it “liable for negligence related to its failure to use ordinary
care with respect to the [Drill] at any time – whether in 1982, 1992, 2000, 2008, or the
day before the Plaintiff’s accident.” 3 (Appellant’s Br. 31.)
3
As best we can understand, Smith’s argument relates to events which occurred
after 1992. For some reason, he claims CME’s voluntary addition of the wobble switch
system required CME (once it knew of Carrocci’s proposed auger guard, any accidents
involving CME equipment or any industry safety improvements) to determine whether it
needed to redesign and retrofit the devices it had sold. The authority he cites does not
support this argument.
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Smith primarily relies on Fry Land & Cattle Co. v. Colorado Interstate Gas Co.,
805 P.2d 695, (Okla. Civ. App. 1990). 4 There, Fry placed some panels in a fence line to
keep his cattle from escaping from his pasture into CIG’s metering facility and beyond.
Although Fry’s panels were able to contain his animals, they interfered with CIG’s
operations. CIG removed the panels, tore down the remaining fence, and replaced it with
a new one. CIG’s fence was not strong enough to contain the animals. Since CIG had
volunteered to replace the fence, the court said:
[W]hen a person has no duty to act with regard to a matter, if he volunteers
4
Smith also cites Bell Helicopter Co. v. Bradshaw, 594 S.W.2d 519 (Tex. Civ.
App. 1979). In that case, Bell was sued for strict liability and negligence after one of its
helicopters, rented by the plaintiffs to survey ranch land, crashed and severely injured the
plaintiffs. Id. at 526, 531. At one point in time prior to the crash, Bell learned its “102
tail rotor blade . . . had a history of in-flight fatigue fracture failures.” Id. at 526. This
caused Bell to design an improved blade, which it placed on its helicopters manufactured
in 1970 and thereafter. Id. at 527. Significantly, the helicopter was owned by one of
Bell’s authorized service stations between 1969 and 1973. Id. at 530-31. The court
determined Bell had a duty, under an “undertaking” theory, to “either mandat[e]
replacement through authorized service stations or recommending, in language
reasonably calculated to impress upon users the gravity of the risk, that such replacement
be made.” Id. at 532.
There are several reasons why this holding is not persuasive in this case. First, as
the Bell court recognized, “Ordinarily, proof of post-accident efforts by a defendant to
remedy or improve the situation which contributed to the accident is not admissible or
relevant to the issue of negligence.” Id. But because Bell did not object to this evidence,
it was properly before the jury. Here, CME’s objection specifically placed the relevant
time frame at issue prior to trial.
Second, the Drill’s alleged defect was not unknown to Smith as was the defect in
Bell. Finally, the holding in Bell has been largely criticized and specifically disapproved
by the Texas Supreme Court. See Torrington v. Stuzman, 46 S.W.3d 829, 838 n.7 (Tex.
2000); Romero, 979 F.2d at 1451 n.6.
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to assume that duty, either expressly or by his conduct, he must exercise
ordinary care and is liable for injury resulting from his failure to do so. By
removing the fence which Fry had repaired . . . and replacing it with
another, CIG assumed the duty of acting reasonably to insure its actions did
not cause injury to Fry or others.
Id. at 696-97.
Under Fry, CME clearly had a duty in 1992 to install its safety devices in a non-
negligent manner. Fry does not, however, establish a duty to do more in the future. The
judge properly determined events occurring after the manufacture in 1981 through 1992
were relevant, but not later ones. The only time CME had the Drill after 1992 was when
it was returned in 2001 for a specific purpose – to install an automatic hammer– and
Smith does not claim that work was negligently done. Smith does not argue he was
limited in any way from bringing evidence of injuries prior to CME’s last control of the
Drill. 5 Moreover, even if the court would have allowed testimony up to the 2001
installation, the events Smith wanted to introduce occurred much later. There was no
abuse of discretion in limiting the evidence to events occurring through 1992.
B. Products Liability - Summary Judgment
We apply the same standard as the district court and review a grant of summary
judgment de novo. Oldenkamp v. United Am. Ins. Co., 619 F.3d 1243, 1246 (10th Cir.
5
Because we find no error leading to the jury’s verdict for CME, Smith’s issues
relating to punitive damages are moot. See Aubertin v. Bd. of Cnty. Comm’rs of Woodson
Cnty, Kan., 588 F.2d 781, 786 (10th Cir. 1978).
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2010). Oklahoma’s substantive law applies to this diversity action. See Ahrens v. Ford
Motor Co., 340 F.3d 1142, 1145 (10th Cir. 2003).
In Oklahoma, there are three elements to a products liability claim: the defect
must have (1) caused the injury in question, (2) existed at the time it left the
manufacturer’s control, and (3) made the product unreasonably dangerous. Kirkland, 521
P.2d at 1363 (adopting § 402A of the Restatement (Second) of Torts). A product is
unreasonably dangerous if it poses a danger “beyond that which would be contemplated
by the ordinary consumer who purchases it, with the ordinary knowledge common to the
community as to its characteristics.” Woods v. Fruehauf Trailer Corp., 765 P.2d 770,
774 (Okla. 1988). Because the record did not establish “the CME-55 posed a danger
beyond that which an ordinary drill operator would anticipate,” the judge granted CME’s
motion for summary judgment. (Appellant’s App’x Vol. 3 at 1251.)
Smith argues the court unfairly considered this element because it was not raised
or argued as a basis for summary judgment in CME’s motion and briefs. He is correct;
CME did not make the argument. He is also correct that his expert, Munsell, opined that
the Drill was unreasonably dangerous. However, Munsell did not state it was more
dangerous than the ordinary consumer would perceive. Rather, he said the Drill was
unreasonably dangerous because, in his opinion, it was not designed in accordance with
safe product design standards. It did not have “appropriate operator controls,” among
other things, a “dead man switch” which would automatically stop the Drill when the
operator’s hand left the control. (Appellant’s App’x, Vol. 2 at 894.) As the judge noted,
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“that a product could have been designed to be safer, without more, does not establish
that the product is unreasonably dangerous under Oklahoma’s consumer-expectations
test.” (Appellant’s App’x Vol. 3 at 1251.)
Smith argues the judge’s reliance on Woods was misplaced. First, Woods was
decided after a trial, not on summary judgment. According to Smith, he was denied the
chance to fully argue the point. He claims CME’s evidence established only that he was
generally aware the Drill was dangerous: there was no undisputed evidence the Drill was
not more dangerous than Smith contemplated.
Smith should have been given an opportunity to directly address the dispositive
issue before the judge entered summary judgment. That said, we cannot find fault with
the judge’s conclusion. The evidence in this case and the standard applied by the court is
almost identical to the situation in Woods.
Woods was an experienced gasoline tanker driver for two years. Woods, 765 P.2d
at 774. While filling a tank, the gasoline overflowed, the gas ignited, and Woods was
severely burned. Id. at 772. Woods sued, among others, the manufacturer of the tanker
truck. He claimed the tanker trailer was unsafe for the purpose of hauling and unloading
gasoline into above ground facilities because it could have been equipped with an
automatic shutoff nozzle similar to the type employed in ordinary use for filling gasoline
tanks on automobiles. Id. at 774. The evidence also showed that nozzles existed which
could be modified for use at the high flow rates necessary for handling gasoline in large
volumes. Id.
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On appeal, viewing the evidence in the light most favorable to Woods, the
Oklahoma Supreme Court held that a directed verdict should have been entered for the
tanker truck manufacturer. Applying the consumer-expectations test, the court noted
Woods was a foreseeable user and his use of the tanker was a foreseeable use. His
experience and training demonstrated he knew how to safely use the equipment. The
evidence showed the tanker trailer could be used safely as equipped, and the existence of
a safer design did not make the product more dangerous than what would be
contemplated by the foreseeable user. Consequently, the tanker truck was not “less safe
than would be expected by the ordinary consumer.” Id. at 775.
The facts here are very similar. The record on summary judgment demonstrated
Smith was a foreseeable user operating the Drill in a foreseeable way. He was a trained
and experienced drill operator and had safely operated the Drill for years. He had
reviewed the safety guides and the manuals and knew the drill was not in the same
condition in which it had left the factory in 1992. He also knew the auger did not have a
guard and the rig lacked a deadman switch, thus allowing the auger to continue rotating
when he removed his hand from the controls. He testified that, in his experience, no drill
rigs had guards. He acknowledged he knew the rig was dangerous in general, the auger,
in particular, was dangerous, and the Drill was more dangerous than others because prior
owners had removed or disabled safety devices. He admitted the Drill was working as it
always did on the day of his accident. There was no evidence the Drill was less safe than
an ordinary consumer would expect.
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Nevertheless, as Smith points out; the obviousness of the danger does not
foreclose the possibility of the Drill being more dangerous than would be expected by a
foreseeable user when it cannot be safely used. We encountered this situation in Davis v.
Fox River Tractor Co. There, the plaintiff slipped from a dump truck attached to a forage
blower and his foot slipped through a grid and into the hopper. 518 F.2d 481, 485-86
(10th Cir. 1975). Although it was obvious the hopper’s grids were large enough to allow
a person’s feet to slip into contact with the augers, defendant’s engineer finally conceded
“the agricultural equipment standard required it to design a shield for the hopper if it
were possible, whereby it could still function.” Id. at 484. Because the plaintiff had
shown a smaller grid could have been designed at a reasonable cost, we determined the
district court did not err in denying the defendant a directed verdict even though the
danger was obvious. We said:
If a device is dangerous to life and limb to the degree that no amount of
care on the part of the user can overcome the defect so as to prevent injury,
the obviousness does not alleviate the danger. We have difficulty seeing
how the knowledge of the dangerousness can alleviate the dangerous
condition inasmuch as the performance by plaintiff of his assigned tasks
subjected him to injury regardless of the care exercised.
Id. at 484-85 (emphasis added). 6 Thus, in the rare case in which a plaintiff demonstrates
it was impossible to perform his assigned task without injuring himself, no matter what
6
Our decision in Davis appears to retreat from the consumer expectations test
found in the Restatement (Second) of Torts. In Braswell v. Cincinnati Inc., 731 F.3d
1081, 1088 (10th Cir. 2013) we recently discussed the criticism of the consumer
expectation test and the change in the Third Restatement of Torts, released in 1998,
which “explicitly jettisoned the consumer expectations test and adopted the risk-utility
(Continued . . . )
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care was taken by the plaintiff, the jury may consider whether, at the time of design, the
danger could be effectively alleviated at an economically feasible cost. See Castillo v.
Am. Laundry Mach. Inc., 74 F.3d 1248, 1996 WL 1182, at *3 n.4 (10th Cir. 1996)
(unpublished). Here, Smith did not demonstrate, or even allege, it was impossible to
operate the Drill without subjecting himself to injury. The Drill had been in operation
since 1982 without injury and Smith had operated it safely on a daily basis for over five
years. Davis is inapposite.
Moreover, on appeal, Smith was aware of the basis for the judge’s decision and
has failed in his briefs and argument here to point to available evidence or argument
which would undermine the judge’s conclusion. And, even if Smith’s lost opportunity to
present argument were sufficient to prevail, another basis for granting summary
judgment−assumption of risk−was argued to the district court. See Richison v. Ernest
Group, Inc., 634 F.3d 1123, 1130 (10th Cir. 2011) (“We have long said that we may
affirm on any basis supported by the record, even if it requires ruling on arguments not
test,” “under which manufacturers had a duty to eliminate dangers where an alternative
design could do so without imposing unreasonable costs or impairing the functionality of
the product.” Id.; see Restatement (Third) of Torts: Products Liability § 2 cmt. G (1998)
(noting that “consumer expectations do not play a determinative role in determining
defectiveness” as “[they], standing alone, do not take into account whether the proposed
alternative design could be implemented at reasonable cost, or whether an alternative
design would provide greater overall safety”). As we noted in Braswell, however, “there
is no sign that Oklahoma has backed away from the consumer expectations test since the
release of the Third Restatement in 1998.” Id. at 1089. And we acknowledge, in the
thirty-eight years since Davis was decided, the Oklahoma courts have never cited, let
alone adopted, its reasoning.
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reached by the district court or even presented to us on appeal.”). We briefly discuss it
now.
“[A]ssumption of risk . . . retains its place in product liability suits by workers
against third-party manufacturers of harm-dealing products used in the workplace.”
Thomas, 764 P.2d 165, 167 n.5. It is much like the volenti non fit injuria assumption of
risk in a negligence case discussed in Thomas. “The proper verbalization of this
manufacturer’s defense is voluntary assumption of or exposure to the risk of a known
defect.” Id. The defendant must show the plaintiff had a “subjective awareness of the
defect and consequent risk of injury.” McMurray v. Deere & Co., 858 F.2d 1436, 1440
(10th Cir. 1988). The uncontested facts, established through Smith’s deposition
testimony and reiterated at trial, show he knew the auger was dangerous and could cause
injury or death, he knew it had no guard, he knew there was no deadman switch, he knew
the operator’s platform was bent, and he knew the safety devices CME had provided
(wobble switch and emergency shutdown switches) were either not present or not
operational. Moreover, Smith was authorized and expected to maintain the Drill (and all
the equipment) in safe condition, yet he continued to operate the Drill without repairing
the obvious deficiencies for five years. These uncontested facts demonstrate Smith’s
subjective knowledge of the defect and consequent risk of injury. Smith chose to roll the
dice.
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AFFIRMED.
Entered by the Court:
Terrence L. O’Brien
United States Circuit Judge
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