NOT RECOMMENDED FOR FULL-TEXT PUBLICATION
File Name: 11a0493n.06
No. 09-6083
UNITED STATES COURT OF APPEALS
FOR THE SIXTH CIRCUIT
FILED
BUD LEE; CINDY LUNDMAN, as next friend and ) JUL 18, 2011
as natural parents of Patrick Lee, deceased, ) LEONARD GREEN, Clerk
)
Plaintiffs-Appellants, )
) ON APPEAL FROM THE
v. ) UNITED STATES DISTRICT
) COURT FOR THE MIDDLE
METROPOLITAN GOVERNMENT OF ) DISTRICT OF TENNESSEE
NASHVILLE AND DAVIDSON COUNTY, )
TENNESSEE; JONATHAN MAYS; JAMIE ) OPINION
SCRUGGS; CHRISTOPHER BROOKS, )
Individually and in their Official Capacities, )
TASER INTERNATIONAL, INC.; RONALD W.
SERPAS, Chief of Police, Individual and Official
Capacity; JASON CREGAN; PAUL SMITH,
Police Officers, Individually and in their Official
Capacities; JUSTIN PINKELTON, Sergeant,
Individual and Official Capacity; SHARRAFF
MALLERY; JOHN WRIGHT; RYAN SCOTT;
WAYNE FISHER, Police Officers, Individually
and in their Official Capacities,
Defendants-Appellees.
BEFORE: COLE, McKEAGUE, and GRIFFIN, Circuit Judges.
McKeague, Circuit Judge. Patrick Lee was escorted out of a concert and then attempted
to elude arrest by several police officers. In their protracted efforts to subdue Lee, who was under
the influence of drugs, officers used different forms of force, including tasers. Shortly after he was
arrested, Lee became unresponsive and later died. Lee’s parents filed the instant suit on his behalf,
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alleging that the officers and Nashville violated their son’s constitutional rights, and that the taser
was a defective product. The district court granted summary judgment in favor of several
Defendants, and a jury verdict later absolved the remaining Defendants of liability. Plaintiffs
appealed. For the reasons that follow, we AFFIRM the orders and judgment of the district court,
and we decline to grant Plaintiffs a new trial.
I. Background
A. Factual History
On September 22, 2005, Patrick Lee (“Lee”) attended a concert at the Mercy Lounge in
Nashville, Tennessee. After getting too close to the stage and a performer who was on stilts, Mercy
Lounge employees escorted Lee out of the venue. Although the owner and a bouncer were able to
get Lee outside, Lee refused to leave the premises and persisted in what can only be described as
strange behavior. Eventually, the owner called the Metropolitan Nashville Police Department
(“MNPD”) for assistance. The first officer to respond was Defendant Christopher Brooks
(“Brooks”). Lee approached Brooks’s police cruiser, and Brooks got out of the cruiser to speak with
Lee. Lee’s responses to Brooks’s questions were incoherent: Lee said that his name was “Blue” and
he would point to the sky when he was asked what was going on. After he asked for Lee’s
identification, Brooks testified that he felt that Lee invaded his space about three times, and
eventually “kind of lunged” at him. Brooks then ordered Lee to place his hands behind his back.
Initially, Lee complied with Brooks’s orders, but as soon as Brooks grabbed Lee’s hands, Brooks
testified that Lee then jerked away, ripped his shirt off, spun around, and lunged at Brooks again.
Brooks responded by using pepper spray on Lee. Lee then took off running, and Brooks followed.
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Lee responded to an order to stop, and got on the ground, but as soon as Brooks approached, he fled
again. At some point during the chase, Lee—who had stripped off all of his clothes and was
nude—eventually fell down. Brooks attempted to subdue him, only to have Lee escape again. At
about the same time, other NMPD officers began responding to a radio call for assistance that was
placed by Brooks. The second officer to arrive, Defendant Jonathan Mays (“Mays”), was armed with
a Taser X26, which is manufactured by Defendant TASER International, Inc. (TASER). A few
seconds later, Defendant Ryan Scott (“Scott”) also arrived on scene.
Brooks suggested that Mays use the taser on Lee. After giving several warnings to no avail,
Mays deployed the taser for the first time.1 The taser had the intended effect, and Lee immediately
fell to the ground. During the next two minutes Mays recalled activating the taser six more times
with little or no effect on Lee. Because many of the taser activations did not incapacitate Lee, it is
unclear how many of the activations actually resulted in the taser delivering electricity to Lee. At
the same time, Brooks and Scott attempted to gain control of Lee. Brooks testified that he and Scott
tried to subdue Lee just a second or two after Lee hit the ground, and that Brooks’s arms got tangled
up in the taser wires. Scott testified that he asked Mays if he was done applying the taser before he
1
A taser device is typically deployed by pulling a trigger that releases two probes in the
direction of the target. The probes are tethered by tiny wires that conduct an electrical charge that
is transferred to the target when the probes attach to the person. The shock is designed to
incapacitate the person for about five seconds. So long as both probes are attached to the person,
the officer may deliver subsequent shocks by pulling the trigger of the device. A shock may also be
applied by directly touching an individual with taser, a technique often called a “drive stun.”
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attempted to subdue Lee because he was concerned about getting shocked.2 Other witnesses testified
that the officers backed away from Lee while he was being tased. The officers had difficulty
subduing Lee because he was struggling while naked and sweaty, and Lee also partially moved
underneath a car. The officers were able to get a single handcuff onto one of Lee’s wrists. Thinking
that Lee was under control, Mays removed his taser cartridge. However, Lee broke away from the
officers and then ran at Mays who directly administered a brief shock to Lee.
At roughly the same time, more NMPD officers arrived to the scene, including Defendants
Jamie Scruggs (“Scruggs”), Wayne Fisher (“Fisher”), John Wright (“Wright”), and Justin Pinkelton
(“Pinkelton”). Scruggs, who was also armed with a taser, testified that the first thing that he noticed
when he arrived on site was the “loud popping and crackling sound” of taser use. According to
Scruggs, his training told him that this was the sound that a taser made when it was activated but did
not have a connection with the target. Scruggs first saw Lee running between cars, sweating
“profusely,” with a single handcuff on. Scruggs further testified that he had never seen someone
behaving the way Lee was that evening. Lee came at Scruggs who ordered him to stop, and warned
Lee that he would use his taser. The warnings were ignored, and Scruggs activated his taser once
Lee was about 3 feet away, incapacitating him. Lee got up again, “almost immediately,” and Scruggs
deployed the taser a second time, with the intended effect. In what Scruggs described was an effort
to “incapacitate him so we could take him into custody,” he deployed the taser a third time, to no
effect, and Lee ran away again.
2
Apparently, Scott’s concern was unwarranted because officers can touch the body of a
suspect who is being tased without concern of being shocked.
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Mays, who had retrieved a second taser cartridge, came upon Lee, and again deployed his
taser after issuing warnings. The probes of the taser struck Lee, but Lee growled and pulled the
probes from his body, rather than falling to the ground.3 Somehow, but without the use of the taser,
Lee appears to have gone to the ground again. Scruggs, who had also retrieved a second cartridge,
went up to Lee, who was flailing and trying to get up again. Scruggs deployed his taser again, after
issuing verbal warnings and commands, because he wanted to give the officers an opportunity to
subdue Lee before he got back up. Scruggs testified that Lee fell back to the ground, but “pretty
quickly got up” again. Scruggs further testified that he pulled the trigger two more times without
effect, but on the next pull the taser worked and Lee fell back, hitting his head on an SUV’s step bar.
At this point, “[o]fficers moved in very quickly and started to wrestle with him and get him in
custody.” Still, while the officers were trying to subdue Lee, Scruggs felt that he needed to directly
apply the taser two more times, because Lee “was still actively resisting, appeared very strong, [ ]
wasn’t tired from the previous struggle, and he was very slippery so it was hard for them to get him
handcuffed.” Following the second direct application of the taser, the officers were able to place the
handcuffs on Lee. Three officers, Smith, Mallery, and Cregan, were required to pull Lee’s arms
together in order to handcuff him.
3
This was the ninth and last time that Mays deployed his taser. The download from the taser
indicates that it was deployed one more time, but it appears this was when Mays removed the
cartridge and shocked himself. Again, it is unclear how many of these applications actually resulted
in the delivery of electricity to Lee’s body, and Mays testified that only the first application
incapacitated Lee.
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Because Lee was still struggling, Cregan placed one knee between Lee’s shoulder, and his
other knee to Lee’s lower back, to keep Lee on the ground. Cregan testified that he thought this was
the safest technique for both Lee and the other officers. Cregan further testified that Lee never gave
any indication that he was having trouble breathing, and that he was in this position for at least 10
minutes before an ambulance arrived on scene. At roughly the same time as the ambulance arrived,
Cregan testified that it seemed like Lee passed out. He could still detect a pulse, but the officers
rolled Lee on his back and noticed that his lips were blue. Paramedic Laura Hitchcox (“Hitchcox”)
responded to the scene and was the first paramedic to see Lee. She testified that she found the
officers standing around Lee, who was now on his back, and she noticed that he was not breathing.
Hitchcox did not find a pulse and began to administer CPR. Lee was hooked up to a monitor, but
the paramedics were not able to employ an electrical shock because Lee’s heart was not in a
shockable rhythm. Lee was rushed to the hospital and kept on life support until September 23, 2005,
at which point the attending doctors declared Lee brain dead. Lee’s life support was removed and
he died the next day.
An autopsy revealed that Lee had LSD and marijuana in his system at the time of his death.
The medical examiner concluded that Lee’s death was due to “excited delirium,” which is a
cardiorespiratory event that can occur to someone suffering from substance abuse who went through
a long physical struggle. The autopsy also revealed that Lee had a severely aciodic blood level, but
the medical examiner explained that the aciodic blood level was not the cause of death because it
occurred after the cardiorespiratory event. Plaintiffs’ medical experts suggest instead that Lee died
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from metabolic acidosis, which, they argue, could have been caused by taser-induced muscle
contractions coupled with a deprivation of oxygen due to Cregan’s weight on Lee’s chest cavity.
B. Procedural History
Bud Lee and Cindy Lundman, Lee’s parents, brought the present action as next friends in
state court on January 27, 2005. The complaint alleged various product-liability claims under
Tennessee tort law against TASER, and other state-law claims against the Defendants Officers and
the Metropolitan Government of Nashville and Davidson County (“Nashville”). Additionally,
Plaintiffs brought claims of excessive use of force under 42 U.S.C. § 1983 against the Defendant
Officers, and a § 1983 failure to train claim against Nashville. Defendants removed the case to
federal court on February 10, 2006, and the district court later dismissed several of the state-law
claims that were brought against Nashville after deciding that they should be litigated in state court.
Lee v. Metro. Gov. of Nashville and Davidson Cnty., No. 3:06-0108, 2008 WL 501327, at *5 (M.D.
Tenn. Feb. 21, 2008).
Prior to the case going to trial, the district court issued several orders that are relevant to the
questions presented on appeal. On January 27, 2009, the district court granted summary judgment
to TASER, finding that Plaintiffs failed to present sufficient evidence to show that the Taser X26
was defective, or that TASER had failed to warn about the dangers of excessive taser use. Lee v.
Metro. Gov. of Nashville and Davidson Cnty., 596 F.Supp. 2d 1101, 1126 (M.D. Tenn. 2009). In
the same order, the district court granted summary judgment to seven Defendant Officers (Fisher,
Pinkelton, Scott, Wright, Brooks, Mallery and Smith), finding that the force used by those officers
was not excessive as a matter of law. Id. at 1116. Furthermore, the district court held that those
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officers could not be held liable for failing to intervene in any use of excessive force against Lee.
Id. at n.8. The remaining state-law battery claims and § 1983 excessive force claims against Mays,
Scruggs and Cregan, and the § 1983 failure to train claim against Nashville, proceeded to a jury trial.
Late in the trial, Plaintiffs abandoned the battery claim. R. 643, Trial Tr., at 2916. Then, after a
15-day trial, the jury returned a verdict in favor of Mays, Scruggs, and Cregan, finding that the
Defendant Officers did not use excessive force on Lee. The jury did not render a verdict on the
§ 1983 failure to train claim against Nashville because the jury instructions prohibited the jury from
considering the claim if the jury did not first find that one of the Defendant Officers used excessive
force on Lee. This appeal followed.
II. Analysis
Plaintiffs have appealed a number of issues related to the district court’s grant of summary
judgment to TASER and several Defendant Officers, and the trial. We will proceed through these
issues in turn, beginning with the grants of summary judgment.
A. Summary Judgment
Plaintiffs appeal the district court’s grant of summary judgment to TASER and Defendant
Officers Fisher, Pinkelton, Scott, Wright, Mallery, Smith and Brooks. We conduct de novo review
of a district court’s decision to grant summary judgment. Mazur v. Young, 507 F.3d 1013, 1016 (6th
Cir. 2007). “Summary judgment is proper if the evidence, taken in the light most favorable to the
nonmoving party, shows that there are no genuine issues of material fact and that the moving party
is entitled to a judgment as a matter of law.” Id. (citing Matsushita Elec. Indus. Co., Ltd. v. Zenith
Radio Corp., 475 U.S. 574, 587 (1986); Fed. R. Civ. P. 56(c)). The moving party initially bears the
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burden of showing the absence of any genuine issues of material fact, but once the movant has
satisfied that burden, “the nonmoving party must come forward with specific facts showing that there
is a genuine issue for trial.” Matsushita, 475 U.S. at 587 (internal quotation marks and citation
omitted). The nonmovant must, however, “do more than simply show that there is some
metaphysical doubt as to the material facts,” id. at 586, there must be evidence upon which a
reasonable jury could return a verdict in favor of the non-moving party to create a “genuine” dispute,
Henderson v. Walled Lake Consol. Schs, 469 F.3d 479, 487 (6th Cir. 2006). We will address the two
grants of summary judgment in turn.
1. The Defendant Officers
The district court granted summary judgment to Fisher, Pinkelton, Scott, Wright, Mallery,
Smith and Brooks after finding that none of these officers used any amount of force on Lee that rose
to the level of excessive force. Lee, 596 F. Supp. 2d at 1116. On appeal, Plaintiffs do not argue that
any one of these Defendants used excessive force, instead, they argue that summary judgment was
inappropriate because the officers could still have been liable for failing to prevent the use of
excessive force against Lee. It is indeed possible to hold a police officer liable under § 1983 for
failing to act to prevent the use of force when certain circumstances are met, see, e.g., Smoak v. Hall,
460 F.3d 768, 784 (6th Cir. 2006), but that presupposes that another officer used excessive force
against the claimant. Here, the jury found that none of the other officers (Mays, Scruggs or Cregan)
used excessive force against Lee and, as will be seen in Part II.C. infra, we decline to disturb that
finding. Because we may affirm the district court’s grant of summary judgment on grounds other
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than those employed by the district court, see Thornton v. Fed. Express Corp., 530 F.3d 451, 456
n.2 (6th Cir. 2008), and because the jury’s verdict forecloses holding these officers liable for failing
to act, we AFFIRM the district court’s grant of summary judgment as to these Defendants.
2. TASER
The district court, after finding that Plaintiffs had abandoned several of their claims against
TASER, granted summary judgment to TASER on Plaintiffs’ claims for negligence and strict
products liability. Plaintiffs have only appealed the grant of summary judgment on the product
liability claim, which is governed by the Tennessee Products Liability Act. See Tenn. Code Ann.
§ 29-28-102(6). Plaintiffs’ claim is that warnings issued by TASER failed to identify the scope of
the danger and harm that could result from the repeated use of the taser on a subject. To establish
a product-liability claim under an inadequate-warning theory, the plaintiff must show that (1) the
warning was inadequate; (2) the product was rendered unreasonably dangerous because of the
inadequate warning; and (3) the inadequate warning proximately caused the claimed injury. See
Barnes v. Kerr Corp., 418 F.3d 583, 590 (6th Cir. 2005) (citation omitted). The Tennessee Supreme
Court has provided several factors for determining whether a product’s warning is adequate: (1)
whether the warning adequately indicated the scope of the danger of the product; (2) whether the
warning communicated the seriousness of the harm that could result from misuse of the product; (3)
whether the physical aspects of the warning would alert a reasonably prudent person to the danger;
(4) whether the warning is a simple directive that fails to indicate the consequences that might follow
from a failure to heed the warning; and (5) whether the means to convey the warning were
appropriate. Id. (citing Pittman v. Upjohn Co., 890 S.W.2d 425, 429 (Tenn. 1994)).
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The warning at issue was sent by TASER on June 28, 2005—less than three months prior
to the incident at issue in the instant litigation—to the NMPD on the subject of “Restraint During
TASER System Application.” R. 347-10, Training Bulletin, at 1. The bulletin was issued as a result
of TASER’s belief “that there may be a training issue where arrest teams are avoiding touching the
subject during the TASER device application.” Id. The one-page bulletin contained five numbered
points, including in relevant part:
1. It is important to emphasize that arrest teams can handle the subject during a
TASER device application. Failure to begin restraint procedures during a TASER
device application can unnecessarily prolong the duration or number of TASER
device applications administered to a given subject.
2. Repeated, prolonged, and/or continuous exposure(s) to the TASER electrical
discharge may cause strong muscle contractions that may impair breathing and
respiration, particularly when the probes are placed across the chest or diaphragm.
Users should avoid prolonged, extended, uninterrupted discharges or extensive
multiple charges whenever practicable in order to minimize the potential for over-
exertion of the subject or potential impairment of full ability to breathe over a
protracted time period.
3. Particularly when dealing with persons showing symptoms of excited delirium,
use of the TASER system should be combined with physical restraint techniques to
minimize the total duration of the struggle and minimize the total duration of TASER
system stimulation. Excited delirium is a potentially fatal condition caused by a
complex set of physiological conditions including over-exertion of the subject and
inability for sufficient respiration to maintain normal blood chemistry. These
subjects are at significant and potentially fatal health risks from further prolonged
exertion and/or impaired breathing.
Id. TASER concluded the bulletin as follows: “Please distribute this bulletin and the attached
warnings to all TASER device operators within your agency.” Id. The “attached warnings” were
the updated overall warnings about the TASER device, which incorporated the specific warnings that
were contained in the bulletin. Id. at 2–3.
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In granting summary judgment for TASER, the district court made three findings regarding
this claim. First, the court held that TASER’s warning was adequate as a matter of law because the
bulletin: (1) adequately indicated the scope of the danger; (2) communicated the seriousness of the
harm that could result from misuse; (3) would provide an alert to a reasonably prudent person
because the format was concise and focused; and (4) the use of a separate and specific bulletin was
an appropriate means to convey the warning. Lee, 596 F. Supp. 2d at 1128. Furthermore, the court
found that Plaintiffs made no attempt to show that the two other elements of the failure to warn
claim—that the allegedly defective warning made the product unreasonably dangerous and that the
allegedly defective warning proximately caused Lee’s—were satisfied. Id.
On appeal, Plaintiffs have made the same mistake, focusing their entire argument on whether
TASER’s warning was adequate as a matter of law, and ignoring the other two elements of the claim.
Accordingly, we AFFIRM the decision of the district court on the grounds that Plaintiffs have failed
to challenge the district court’s findings on these two elements, and we decline to reach the question
of whether the warning was adequate as a matter of law. See B & H Med., L.L.C. v. ABP Admin.,
Inc., 526 F.3d 257, 265 (6th Cir. 2008) (noting that we may affirm a district court’s judgment on the
basis that the appellant has failed to challenge necessary findings).
B. Motion to Reopen Discovery
Plaintiffs argue that the district court erred in denying their motion to reopen discovery based
upon the December 2008 release of a Canadian report that found that some tested TASER devices
produced a higher amount of electrical current than TASER thought was possible. We review a
district court’s denial of a motion to reopen discovery for abuse of discretion. Audi AG v. D’Amato,
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469 F.3d 534, 541 (6th Cir. 2006). In considering a motion to reopen discovery, the court should
consider (1) when the moving party learned of the issue that is the subject of discovery; (2) how
reopening discovery would affect the ruling below; (3) the length of the previous discovery period;
(4) whether the moving party was dilatory; and (5) whether the adverse party was responsive to prior
discovery requests. Id.
There is no question that Plaintiffs were not dilatory in their effort to reopen discovery
because they filed the motion shortly after the report was issued. However, it appears highly unlikely
that the report would have affected the ruling below. First, as the district court noted, the electrical
output examined in the study was based on the electrical pulse that is created to discharge the taser,
which is not the same as the electrical pulse that is generated when the taser is actually applied to
the human body. See Lee, 596 F. Supp. 2d at 1129. Thus, it appears that the report did not have any
relevance to the question of how much electricity might have passed into Lee’s body. Second, as
the district court also noted, there are reasons to question the credibility and reliability of the report.
The report involved a small sample size of taser devices, and the report was not peer reviewed. Id.
Moreover, two of the three signatories to the study have done research on behalf of TASER’s chief
competitor. Id. at 1130. Faced with the possible irrelevance of the study, Plaintiffs have not pointed
to a particular aspect of the district court’s ruling that was incorrect, nor have they explained how
additional discovery would have impacted the district court’s grant of summary judgment to TASER.
Accordingly, we find that the district court had a sound basis for denying the motion to reopen
discovery and did not abuse its discretion.
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C. Trial Issues
1. Evidentiary Issues
Plaintiffs argue that a new trial is warranted because the district made several erroneous
evidentiary rulings. We review a district court’s rulings for abuse of discretion. Nolan v. Memphis
City Schs., 589 F.3d 257, 264 (6th Cir. 2009). An abuse of discretion occurs if we are left with the
“definite and firm conviction that the court below committed a clear error of judgment in the
conclusion it reached upon a weighing of the relevant factors or where the trial court improperly
applies the law or uses an erroneous legal standard.” Paschal v. Flagstar Bank, 295 F.3d 565,
576–77 (6th Cir. 2002) (citation, internal quotation marks and alteration omitted). “‘Broad
discretion is given to the district courts in determinations of admissibility . . . and those decisions
will not be lightly overturned.’” Nolan, 589 F.3d at 265 (quoting Tompkin v. Phillip Morris USA,
Inc., 362 F.3d 882, 897 (6th Cir. 2004)). Furthermore, even if the district court’s evidentiary ruling
was erroneous, we will not grant a new trial if the ruling constituted harmless error. Id. at 264–65
(citation omitted).
Plaintiffs challenge three evidentiary rulings: (1) the admission of evidence regarding Lee’s
criminal record; (2) the admission of evidence of Lee’s use of illegal drugs; and (3) the admission
of evidence that Lee may have had hallucinogenic mushrooms in his stool at the time of his death.
Plaintiffs do not argue that the district court applied the incorrect legal standard in admitting this
evidence. Instead, Plaintiffs contend that the district court erred in its application of Fed. R. Evid.
403 (“Rule 403"), which provides: “Although relevant, evidence may be excluded if its probative
value is substantially outweighed by the danger of unfair prejudice, confusion of the issues, or
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misleading the jury, or by considerations of undue delay, waste of time, or needless presentation of
cumulative evidence.” “[E]vidence which tends to suggest a decision on an improper basis” can
create unfair prejudice. Paschal, 295 F.3d at 579 (citation and internal quotation marks omitted).
In the particular context of examining a district court’s Rule 403 decision, we “‘look at the evidence
in a light most favorable to its proponent, maximizing its probative value and minimizing its
prejudicial effect.’” United States v. Perry, 438 F.3d 642, 648 (6th Cir. 2006) (quoting United States
v. Zipkin, 729 F.2d 384, 389 (6th Cir. 1984)).
Lee’s History of Criminal Behavior and Drug Usage. Plaintiffs contend that the following
evidence regarding Lee’s history of criminal behavior and drug use should have been excluded: (1)
that Lee went to jail for a failed drug test and earned his G.E.D. while he was in jail; (2) that just
prior to his death, Lee was arrested for a D.U.I and trafficking and possession of various controlled
substances; and (3) that Lee had a history of using various illegal drugs. Plaintiffs correctly concede
that this evidence was relevant to the pecuniary value of Lee’s life, which, under Tennessee law, is
“based upon consideration of (a) the life expectancy of the deceased; (b) his age, condition of health,
and strength; (c) his capacity for earning money through any skill, and any art, trade or profession;
and (d) his personal habits as to sobriety and industry.” Buziashvili v. Inman, 106 F.3d 709, 716 (6th
Cir. 1997) (citing Davidson Benedict Co. v. Severson, 72 S.W. 967, 977 (Tenn. 1903)). Criminal
history is certainly relevant to this inquiry, and at least one Tennessee court has held that criminal
history is so reflective of a decedent’s ability to honestly earn a livelihood that it was reversible error
to exclude such evidence. See Hensley v. Garbin, 782 S.W.2d 480, 481 (Tenn. Ct. App. 1989). Still,
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Plaintiffs contend that the district court should not have admitted this evidence because it was unduly
prejudicial and cumulative.
At trial, the pecuniary value of Lee’s life was an issue that was actively litigated. For
example, during opening statements Plaintiffs argued that the evidence would show that Lee was a
hard worker and person of good character who was using drugs “recreationally.” Furthermore,
Plaintiffs argued that Lee was on track to have a successful career as a master carpenter or audio
engineer, and Plaintiffs introduced the testimony of an economist to establish Lee’s future earning
potential. Evidence that Lee abused drugs and was recently involved in serious criminal behavior
was certainly probative as to whether Lee’s ability to honestly earn a livelihood was diminished.
While it is true that such evidence cast Lee in a negative light, the district court sought to minimize
the prejudicial effect of this evidence in two ways. First, the district court excluded some of the
evidence regarding Lee’s recent arrest, including documentary evidence and statements made by Lee
during the arrest, as well as the fact that he was indicted and facing charges. R. 642, Tr. Trans., at
2749–50. Second, following the most damaging testimony, the district court gave a limiting
instruction to the jury: “Members of the jury, at this point I want to give you a limiting instruction.
This information is being admitted only as it may be relevant to the pecuniary value of Mr. Lee’s
life.” Id. at 2770–71. This instruction minimized the potential prejudicial effect of the evidence.
See United States v. Talley, 164 F.3d 989, 1000 (6th Cir. 1999). If, for example, the parties had
disputed whether Lee was under the influence of drugs at the time of this evidence, then perhaps we
could see how this evidence might have prejudiced the jury’s determination of that question. But,
the parties do not dispute that Lee was under the influence of drugs, and we do not see any way in
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which this evidence might have affected the outcome of the trial. For these reasons, we find that the
district court did not abuse its discretion in admitting the evidence of Lee’s criminal history and past
drug use.
Dr. Guillamondegui’s Testimony. Plaintiffs also object to an aspect of the testimony of Dr.
Oscar Guillamondegui, one of the physicians who attended to Lee after he was admitted to the
hospital. Specifically, Dr. Guillamondegui testified that he noticed unusual long-stemmed
mushrooms in Lee’s stool that looked like hallucinogenic mushrooms. R. 641, Trial Tr., at 2505–07.
Furthermore, Dr. Guillamondegui testified that based on his observation he ordered toxicology tests
to be performed on the stool, but the tests were never completed because Lee passed away. Id. at
2506–07. First, with regard to whether this testimony was speculative, Dr. Guillamondegui’s
testimony fit within the guidelines of Fed. R. Evid. 701, which provides that a lay witness may testify
on those opinions that are “(a) rationally based on the perception of the witness, (b) helpful to a clear
understanding of the witness’ testimony or the determination of a fact in issue, and (c) not based on
scientific, technical, or other specialized knowledge . . .” Dr. Guillamondegui specifically noted that
his testimony on this issue was based on his personal experience and not on the basis of his medical
expertise.
This testimony had probative value as further evidence of Lee’s history of drug use, and also
as evidence of Lee’s possible drug use immediately before the incident. Moreover, any prejudicial
effect of this testimony was minimized by Dr. Guillamondegui’s admission that he was not an expert
on the matter, Plaintiffs’ opportunity to cross-examine Dr. Guillamondegui, and the expert testimony
offered by Plaintiffs’ own witnesses that the mushrooms seen by the doctor could not have been
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Bud Lee, et al v. Metro. Govt. of Nashville, et al
hallucinogenic mushrooms. Furthermore, even if the jury gave undue weight to this lay testimony
because the witness was a doctor, it is difficult to see how it could have affected the outcome of the
trial because it was already undisputed that Lee was on hallucinogenic drugs at the time of the
incident. Thus, even assuming that the admission of this evidence was prejudicial, it was still
harmless error, and accordingly, we find that the district court did not err in admitting this testimony.
2. Closing Argument
Plaintiffs also argue that Defense counsel made inappropriate statements regarding Lee’s
history of criminal activity and drug use during closing arguments. To be granted a new trial on this
ground, Plaintiffs “must show both that the closing argument was improper and that [they were]
prejudiced by the impropriety, that is, that there is a reasonable probability that the jury’s verdict was
influenced by the improper argument.” Fuhr v. Sch. Dist. of City of Hazel Park, 364 F.3d 753, 760
(6th Cir. 2004). Furthermore, where the party failed to object to the closing argument, this Court
places a more substantial burden of showing prejudice on the party seeking a new trial. Id. (citing
Strickland v. Owens Corning, 142 F.3d 353, 358 (6th Cir. 1998)).
Most of the statements made by Defense counsel were simply accurate representations of the
trial testimony that was admitted regarding Lee’s history of criminal activity and drug use. Further,
our review of the transcript shows that Defense counsel was using the testimony for the purpose
rebutting Plaintiffs’ arguments regarding the pecuniary value of Lee’s life:
So you must decide whether or not you find more credible the fantasy of [the expert
witness] as to this bright, responsible everyday working person who was going to
earn all of this money legally through his blood, sweat and tears, or whether or not
you were really dealing with someone else, because you heard testimony from at least
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
two people in this courtroom who have also said that they purchased drugs from him
....
R. 644, Trial Tr., at 3343–44. The only portion of the closing argument that we find troubling is that
Defense counsel suggested once that Lee was a “trafficker” of drugs. Id. at 3343. There was some
evidence that Lee had been cultivating drugs and selling them to friends and family, but it does not
appear that there was evidence that Lee’s drug selling activity went beyond that, as the “trafficker”
label suggests. Still, assuming for a moment that this statement was improper, Plaintiffs did not
object to it, and they cannot show that they suffered substantial prejudice as a result of the comment.
It can hardly be said that there is a reasonable probability that this single instance of exaggeration,
during a lengthy trial, would have influenced the jury’s verdict, particularly when the comment was
unrelated to the question of whether excessive force was used. Furthermore, any prejudice that
might have resulted from this statement would have been minimized by the court’s instruction to the
jury: “Evidence does not include any statement of the attorneys during the trial, including closing
arguments. You must decide for yourself whether you believe the facts show what the attorneys have
argued they show.” R. 590, Jury Inst., at 6. Because Plaintiffs cannot demonstrate plain error, we
find that this statement does not warrant granting a new trial.
3. Preponderance of the Evidence
Plaintiffs request that this Court grant a new trial because the verdict returned by the jury in
favor of Mays, Scruggs, and Cregan was against the clear weight of the credible evidence. Plaintiffs
made a similar argument below, in their motion for a new trial, preserving this issue for appeal. We
review a district court’s decision to deny a new trial on the basis of the weight of the evidence for
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
abuse of discretion. Barnes v. City of Cincinnati, 401 F.3d 729, 743 (6th Cir. 2005). “‘In ruling on
a motion for a new trial based on the ground that the verdict is against the weight of the evidence,
the trial court must compare the opposing proofs, weigh the evidence, and set aside the verdict if it
is of the opinion that the verdict is against the clear weight of the evidence.’” Id. (citing J.C. Wyckoff
& Assocs., Inc. v. Standard Fire Ins. Co., 936 F.2d 1474, 1487 (6th Cir. 1991)).
Plaintiffs argue that the district court abused its discretion in denying the motion for a new
trial because the district court declined to make credibility determinations regarding the testimony
of various witnesses. In considering Plaintiffs’ weight of the evidence arguments, the district court
considered the reasonableness of three conclusions: (1) whether the jury could have reasonably
determined that Mays’s use of the taser was not an excessive use of force; (2) whether the jury could
have reasonably determined that Scruggs’s use of the taser was not an excessive use of force; and
(3) whether the jury could have reasonably determined that Cregan did not use excessive force. In
analyzing each of these conclusions, the district court considered the evidence proffered by both
parties, and specifically noted that both parties offered compelling evidence. See Lee v. Metro. Govt.
of Nashville, No. 3:06-0108, 2009 WL 2462209, at *6–10 (M.D. Tenn. Aug. 10, 2009). Ultimately,
as to each conclusion, because there was compelling evidence in both directions, the district court
reasoned that the jury must have afforded more credibility to the testimony of the police officers.
The district court declined to remake those credibility determinations.
Plaintiffs’ contention that the district should have reconsidered the credibility of the
witnesses relies on a misunderstanding of our precedents. The purpose of allowing the district court
to reexamine the evidence in considering a motion for a new trial is to ensure that the jury did not
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return a verdict that has little or no basis in the evidence presented at trial. But where there was
probative evidence presented to the jury that supports the jury’s ultimate verdict, it is not within the
province of the court to overturn the jury’s decision to accept that evidence. In other words, “[a]
verdict is not unreasonable merely because other inferences or conclusions could have been drawn
or because other results are more reasonable.” Nolan, 589 F.3d at 264. Moreover, “‘[w]itness
credibility is solely within the jury’s province, and this court may not remake credibility
determinations.’” McDonald v. Petree, 409 F.3d 724, 731 (6th Cir. 2005) (quoting United States
v. L.E. Cooke Co., Inc., 991 F.2d 336, 343 (6th Cir. 1993)); see also Holmes v. City of Massillon,
78 F.3d 1041, 1047 (6th Cir. 1996) (noting that a trial judge may not “substitute[] his judgment of
the facts and the credibility of the witnesses for that of the jury”). Accordingly, the district court’s
decision to decline to remake credibility determinations was proper, and certainly not an abuse of
discretion.
Plaintiffs also refer this court to arguments made at the district court by reference in the
appellate brief. This Court has expressly held that this practice is not permitted and, therefore, we
decline to address those arguments. Northland Ins. Co. v. Stewart Title Guar. Co., 327 F.3d 448,
453 (6th Cir. 2003) (“[W]e join the many circuits that have explicitly disallowed the incorporation
by reference into appellate briefs of documents and pleadings filed in the district court.”).
For all of these reasons, we AFFIRM these decisions of the district court, and we decline
to overturn the jury’s verdict in favor of Mays, Scruggs and Cregan.
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
D. The Jury Instructions and Municipality Liability
Plaintiffs also contend that a new trial is warranted because the jury instructions should have
allowed the jury to consider whether Nashville was liable for failing to train the Defendant Officers
under the theory that the collective actions and inactions of the officers resulted in the use of
excessive force against Lee, even if no individual officer was found to have used excessive force.
We review a district court’s jury instructions for abuse of discretion. In re Scrap Metal
Antitrust Litigation, 527 F.3d 517, 536 (6th Cir. 2008). The “inquiry into jury instructions is limited
to whether, taken as a whole, the instructions adequately inform the jury of the relevant
considerations and provide the jury with sound basis in law with which to reach a conclusion.”
Pivnick v. White, Getgey & Meyer Co., LPA, 552 F.3d 479, 488 (6th Cir. 2009) (citation omitted).
However, even erroneous instructions do not require reversal unless the instructions are “confusing,
misleading, and prejudicial.” Id. (emphasis added). Thus, we will “‘not reverse a decision on the
basis of an erroneous jury instruction where the error is harmless.’” Id. (quoting Barnes v. Owens-
Corning Fiberglas Corp., 201 F.3d 815, 822 (6th Cir. 2000)). Rule 51 of the Federal Rule of Civil
Procedure governs jury instructions, objections and errors. Generally, a party may only assign an
error in two instances: “(A) an error in an instruction actually given, if that party properly objected;
or (B) a failure to give an instruction, if that party properly requested it and—unless the court
rejected the request in a definitive ruling on the record—also properly objected.” Fed. R. Civ. P.
51(d)(1). If the issue was not preserved in one of those two ways, we have the discretion to consider
plain errors that affect the substantial rights of the party. See Fed. R. Civ. P. 51(d)(2); see also
Alsobrook v. UPS Ground Freight, Inc., 352 F. App’x 1, 2 (6th Cir. 2009) (noting that our review
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
of plain errors in jury instructions is discretionary). Plain error review is a “very high standard,” and
the appellant has the burden to demonstrate plain error. Alsobrook, 352 F. App’x at 2–3 (citations
omitted). Moreover, the advisory committee’s note to Rule 51 suggests that “the plain error standard
is less likely to be met in civil cases than in criminal cases.” Id. at 3 (citing Fed. R. Civ. P. 51
advisory committee’s note (2003)). If plain error does exist, we then “‘examine the proceedings in
their entirety in the light of the proofs at trial, to determine whether the errors affected substantial
rights,’” such that a new trial is warranted. Id. at 3 (quoting Rush v. Ill. Cent. R.R., 399 F.3d 705,
715 (6th Cir. 2005)).
Before delving into Plaintiffs’ alleged error, it is necessary to briefly discuss § 1983
municipality liability. The question of whether a municipality is liable under § 1983 has two parts:
“(1) whether [the] plaintiff’s harm was caused by a constitutional violation, and (2) if so, whether
the city is responsible for that violation.” Collins v. City of Harker Heights, Tex., 503 U.S. 115, 120
(1992) (citations omitted). Thus, under part one of the inquiry, a municipality cannot be held liable
under § 1983 “based on the actions of one of its officers when in fact . . . the officer inflicted no
constitutional harm.” City of Los Angeles v. Heller, 475 U.S. 796, 799 (1986); see also Wilson v.
Morgan, 477 F.3d 326, 340 (6th Cir. 2005) (“In fact, because the jury found no constitutional
violation . . . the county could not have been found liable. . . for an allegedly unconstitutional custom
or policy.”); Ewolski v. City of Brunswick, 287 F.3d 492, 516 (6th Cir. 2002) (“Where, as here, a
municipality’s liability is alleged on the basis of the unconstitutional actions of its employees, it is
necessary to show that the employees inflicted a constitutional harm.”); Doe v. Sullivan County, 956
F.2d 545, 554 (6th Cir. 1992) (“Heller simply reaffirmed that a determinative issue in § 1983 claims
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
against municipalities is whether the plaintiff has suffered a deprivation of his constitutional
rights.”).
If there is an underlying constitutional violation in satisfaction of part one of the inquiry, the
Supreme Court has articulated the circumstances under which a municipality may be held liable for
that constitutional violation beginning with Monell v. Dep’t of Soc. Servs. of City of New York, 436
U.S. 658 (1978). In Monell, the Court rejected a respondeat superior theory and held that a
municipality may only be held liable under § 1983 when an official policy or custom “‘causes’ an
employee to violate another’s constitutional rights.” Id. at 691–92. Regarding a municipality’s
failure to train employees, the Court later explained that “the inadequacy of police training may
serve as the basis for § 1983 [municipality] liability only where the failure to train amounts to
deliberate indifference to the rights of persons with whom the police come into contact.” City of
Canton v. Harris, 489 U.S. 378, 388 (1989). “Deliberate indifference,” the Court has repeatedly
emphasized, “is a stringent standard of fault, requiring proof that a municipal actor disregarded a
known or obvious consequence of his action.” Connick v. Thompson, 131 S. Ct. 1350, 1360 (2011)
(citation and alteration omitted). In requiring this stringent standard, the Court has rejected the
notion that a negligent training program can create municipality liability, noting that federal courts
should generally refrain from “second-guessing municipal employee-training programs.” Canton,
489 U.S. at 391–92.
With these precepts in mind, we turn to the relevant jury instructions that were issued by the
district court in this case. First, regarding the underlying constitutional violation, the instructions
required the jury to consider whether Mays, Scruggs or Cregan individually and separately used
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
excessive force on Lee, prohibiting the jury from considering the collective actions of the officer:
“In this case, the Defendant Police Officers did not act in unison, and you must consider separately
the actions of each of them. Thus, you may find liability by none of them, or all of them, or any of
them individually.” R. 590 Jury Instr., at 19. Next, regarding municipality liability under a failure
to train theory, the instructions provided: “Your verdict will be for plaintiffs and against defendant
[Nashville] only if you find that one or more of the Defendant Police Officers deprived Mr. Lee of
a constitutional right by use of excessive force . . . .” Id. at 21. Thus, the instructions required that
the jury find that at least one of the Defendant Officers (Mays, Scruggs or Cregan) used excessive
force against Lee, before the jury could consider whether Nashville should be held liable for a failure
to train.
Because the jury found that Mays, Scruggs and Cregan did not use excessive force, the jury
was prohibited from considering the liability of Nashville. Our finding that the jury verdict in favor
of those officers should stand leaves Plaintiffs searching for another source of an underlying
constitutional violation that would allow municipality liability to attach to Nashville. Plaintiffs have
responded by attacking the jury instructions, arguing that the jury should have been permitted to find
that the collective actions and inactions of the officers resulted in the use of excessive force against
Lee, even if no individual officer used excessive force. The gist of this collective action/inaction
theory is that each effective taser application incapacitated Lee for approximately 5 seconds, during
which the other officers should have taken advantage of this “window of opportunity” to subdue and
handcuff Lee. Plaintiffs argue that the officers’ repeated failure to take advantage of the window of
opportunity resulted in further unnecessary taser applications. Thus, Plaintiffs contend, even if no
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
one individual police officer used excessive force, their combined actions and inactions—the
repeated application of the taser, followed by the failure to take advantage of the window of
opportunity—resulted in the use of excessive force against Lee. Plaintiffs have cited to a few cases
that support the proposition that the collective actions and inactions of government employees may
cause a constitutional violation. See, e.g., Epps v. Lauderdale County, 45 F. App’x 332, 335 (6th
Cir. 2002) (Cole, J., concurring) (“Moreover, it is possible that no one individual government actor
may violate a victim’s constitutional rights, but that the ‘combined acts or omissions of several
employees acting under a governmental policy or custom may violate an individual’s constitutional
rights.’”) (quoting Garcia v. Salt Lake County, 768 F.2d 303, 310 (10th Cir. 1985)); Speer v. City
of Wynne, 276 F.3d 980, 986 (8th Cir. 2002).
The problem with Plaintiffs’ alleged error is that Plaintiffs did not advance this collective
action/inaction theory at trial. The district court noted that “the first time [Plaintiffs] offer[ed] the
notion that the ‘collective actions of officers can be the cause of a constitutional injury and form the
basis of a municipal claim, even though no individual officer’s actions rise to the level of excessive
force,’” was in their reply to the Defendant’s response to Plaintiffs’ motion for a new trial. Lee,
2009 WL 2462209, at *4. Our own review of the record confirms the district court’s view. Indeed,
Plaintiffs’ proposed jury instructions lacked an instruction regarding a collective action/inaction
theory of excessive force, R. 578, Lee Jury Instr., at 3–6, and Plaintiffs’ proposed special-verdict
form only allowed the jury to consider whether Mays, Scruggs, or Cregan—separately and
individually—used excessive force on Lee, R. 579, Lee Jury Verdict Form, at 1–3. Likewise,
Plaintiffs did not object to the lack of a collective action/inaction instruction at the jury charging
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
conference, nor did Plaintiffs object to the fact that the jury instructions explicitly prohibited the jury
from considering the collective actions of the officers.4 Thus, because Plaintiffs failed to preserve
this claim of error for appeal, our review “is discretionary, and only for plain error that affected
[Plaintiffs’] substantial rights.” Eid v. Saint-Gobain Abrasives, Inc., 377 F. App’x 438, 442 (6th Cir.
2010) (citing Fed. R. Civ. P. 51(d)(2)).
Under the circumstances of this case, we find that it is appropriate to decline to review
Plaintiffs’ alleged error. “The purpose of Rule 51 is to give the district court an opportunity to
correct errors in the jury instructions and to lessen the burden on the appellate courts.” Reynolds v.
Green, 184 F.3d 589, 595 (6th Cir. 1999); see also Preferred RX, Inc. v. American Prescription
Plan, Inc., 46 F.3d 535, 547 (6th Cir. 1995) (“”[T]he basic purpose of Rule 51 [is] to alert the trial
judge to potential problem areas so that the jury can be clearly and correctly instructed.”). “This rule
was not intended to require pointless formalities, but rather was designed to prevent unnecessary new
trials caused by errors in jury instructions that the district court could have corrected if timely
4
Plaintiffs did properly object to another matter, arguing that the jury did not need to find an
underlying constitutional violation by Mays, Scruggs, or Cregan before considering whether to hold
Nashville liable under a failure-to-train theory. See Lee, 2009 WL 2462209, at *3 & n.2. However,
in compliance with Rule 51, we require a party to “distinctly state[] the issue objected to and the
ground for that objection,” and “a party cannot state one ground for objection during trial and then
state a different ground for objection on . . . appeal.” Anchor v. O’Toole, 94 F.3d 1014, 1020 (6th
Cir. 1996) (citation and quotation marks omitted); see also Eid, 377 F. App’x at 441 (noting that this
Circuit “generally requires formal requests and objections” to jury instructions). Plaintiffs’ objection
did not include any statement that would resemble a request or objection regarding a collective
action/inaction instruction in compliance with Rule 51. See R.643, Trial Tr., at 2917–21. In sum,
Plaintiffs objection on this separate matter will not allow them to escape plain error review.
Furthermore, we note that any suggestion that the jury could have considered whether
Nashville was liable on a failure to train theory without first finding an underlying constitutional
violation is clearly wrong. See Collins, 503 U.S. at 120.
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
brought to its attention.” Reynolds, 184 F.3d at 595. The jury instructions issued in this case
represented a rather ordinary theory of municipality liability that was premised on the municipality’s
failure to train officers who individually used excessive force on Lee. Our task on appellate review
is to ensure that these instructions had a sound basis in the law as it pertains to the theory advanced
by Plaintiffs. See Pivnick, 552 F.3d at 488. Plaintiffs—rather than argue that the district court erred
with regard to the instructions on the theory that they advanced at trial—assign error and seek a new
trial on the basis that they now wish to pursue an additional theory of § 1983 liability. Alleging an
error in jury instructions premised on a theory that was not presented to the district court is beyond
the basic purpose and scope of Rule 51 and we think that granting a new trial on that basis would
be unwise.
Moreover, even if we were to assume that Plaintiffs’ claim of error has merit, it likely falls
under the doctrine of “invited error.” This doctrine “refers to the principle that a party may not
complain on appeal of errors that he himself invited or provoked the court or the opposite party to
commit.” Harvis v. Roadway Exp. Inc., 923 F.2d 59, 60 (6th Cir. 1991) (citation omitted); see also
Ford v. County of Grand Traverse, 535 F.3d 483, 490–91 (6th Cir. 2008) (explaining the invited-
error doctrine). Indeed, we have applied this doctrine when a party requests one jury instruction and
then later complains about that very instruction on appeal. Harvis, 923 F.2d at 61–62. Here, any
alleged error was invited by Plaintiffs’ request for jury instructions that only allowed the jury to
consider whether an individual officer used excessive force, and the fact that Plaintiffs did not pursue
a collective action/inaction theory at trial. See Lively v. Elkhorn Coal Co., 206 F.2d 396, 399 (6th
Cir. 1953) (declining to review a claimed error where “[a]ppellant requested no instruction on the
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
theory of the case which he now urges upon us, took no exception to the failure of the Trial Judge
to so instruct the jury, and did not obtain a ruling on such a theory”).
Finally, we note that even if the district court committed error here, the error would be
harmless and would not affect Plaintiffs substantial rights because we think that the evidence
presented by Plaintiffs at trial did not show that Nashville was deliberately indifferent regarding the
training of officers on taser use. Plaintiffs argue that the fundamental flaw in Nashville’s training
program was that the officers “had very little, if any, useful training on . . . how to take a suspect into
custody during [t]aser use.” Lee Br. at 8. Because of this, Plaintiffs maintain, the assisting officers
failed to take advantage of the window of opportunity, which led to unnecessary taser applications,
and ultimately, Lee’s death. However, the evidence presented at trial shows that Nashville was
aware of this problem and took affirmative steps to train their officers accordingly in the months
immediately preceding Lee’s September 2005 death. First, the Training Bulletin that we discussed
in Part II.A.2. infra, was sent by the NMPD to all taser officers, including Mays and Scruggs, in June
2005. See R. 347-23, Mays Email ‘Read Receipt’; R. 347-24, Scruggs Email ‘Read Receipt’. Later,
on August 26, 2005, the NMPD sent a second email to taser operators that highlighted these issues
with even more specificity. R. 347-26, Email to Taser Operators. The email noted that “[i]t cannot
be emphasized enough that during the window of opportunity, that officers can go hands on without
fear of being incapacitated by touching a suspect undergoing [taser application].” Id. at 2. Further,
the email specifically instructed taser operators to issue “verbal commands during and after the
[taser] application” to other officers to ensure that they “subdue and cuff [the target] without
hesitation.” Id. Plaintiffs’ argument is that these emails were inadequate, and that the NMPD should
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No. 09-6083
Bud Lee, et al v. Metro. Govt. of Nashville, et al
have conducted hands-on training regarding these issues that included non-taser operators. However,
“a plaintiff seeking to establish municipal liability on the theory that [a training program] has led an
employee to violate a plaintiff’s rights must demonstrate that the municipal action was taken with
‘deliberate indifference’ as to its known or obvious consequences . . . . A showing of simple or even
heightened negligence will not suffice.” Bd. of Cnty. Com’rs of Bryan Cnty., Okl. v. Brown, 520
U.S. 397, 407 (1997) (citing Canton, 489 U.S. at 388–89). These emails show that Nashville did not
disregard a known or obvious consequence of the problems associated with officers failing to take
advantage of the window of opportunity. If it were true that Nashville should have done more, such
as conducting hands-on training, Plaintiffs’ allegations might support a finding that Nashville was
negligent. But our cases require more. The story might be different if, for example, Plaintiffs had
presented evidence that Nashville was aware that officers were continuing to fail to take advantage
of the window of opportunity after the Summer 2005 training emails were distributed. See Brown,
520 U.S. at 407–08 (noting that the continued adherence to a training approach that the municipality
knows has failed to prevent tortious conduct be employees may demonstrate deliberate indifference).
Upon our own review of the evidence presented at trial, we do not find any evidence that would
suggest that Nashville was deliberately indifferent. Thus, any alleged error in the jury instructions
would be harmless because Plaintiffs would be unable to prevail on their § 1983 claim against
Nashville.
Plaintiffs had ample opportunity to seek a collective action/inaction jury instruction.
Unfortunately, the only explanation for their failure to do so appears to be that Plaintiffs did not find
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Bud Lee, et al v. Metro. Govt. of Nashville, et al
or pursue this theory until after the trial concluded. For all of these reasons, we find that the jury
instructions in this case were proper.
III. Conclusion
For all of these reasons, we AFFIRM the orders and judgment of the district court, and we
decline to grant Plaintiffs a new trial.
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