Supreme Court
No. 2012-297-Appeal.
(PC 07-1258)
Dennis Martin, in his capacity as Executor :
of the Estate of Camella L. Martin
v. :
Michael Lawrence, alias; et al. :
NOTICE: This opinion is subject to formal revision before
publication in the Rhode Island Reporter. Readers are requested to
notify the Opinion Analyst, Supreme Court of Rhode Island,
250 Benefit Street, Providence, Rhode Island 02903, at Telephone
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corrections may be made before the opinion is published.
Supreme Court
No. 2012-297-Appeal.
(PC 07-1258)
Dennis Martin, in his capacity as Executor :
of the Estate of Camella L. Martin
v. :
Michael Lawrence, alias; et al. :
Present: Suttell, C.J., Goldberg, Flaherty, Robinson, and Indeglia, JJ.
OPINION
Justice Indeglia, for the Court. The plaintiff, Dennis Martin, as executor of the estate
of his mother, Camella L. Martin, appeals from a judgment entered by the Superior Court in
favor of the defendant, Michael Coyne, and from a denial of the plaintiff’s motion for judgment
as a matter of law, new trial, and/or additur in this automobile-accident negligence action. This
case came before the Supreme Court for oral argument on October 30, 2013, pursuant to an order
directing the parties to appear and show cause why the issues raised in this appeal should not be
summarily decided. After carefully considering the written and oral submissions of the parties,
we are satisfied that this appeal may be resolved without further briefing or argument. For the
reasons set forth in this opinion, we affirm the judgment of the Superior Court.
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I
Facts and Travel
This matter arises out of an automobile accident that occurred between plaintiff, Camella
L. Martin, 1 and defendant, Michael Coyne, 2 at the intersection of Angell and Hope Streets in
Providence, Rhode Island.
The accident occurred between 10:30 and 11 a.m. on June 11, 2006. The defendant was
driving in the left lane of Angell Street. He testified at trial that his speed on Angell Street was
approximately thirty to thirty-two miles per hour as he approached the intersection with Hope
Street. According to Coyne, the traffic light at the intersection was green from the moment he
first observed it on turning onto Angell Street from Governor Street until he proceeded through
the intersection. In the intersection, his car collided with that of plaintiff, Camella Martin. As a
result of the collision, Mrs. Martin’s car spun, turned, and then stopped after hitting a fire
hydrant. Coyne further testified that he did not see Mrs. Martin’s car until the moment of the
collision. He described the damage to both vehicles as being “significant.”
Mrs. Martin suffered a number of injuries, including fractured ribs and a fractured pelvis,
and, after the accident “was no longer independent,” according to the testimony of her son. Mrs.
Martin passed away approximately two years after the accident, in February 2008.
The plaintiff filed the instant suit in March 2007. A jury trial took place on March 1, 2,
and 5, 2012.
1
Camella Martin, who was ninety-one at the time of the accident, passed away in February 2008,
prior to discovery and the trial. The plaintiff moved orally under Rule 25 of the Superior Court
Rules of Civil Procedure to substitute Dennis Martin, as executor of Camella Martin’s estate, as
the named plaintiff in this case. The Court granted the motion on March 1, 2012, prior to the
commencement of trial. There is no claim that Mrs. Martin passed away as a result of the
accident.
2
The defendant, Michael Coyne, was misnamed as Michael Lawrence on the complaint. The
defendant orally moved to correct the misnomer of defendant. The Court granted the motion.
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Prior to trial, the trial justice addressed a number of motions in limine made by
defendant, 3 including a motion to preclude admission into evidence of a document entitled
“Notice of Injury—Proof of Loss.” The document was a form filled out by Mrs. Martin with her
own insurer, Allstate Insurance Company, which offered a brief description of how the accident
occurred. Mrs. Martin wrote, “I was on my way to church driving on Hope St. I came to the
intersection of Hope St[.] and Angell St[.] and crossed into a yellow caution light. A young man
going very fast smashed into me on the drivers [sic] side.” The defendant argued that the
document should be excluded as hearsay. The plaintiff conceded that the document was hearsay
but asserted that it was admissible under certain exceptions to the hearsay rule, 4 specifically Rule
803(6) 5 and Rule 803(24) 6 of the Rhode Island Rules of Evidence. 7 The trial justice granted
3
The defendant also filed motions to preclude plaintiff from introducing medical records into
evidence and to exclude expert testimony in the field of accident reconstruction. Those motions
are not before this Court in this appeal.
4
The plaintiff also mentioned Rules 804, 1007, 402, and 401, but specifically limited his
argument to Rules 803(6) and 803(24) of the Rhode Island Rules of Evidence.
5
Rule 803(6) is the so-called business records exception which permits admission into evidence
of hearsay statements if they can be characterized as
“[a] memorandum, report, record, or data compilation, in any form, of acts,
events, conditions, opinions or diagnoses, made at or near the time by, or from
information transmitted by, another person with knowledge, if kept in the course
of a regularly conducted business activity, and if it was the regular practice of that
business activity to make the memorandum, report, record, or data compilation *
* *.”
6
Rule 803(24) permits admission into evidence of hearsay statements not covered in the other
exceptions but
“having equivalent circumstantial guarantees of trustworthiness, if the court
determines that (A) the statement is offered as evidence of a material fact; (B) the
statement is more probative on the point for which it is offered than any other
evidence which the proponent can procure through reasonable efforts; and (C) the
general purposes of these rules and the interests of justice will best be served by
admission of the statement into evidence.”
7
During the hearing, plaintiff’s counsel asked the court for leave of time to bring in an Allstate
representative to testify as to the document’s authenticity. The trial justice did not address the
request, but suggested that, even if a representative from Allstate were to testify as to
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defendant’s motion in limine, stating that the document was hearsay that did not fall into any of
the exceptions to the hearsay rule.
The defendant testified at trial as an adverse witness for plaintiff as to the circumstances
of the accident. He further testified that following the accident, he did not have any direct
conversation with either Mrs. Martin or Mr. Martin.
Detective Charles Boranian of the Providence Police Department testified at trial on
behalf of plaintiff. Detective Boranian stated that he has worked for the Providence Police
Department for over thirty years, during which time he had served in the Traffic Bureau, Patrol,
and Total Accountability Unit. He averred that during the course of his duties, he had read
numerous rules and regulations pertaining to the speed limits in the city of Providence and that
any time a change is made to any speed limits, the traffic engineering department notifies the
police department accordingly in order to aid the department’s enforcement of the speed limits.
According to Detective Boranian, the general policy of speed limits in the city of Providence is
that all city streets have a speed limit of twenty-five miles per hour with certain exceptions that
did not apply to Angell Street. Detective Boranian admitted that he did not know if there were
any speed-limit signs posted on Angell Street at the time of the accident.
The plaintiff Dennis Martin testified at trial as to his mother’s lifestyle and his
recollections of the day the accident occurred. 8 Mr. Martin stated that at the time, his mother had
been generally self-sufficient and was a competent driver. Mr. Martin testified that, after he was
notified of the accident, he went to the scene where he was approached by defendant, who said
authenticity, the document would still be inadmissible as hearsay and did not qualify as an
exception to the hearsay rule.
8
It was undisputed that Mr. Martin had not actually been present to witness the accident, but had
appeared at the scene shortly after the collision.
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“that he [defendant] was very sorry and that he hoped that [Mrs. Martin] wouldn’t die, would be
all right.”
After plaintiff rested, both parties moved for judgments as a matter of law pursuant to
Rule 50 of the Superior Court Rules of Civil Procedure. 9 The trial justice denied defendant’s
motion because “a reasonable jury could conclude Mr. Coyne was negligent in failure to keep a
proper lookout.” 10
After defendant rested, the trial justice then instructed the jury. After brief deliberations,
the jury returned with a verdict for defendant. Judgment was entered for defendant on March 5,
2012.
On March 13, 2012, plaintiff filed a renewed motion for judgment as a matter of law or,
in the alternative, a motion for a new trial and/or additur. The motion came before the Superior
Court for hearing on May 25, 2012. The plaintiff argued that the jury had incorrectly applied the
jury instructions, specifically by failing to apply the law of comparative negligence. The trial
justice found that “Mr. Coyne was a credible witness,” and said that he “[did] not disagree with
the jury’s verdict in this particular matter.” Accordingly, the trial justice denied the motions for
judgment as a matter of law and for a new trial.
The order denying the motions was entered on May 25, 2012. The plaintiff filed a timely
notice of appeal to this Court.
9
Rule 50(a)(1) of the Superior Court Rules of Civil Procedure permits the trial court to grant a
motion for judgment as a matter of law after a party has been fully heard on an issue if “there is
no legally sufficient evidentiary basis for a reasonable jury to find for [a] party on that issue * *
*.”
10
The trial justice also denied plaintiff’s motion because defendant had not been fully heard.
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II
Issues on Appeal
On appeal, plaintiff argues, first, that the trial justice erred in granting defendant’s motion
in limine to exclude the document entitled “Notice of Injury—Proof of Loss” from being
submitted as evidence. 11 Specifically, plaintiff asserts that the document should have been
admitted as an exception to the hearsay rule, citing Rules 803(6), 803(24), 804(b)(5),12
804(b)(2), 13 and 804(c) 14 of the Rules of Evidence. The plaintiff also argues that the trial justice
erred in denying the motion for judgment as a matter of law or, in the alternative, for a new trial
because the jury verdict was inconsistent with the evidence. The plaintiff maintains that the
evidence established that defendant failed to exercise a reasonable degree of care in approaching
the intersection and had operated his vehicle at a speed greater than the twenty-five mile per hour
speed limit.
11
The plaintiff also takes exception to defendant’s filing the motion in limine only on the
morning of the trial, denying him an opportunity to prepare his response.
12
Rule 804(b)(5) is a catchall exception to the hearsay rule for statements made by unavailable
declarants, permitting such statements to be admitted if they have “circumstantial guarantees of
trustworthiness.”
13
Rule 804(b)(2) concerns statements made “while believing that his or her death was imminent,
concerning the cause or circumstances of what the declarant believed to be his or her impending
death.”
14
Rule 804(c) permits admission into evidence of hearsay statements made by a deceased
declarant “if the court finds that it was made in good faith before the commencement of the
action and upon the personal knowledge of the declarant.”
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III
Analysis
A
Motion to Exclude Document Entitled “Notice of Injury—Proof of Loss”
It is well established that “[w]hen reviewing the grant or denial of a motion in limine, this
Court will consider only whether the challenged evidence was proper and admissible and, if not,
whether there was sufficient prejudice to constitute reversible error.” State v. Viveiros, 45 A.3d
1232, 1242-43 (R.I. 2012) (quoting State v. Scanlon, 982 A.2d 1268, 1274 (R.I. 2009)).
Generally, the admissibility of evidence “is within the sound discretion of the trial justice,” and
we will not disturb a trial justice’s decision “absent a showing of abuse of this discretion.”
Fravala v. City of Cranston, 996 A.2d 696, 703 (R.I. 2010) (quoting Perrotti v. Gonicberg, 877
A.2d 631, 642 (R.I. 2005)). Whether evidence falls within an exception to the hearsay rule is a
question that is addressed to the sound discretion of the trial justice. Rhode Island Managed Eye
Care, Inc. v. Blue Cross & Blue Shield of Rhode Island, 996 A.2d 684, 692 (R.I. 2010).
Accordingly, this Court will not disturb a ruling in that respect unless it is clearly erroneous.
Medeiros v. Rhode Island Public Transit Authority, 712 A.2d 869, 871 (R.I. 1998).
We begin by noting that plaintiff’s appeal of the trial justice’s decision on the motion in
limine may not have been properly preserved for review by this Court. The trial justice stated
that he was “rul[ing] preliminarily that the objection of the defendant is sustained on the grounds
that the statement sought to be presented by the plaintiff * * * is hearsay [] [t]hat does not fall
within any exception to the hearsay rule.” We have often reiterated the well-established rule that
“[a] ruling on a motion in limine, unless unequivocally definitive, will not alone suffice to
preserve an evidentiary issue for appellate review; a proper objection on the record at the trial
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itself is necessary.” State v. Andujar, 899 A.2d 1209, 1222 (R.I. 2006). Here, the record from
the trial does not reflect that plaintiff objected to the trial justice’s decision. We note, however,
that the trial justice had previously expressed his reservations concerning the admissibility of the
“Notice of Injury—Proof of Loss” document on the grounds that defendant would not be able to
“cross-examine the declarant, meaning [Mrs.] Martin, as to what it is she wrote about the
circumstances of this accident.” Moreover, the motion in limine and the trial justice’s decision
were made on the very day the trial was scheduled to commence. Under the circumstances,
plaintiff may well have been reluctant to “attempt to admit [the document] at trial in
contravention of the trial justice’s clear order.” Id. Therefore, this Court will address the merits
of plaintiff’s contention that the trial justice committed reversible error in granting defendant’s
motion in limine to exclude the “Notice of Injury—Proof of Loss” document as inadmissible
hearsay.
Specifically, plaintiff argues that the document should have been admitted under the
exceptions to the hearsay rule contained in Rules 803(6), 803(24), 804(b)(5), 804(b)(2), and
804(c). Before delving into the merits of plaintiff’s argument, however, this Court must address
the issue of waiver raised by defendant. “[A]ccording to our well-settled ‘raise or waive’ rule,
issues that were not preserved by a specific objection at trial, sufficiently focused so as to call the
trial justice’s attention to the basis for said objection, may not be considered on appeal * * *
despite their articulation at the appellate level.” Greensleeves, Inc. v. Smiley, 68 A.3d 425, 439
(R.I. 2013) (quoting State v. Hallenbeck, 878 A.2d 992, 1018 (R.I. 2005)). At trial, plaintiff
expressly limited his argument to Rules 803(6) and 803(24). Accordingly, plaintiff’s arguments
concerning Rules 804(b)(2), 804(b)(5), and 804(c) are waived and will not be addressed on
appeal.
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The main thrust of plaintiff’s argument is that the document is admissible under the
business-records exception of Rule 803(6). This Court has set forth a four-part test for the
admissibility of a hearsay business record:
“First, the record must be regularly maintained in the course of a regularly
conducted business activity. Second, the source of the information must be a
person with knowledge. Third, the information must be recorded
contemporaneously with the event or occurrence, and fourth, the party introducing
the record must provide adequate foundation testimony.” Rhode Island Managed
Eye Care, Inc., 996 A.2d at 691 (quoting Fondedile, S.A. v. C.E. Maguire, Inc.,
610 A.2d 87, 93-94 (R.I. 1992)).
Moreover, “[i]n order ‘[t]o provide [an] adequate foundation a party must prove the first three
requirements and authenticate the document or record.’” Id. (quoting Fondedile, S.A., 610 A.2d
at 94). Here, there is no dispute that plaintiff did not bring in a representative from Allstate to
either authenticate the document or establish the other necessary elements of Rule 803(6). The
plaintiff argues that he was not given the opportunity to do so because the motion in limine was
not filed until the morning of trial. We find this argument to be unpersuasive. The defendant
stated at oral argument—and plaintiff did not dispute—that the document was produced during
the course of an earlier arbitration, thus giving plaintiff more than enough time to obtain a
representative from Allstate before the start of trial. We see no reason for plaintiff’s failure to
foresee the need to bring in a representative from Allstate in light of the document’s admitted
importance to plaintiff’s case at trial and the well-established requirements of Rule 803(6). The
testimony of an Allstate representative was needed not only to establish authenticity but also the
other elements of Rule 803(6). Without testimony from Allstate to establish that the document
was, in fact, regularly kept in the course of Allstate’s business and recorded contemporaneously
with the collision, we agree with the trial justice that there was not sufficient evidence that the
document was reliable so as to qualify as a business record. Absent this necessary testimony, we
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cannot find that the document clearly falls within the purview of Rule 803(6). Accordingly, we
hold that the trial justice did not abuse his discretion in granting defendant’s motion in limine to
exclude the document.
Finally, this Court will briefly turn to plaintiff’s argument that the document may also be
admissible under the so-called “catchall” exception to the hearsay rule contained in Rule
803(24). We find this argument to be unpersuasive. We have made it clear that the catchall
exception “is ‘meant to be reserved for exceptional cases’ and is ‘not intended to confer a broad
license on trial judges to admit hearsay statements that do not fall within one of the other
exceptions * * *.’” In re Steven D., 23 A.3d 1138, 1165 (R.I. 2011) (quoting Conoco Inc. v.
Department of Energy, 99 F.3d 387, 392 (Fed. Cir. 1996)). Moreover, “this exception is ‘not to
be used as a device * * * to prove material facts through * * * unsworn statements as a substitute
for * * * testimony * * *.’” State v. Harnois, 638 A.2d 532, 535 (R.I. 1994) (quoting State v.
Germano, 559 A.2d 1031, 1037 (R.I. 1989)). We do not find that the instant matter constitutes
the sort of exceptional circumstance that would justify application of the catchall exception.
Accordingly, we agree with the trial justice’s decision that the “Notice of Injury—Proof
of Loss” document was inadmissible hearsay and will not disturb his decision on appeal.
B
Motion for Judgment as Matter of Law and/or For a New Trial
“This Court reviews ‘a trial justice’s decision on a motion for judgment as a matter of law
de novo.’” Bossian v. Anderson, 69 A.3d 869, 876 (R.I. 2013) (quoting Lett v. Giuliano, 35
A.3d 870, 874-75 (R.I. 2012)). “[W]e ‘examine the evidence in the light most favorable to the
nonmoving party, without weighing the evidence or evaluating the credibility of witnesses, and
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draw from the record all reasonable inferences that support the position of the nonmoving
party.’” Id. (quoting Dawkins v. Siwicki, 22 A.3d 1142, 1156 (R.I. 2011)).
With regard to the motion for a new trial, it is well settled that our review of a trial
justice’s decision is deferential. State v. Covington, 69 A.3d 855, 863 (R.I. 2013).
“[W]hen ruling on a motion for a new trial [in a civil case tried to a jury], the trial
justice acts as a superjuror and should review the evidence and exercise his or her
independent judgment in passing upon the weight of the evidence and the
credibility of the witnesses.” Bonn v. Pepin, 11 A.3d 76, 78 (R.I. 2011) (quoting
Connor v. Schlemmer, 996 A.2d 98, 114 (R.I. 2010)).
Specifically, the trial justice “undertakes his or her independent appraisal of the evidence in the
light of his [or her] charge to the jury” and “may set aside a verdict when [his or her] judgment
tells [him or her] that it is wrong because it fails to respond truly to the merits of the controversy
and to administer substantial justice and is against the fair preponderance of the evidence.”
Connor, 996 A.2d at 114-15 (quoting Kurczy v. St. Joseph Veterans Association, Inc., 713 A.2d
766, 770 (R.I. 1998) and Murray v. Bromley, 945 A.2d 330, 333 (R.I. 2008)). “If, after
conducting this analysis, ‘the trial justice concludes that the evidence is evenly balanced or that
reasonable minds could differ on the verdict, she [or he] should not disturb the jury’s decision.’”
Accetta v. Provencal, 962 A.2d 56, 62 (R.I. 2009) (quoting Skene v. Beland, 824 A.2d 489, 493
(R.I. 2003)).
On appeal, plaintiff argues that the trial justice erred in denying his motion for a
judgment as a matter of law or, in the alternative, for a new trial because the jury’s verdict was
inconsistent with the evidence and failed to do substantial justice to the parties. Specifically,
plaintiff contends that the evidence established that defendant had failed to exercise reasonable
care because he had been driving above the speed limit and had not exercised reasonable care in
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approaching the intersection. Finally, plaintiff asserts that the jury failed to properly apply the
law of comparative negligence.
We find plaintiff’s arguments to be without merit. In deciding the motion for a new trial,
the trial justice summarized the evidence at trial and determined that defendant “was a credible
witness” and that he “did not exaggerate, [or] overly embellish his testimony.” The trial justice
determined that it was a “reasonable inference” that Mrs. Martin had “entered the intersection in
disobedience of the red light, [and] that it was her negligence in not heeding the red signal light,
* * * which was the proximate cause of the accident.” The trial justice also summarized the jury
instructions as to the issue of proximate cause. The trial justice concluded that “this [c]ourt
cannot and does not disagree with the jury’s verdict in this particular matter.”
This Court finds no error in the trial justice’s decision. The trial justice properly weighed
the evidence and assessed the credibility of the witnesses. We find that the trial justice
adequately articulated his reasoning in denying the motion for a new trial. Having determined
that he agreed with the jury’s verdict, the trial justice was correct in denying the motion for a
new trial.
Finally, this Court notes that the standard for granting a motion for judgment as a matter
of law is a higher standard for the moving party to meet than that for granting a motion for a new
trial. Cf. Manley v. AmBase Corp., 337 F.3d 237, 244-45 (2d Cir. 2003) (stating that the
standard for granting a new trial under Rule 59 of the Federal Rules of Civil Procedure is less
stringent than that for a motion for judgment as a matter of law under Rule 50 because the trial
justice “need not view [the evidence] in the light most favorable to the verdict winner”); 12
Moore’s Federal Practice, § 59.05[5] at 59-18 n.29 (3d ed. 2013) (stating that a less stringent
standard applies to motions for a new trial than to motions for judgment as a matter of law).
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Once the trial justice had concluded, upon an independent review of the evidence, that the
evidence supported the jury’s verdict, he was perforce required to conclude that plaintiff’s
motion for a judgment as a matter of law must also fail.
Accordingly, we will not disturb the trial justice’s decision denying the motion for
judgment as a matter of law or for a new trial.
IV
Conclusion
For the reasons set forth in this opinion, we affirm the judgment of the Superior Court, to
which we remand the record in this case.
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RHODE ISLAND SUPREME COURT CLERK’S OFFICE
Clerk’s Office Order/Opinion Cover Sheet
TITLE OF CASE: Dennis Martin, in his capacity as Executor of the Estate of Camella
L. Martin v. Michael Lawrence, alias; et al.
CASE NO: No. 2012-297-Appeal.
(PC 07-1258)
COURT: Supreme Court
DATE OPINION FILED: December 5, 2013
JUSTICES: Suttell, C.J., Goldberg, Flaherty, Robinson, and Indeglia, JJ.
WRITTEN BY: Associate Justice Gilbert V. Indeglia
SOURCE OF APPEAL: Providence County Superior Court
JUDGE FROM LOWER COURT:
Associate Justice Edward C. Clifton
ATTORNEYS ON APPEAL:
For Plaintiff: Ronald J. Resmini, Esq.
For Defendant: Mark W. Hickey, Esq.