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[PUBLISH]
IN THE UNITED STATES COURT OF APPEALS
FOR THE ELEVENTH CIRCUIT
________________________
No. 14-14708
________________________
D.C. Docket No. 3:09-cv-10727-WGY-HTS
PAULINE BURKHART,
Plaintiff - Appellee,
versus
R.J. REYNOLDS TOBACCO COMPANY,
individually and as successor by merger to the Brown and Williamson Tobacco
Corporation and the American Tobacco Company,
PHILIP MORRIS USA, INC.,
Defendants - Appellants.
________________________
Appeal from the United States District Court
for the Middle District of Florida
________________________
(March 7, 2018)
Before TJOFLAT and HULL, Circuit Judges, and BARTLE,∗ District Judge.
TJOFLAT, Circuit Judge:
∗
Honorable Harvey Bartle III, Senior United States District Judge for the Eastern District of
Pennsylvania, sitting by designation.
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This appeal, brought by three tobacco companies (“Appellants”), challenges on
multiple grounds the judgment entered against them and in favor of Pauline Burkhart
for compensatory and punitive damages. The judgment was awarded after a
bifurcated, ten-day trial in which the jury found in Burkhart’s favor on her claims of
negligence, strict liability, fraudulent concealment, and civil conspiracy. This case,
which is one of thousands of Engle progeny lawsuits initiated by smokers in the state
of Florida against this country’s major tobacco companies, has remained pending on
appeal for several years while awaiting resolution of other appeals in this Court and
the Florida Supreme Court. With the benefit of those decisions, and after carefully
reviewing the record and considering the parties’ written and oral arguments, we
affirm the District Court’s judgment in full.
I.
A. The Engle Litigation
This case has its genesis in 1994, when six plaintiffs suffering from lung
diseases sued this country’s major cigarette manufacturers for strict liability,
negligence, breach of express warranty, breach of implied warranty, fraud, conspiracy
to commit fraud, and intentional infliction of emotional distress. Walker v. R.J.
Reynolds Tobacco Co., 734 F.3d 1278, 1281 (11th Cir. 2013). The plaintiffs brought
their suit as a class action on behalf of all Florida citizens and residents “who have
suffered, presently suffer or have died from diseases and medical conditions caused
by the addiction to cigarettes that contain nicotine,” as well as their survivors. R.J.
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Reynolds Tobacco Co. v. Engle, 672 So. 2d 39, 40 (Fla. Dist. Ct. App. 1996). The
Florida trial court certified the class and divided the case up into three phases. In the
first phase, after a year-long trial, a jury decided “common issues relating exclusively
to defendants’ conduct and the general health effects of smoking,” such as causation
and the class’s entitlement to punitive damages. Philip Morris USA, Inc. v. Douglas,
110 So. 3d 419, 428 (Fla. 2013) (quoting Engle v. Liggett Grp., Inc., 945 So. 2d 1246,
1277 (Fla. 2006) (per curiam)). After deliberations, the jury answered nine questions
on the jury form, which was agreed upon by the class and the tobacco companies.
The first two answers resolved questions of causation: “1 (that smoking cigarettes
causes [20 specific diseases])” and “2 (that nicotine in cigarettes is addictive).”
Engle, 945 So. 2d at 1277. In addition to these findings, the jury found the following
with respect to the tobacco companies’ conduct:
3 (that the defendants placed cigarettes on the market that were defective
and unreasonably dangerous), 4(a) (that the defendants concealed or
omitted material information not otherwise known or available knowing
that the material was false or misleading or failed to disclose a material
fact concerning the health effects or addictive nature of smoking
cigarettes or both), 5(a) (that the defendants agreed to conceal or omit
information regarding the health effects of cigarettes or their addictive
nature with the intention that smokers and the public would rely on this
information to their detriment), 6 (that all of the defendants sold or
supplied cigarettes that were defective), 7 (that all of the defendants sold
or supplied cigarettes that, at the time of sale or supply, did not conform
to representations of fact made by said defendants), and 8 (that all of the
defendants were negligent).
Id. The jury further “made nonspecific findings in favor of the plaintiffs on Questions
4[b] (fraud and misrepresentation) and 9 (intentional infliction of emotional distress).”
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Id. at 1255. Finally, the jury found that the tobacco companies’ conduct entitled the
class to punitive damages. Id. at 1262.
In the second phase, the jury concluded that the tobacco companies were liable
to three of the class’s representatives and accordingly awarded compensatory damages
in the amount of $12.7 million. Walker, 734 F.3d at 1282. The jury also set a $145
billion punitive damages award on behalf of the entire class. Id.
The third phase would have asked new juries to “decide specific causation and
damages for the remaining class members in Phase III.” Graham v. R.J. Reynolds
Tobacco Co., 857 F.3d 1169, 1175 (11th Cir. 2017) (en banc), cert. denied, 138 S. Ct.
636 (2018). However, before Phase III began, the tobacco companies appealed the
judgments in both of the first two phases of the trial. Id. at 1178. The Florida
Supreme Court affirmed in part and reversed in part. Engle, 945 So. 2d at 1254. The
Court held that class certification was impossible with respect to the upcoming third
phase of the trial, which involved questions of liability to individual plaintiffs,
“because individualized issues such as legal causation, comparative fault, and
damages predominate.” Id. at 1268. However, the Court “retained” the jury’s Phase I
findings as to the tobacco companies’ conduct “other than those on the fraud and
intentional infliction of emotional distress claims, which involved highly
individualized determinations, and the finding on entitlement to punitive damages
questions, which was premature.” Graham, 857 F.3d at 1178 (quotations and
alterations omitted) (quoting Engle, 945 So. 2d at 1269). Hence the Court explained
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that going forward, individual plaintiffs could pursue “individual damages actions” on
their own. Engle, 945 So. 2d at 1269. When they do so, the Court explained, those
“retained findings” from the first two phases of the trial “will have res judicata effect
in those trials.” Id. The Court vacated accordingly the class-wide punitive damages
finding the jury awarded in Phase II. Id. at 1276.
Thousands of individual lawsuits followed. These suits—known commonly as
“Engle progeny” suits—presented the Florida Supreme Court with a new question
arising from its decision to give preclusive effect to the Engle jury’s Phase I findings.
This question concerned the “extent to which the smokers could rely on the approved
findings from Phase I to establish certain elements of their claims.” Graham, 857
F.3d at 1178. The Court resolved this question in Philip Morris USA, Inc. v. Douglas,
110 So. 3d 419 (Fla. 2013). It held that the Phase I findings were “common to all
class members and will not change from case to case”; hence, those findings were
sufficient to “conclusively establish” the conduct elements of the plaintiffs’ individual
claims, to the extent those findings matched the elements required to establish the
plaintiffs’ tort claims. Id. at 428–30. The Court also held that giving preclusive effect
to the Phase I findings did not violate the tobacco companies’ due process rights under
the federal Constitution. Id. at 430.
In Walker v. R.J. Reynolds Tobacco Co., we too held that giving preclusive
effect to the jury’s findings in Phase I of Engle did not run afoul of the Due Process
Clause. 734 F.3d at 1290. We explained that the Constitution requires us to give full
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faith and credit to the Florida Supreme Court’s decisions in Engle, as interpreted by
Douglas, unless doing so would violate the tobacco companies’ due process rights.
Id. at 1287. We concluded that giving preclusive effect to the Engle jury’s Phase I
findings does not so deprive the tobacco companies of their right to contest their
liability that it violates their constitutional right to due process. Id. at 1290. We
reaffirmed this conclusion en banc in Graham v. R.J. Reynolds Tobacco Co. with
respect to the negligence and strict-liability claims brought by the plaintiff in that
case. 1 857 F.3d at 1174.
B. This Case
In the instant case, an Engle progeny suit, Pauline Burkhart sued R.J. Reynolds,
Philip Morris, and Lorillard for negligence, strict products liability, fraudulent
concealment, and conspiracy to fraudulently conceal. Burkhart, who began smoking
in the 1950s and continued to do so until the 1990s, alleged that smoking caused her
chronic obstructive pulmonary disease (COPD). She sought compensatory and
punitive damages.
After extensive discovery and pretrial motions, the trial began on May 5, 2014.
The District Court divided the trial into two phases. In the first phase, the Court asked
the jury to consider whether Appellants were liable to Burkhart for compensatory and
punitive damages, to determine whether Burkhart was contributorily negligent, and, if
1
We did not, however, decide whether giving preclusive effect to Engle progeny plaintiffs’
fraudulent concealment and conspiracy claims violates due process, because the jury in Graham
found for the plaintiff on her negligence and strict-liability claims only. 857 F.3d at 1180.
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so, to apportion fault among Burkhart and the three tobacco companies. The Court
also instructed the jury to establish a compensatory damages award if it did find
Appellants were liable to Burkhart, and that the Court would thereafter apportion and
reduce the award based on the jury’s comparative-fault finding. The Court instructed
the jury to give preclusive effect to the Engle jury’s findings as to Appellants’ conduct
for purposes of establishing the conduct elements of Burkhart’s negligence, strict-
liability, and intentional-tort claims. In the second phase, the existence of which
depended upon the jury’s finding of liability for punitive damages in the first phase,
the Court instructed the jury to determine the proper punitive damages award.
Two days into the trial’s first phase, Burkhart suffered a medical incident in the
presence of the jury and was taken to the hospital. See infra p. 15–17. Burkhart
recovered, and the trial continued after the District Court questioned the jurors
individually about the incident’s effects on their impartiality and thereafter denied
Appellants’ motion for a mistrial.
The first phase of the trial lasted eight days. The District Court then sent the
jury to deliberate on the question of Appellants’ liability to Burkhart. The jury
instructions stated that the jury must treat as established that Appellants were
negligent in bringing their products to the market, that the products were unreasonably
dangerous, that Appellants concealed information about the risks of smoking that was
not otherwise available to the public, and that they conspired amongst themselves to
do so. The instructions did, however, explain to the jury that it must determine
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whether (1) Burkhart was a member of the Engle class; (2) whether she filed her claim
within the applicable limitations period; (3) for purposes of her negligence and strict-
liability claims, whether her smoking addiction caused her COPD; (4) for purposes of
her fraudulent concealment and conspiracy claims, whether she relied on Appellants’
concealment in continuing to smoke; and (5) for purposes of establishing Appellants’
liability for punitive damages, whether Burkhart proved by clear and convincing
evidence that Appellants’ concealed information about the risks of smoking with
knowledge of the wrongfulness of their conduct and the risks such concealment
presented to the public.
The jury returned its verdict in favor of Burkhart on all of her claims. It found
Appellants liable to Burkhart for compensatory damages and that Appellants’
intentional conduct met the statutory standard to justify an award of punitive damages.
The jury assessed Burkhart’s compensatory damages at $5 million, and found that R.J.
Reynolds’ conduct caused twenty-five percent of the damages, Philip Morris’ fifteen
percent, and Lorillard’s ten percent.
Next, the trial proceeded to its second phase, which was conducted solely for
the purpose of fixing a punitive damages amount. After less than two hours of
deliberating, the jury sent the Court a note saying that it could not “come to a
unanimous decision.” Appellants asked the Court to deliver an Allen charge to the
jury, but the Court refused to do so at that point and instead delivered a written
response instructing the jurors to continue deliberating and encouraging them to “re-
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examine” their positions if they were to “become convinced” their positions were
wrong. About forty minutes later, the jury sent a second note saying that it still could
not reach a unanimous decision “without giving up honest beliefs.” The Court then
summoned the jury, delivered this Circuit’s pattern Allen charge,2 and sent the jury
back to deliberations. Fifty minutes later, the jury returned a unanimous verdict
awarding punitive damages as follows: $1,250,000 against R.J. Reynolds, $750,000
against Philip Morris, and $500,000 against Lorillard.
After trial concluded and the District Court issued its judgment, Appellants
moved for judgment as a matter of law and a new trial. The District Court denied
those motions. Appellants timely appealed.3
II.
Appellants challenge the trial outcome on numerous grounds. Because many of
those grounds rely on conduct by the District Court and the litigants that occurred at
trial, we begin each subsection below with a recitation of the pertinent facts giving
rise to the claim at issue.
A. Statute of Limitations Instructional Error
2
See 22A C.J.S. Criminal Procedure and Rights of Accused § 1931 (2017) (“An Allen charge
is a supplemental instruction that advises deadlocked jurors to reconsider their positions and to give
deference to each other’s views with a disposition to be convinced of each other’s argument. This is
the defining characteristic of the charge. It is designed to encourage a divided jury to agree on a
verdict and avoid a mistrial, while stating the need for unanimity in the jury’s decision on the
verdict.” (footnotes omitted)).
3
During the pendency of this appeal, R.J. Reynolds replaced Lorillard as successor by
merger.
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Appellants first argue that the District Court’s jury instruction on the applicable
statute of limitations misstated Florida law and warrants a retrial. COPD, like other
smoking-related lung diseases, is a type of “creeping disease,” a disease that worsens
progressively over a relatively long period of time. Florida’s statute of limitations is
clear with regard to products-liability actions involving creeping diseases: it says the
limitations period begins “only when the accumulated effects of the deleterious
substance manifest themselves to the claimant, in a way which supplies some
evidence of causal relationship to the manufactured product.” Carter v. Brown &
Williamson Tobacco Corp., 778 So. 2d 932, 936 (Fla. 2000) (internal quotation marks
and alterations omitted). It is the jury’s responsibility to sort out when this first took
place. “[T]he question of when the statute of limitations begins to run” in a personal-
injury case involving a creeping disease “is generally treated as a fact question for a
jury to resolve.” Id. at 937 (internal quotation marks and alterations omitted).
In this case, then, the operative issue under Florida law was when the
accumulated effects of Burkhart’s COPD reached the point where she knew or should
have known that there was a causal relationship between her smoking and her COPD.
Indeed, the parties agreed on language to this effect before the Court changed it. Both
parties’ proposed instructions contained language stating that Burkhart’s suit was
barred if she “knew, or by the exercise of reasonable care should have known, before
May 5, 1990, that she had COPD and that there was a reasonable possibility that her
COPD was caused by cigarette smoking.” (Emphasis added).
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However, the District Court, believing this agreed-upon instruction misstated
the law, changed the instruction and instead told the jury:
The verdict form will ask you whether the Plaintiff knew, or in the
exercise of reasonable care should have known, before May 5, 1990, that
she was addicted to cigarettes, that she had COPD, and that her
addiction would be causative of her COPD.
(Emphasis added). Appellants argue that this instruction was unfounded under
Florida law and prejudicial to their case. They say the instruction misguided the jury:
“Questions of whether Mrs. Burkhart was addicted, whether the addiction caused her
COPD, and when she knew that it might have done so have no bearing on the proper
limitations inquiry.” This, Appellants say, prejudiced them. The statute of limitations
is an affirmative defense in Florida; hence, the burden fell on Appellants to establish
that the limitations period had lapsed when Burkhart brought suit. In their view,
“requiring [Appellants] to prove when a lay plaintiff knew she suffered an injury
caused by addiction was a considerable burden—and far more onerous than simply
requiring them to prove that she knew she suffered a disease possibly caused by
smoking.” They argue that they “put forth extensive evidence that Mrs. Burkhart’s
COPD had manifested well before 1990 and that she attributed multiple COPD
symptoms to her smoking.” Thus, the District Court’s instructional error in effect
negated this evidence.
We conclude that the District Court’s instruction was erroneous yet harmless.
The evidence in the trial record established indisputably that Burkhart was diagnosed
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with COPD after May 5, 1990. Although Appellants say they “put forth extensive
evidence that Mrs. Burkhart’s COPD had manifested well before 1990 and that she
attributed multiple COPD symptoms to her smoking,” the evidence they cite
establishes only that she experienced general smoking-related symptoms, not
symptoms that would put her on notice that she suffered from COPD. Appellants cite
testimony that Burkhart “had a really good smoker’s cough” in the 1970s, that by the
1980s “her cough was causing chest tightness and taking her breath away” and she
“began to experience shortness of breath when doing yard work, walking up stairs,
and visiting higher altitudes,” and that she “repeatedly suffered from bronchitis”
during those periods.
Under Florida law, standing alone, these symptoms could not have given
Burkhart notice that she had COPD, let alone that her claim against the tobacco
companies was legally actionable. As the Florida Third District Court of Appeal
observed in a similar tobacco case while ruling on the admissibility of expert
testimony about the timeliness of a doctor’s diagnosis of COPD in the plaintiff,
[M]any symptoms or effects that might later develop to become a
compensable injury attributable to smoking—shortness of breath, or
persistent coughing, for example—do not in isolation provide a
sufficient legal basis for initiating a lawsuit against a tobacco company.
Rather, the “manifestations” that are pertinent are symptoms or effects
that actually disclose that the prospective claimant is suffering from a
disease or medical condition caused by tobacco use, and which are thus
sufficient to assert a cause of action against the responsible
manufacturer(s). In the case at hand, Ms. Frazier could not have filed a
non-frivolous lawsuit against the appellees in 1986 on a theory that her
symptoms and pneumonia were compensable results of her addiction to
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tobacco, nor could she have filed such a lawsuit in 1987 for “pneumonia
and/or bronchitis.” It was not until February 1991 that a set of tests and a
referral adduced competent evidence that COPD/emphysema was a
likely suspect.
Frazier v. Philip Morris USA Inc., 89 So. 3d 937, 945 (Fla. Dist. Ct. App. 2012),
approved sub nom. Philip Morris USA, Inc. v. Russo, 175 So. 3d 681 (Fla. 2015).
The Court further explained,
The issue was not whether [the plaintiff] “had” the creeping, stealthy
disease of COPD/emphysema before May 5, 1990; the issue was
whether she knew, or reasonably should have known, enough to permit
her to commence a non-frivolous tort lawsuit against the appellees on the
basis of those physical, observable, patent symptoms and effects
(“manifestations”) before that date.
Id. at 946.
This analysis is true in the instant case as well. That Burkhart had a smoker’s
cough, shortness of breath, and intermittent bronchitis established only that she
suffered from respiratory symptoms that are ubiquitous among smokers, the majority
of which never develop COPD. Indeed, Appellants’ own expert witness testified that
smoker’s cough is frequent in smokers, and that most smokers who experience it do
not have or will not get COPD.
In sum, it is undisputed that Burkhart was diagnosed with COPD well after
May 5, 1990. The evidence in the record would not allow a reasonable factfinder to
find that she knew or should have known that she had a smoking-related disease prior
to her COPD diagnosis. Thus, the District Court’s instructional error was harmless,
because it could have prejudiced Appellants only if the evidence presented would
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have supported the finding that Burkhart knew or should have known that she had a
smoking-related lung disease prior to May 5, 1990.
B. Burkhart’s In-Court Medical Emergency
Next, Appellants argue that Burkhart’s medical event in the courtroom infected
the jury with prejudice. They contend the District Court should have accordingly
declared a mistrial.
Three days into the trial, about twenty minutes after the day’s proceedings
began, Burkhart suffered a medical incident. The trial record indicates she stated, “I
think I’m having a stroke.” Exactly what happened immediately afterward is unclear
from the record and subject to differing accounts: Appellants allege Burkhart
“continued crying out in pain for 20 or 30 seconds or perhaps a minute” in the
presence of the jury, while Burkhart alleges the District Court “immediately excused
the jurors.”
In any event, after the District Court dismissed the jury, Burkhart’s counsel
explained to the Court that the incident might have been related to a fall Burkhart
suffered earlier that morning, or that it might have stemmed from Burkhart’s reaction
to anxiety and stress. Appellants then moved for a mistrial on the basis that the
incident would have a “massive emotional effect” on the jury that would unduly
prejudice Appellants. After hearing arguments from both sides, the District Court
brought the jurors in and asked them one-by-one if they would be able to put the
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incident behind them in deciding the case and/or assessing damages. The Court asked
each of the eight jurors the same two questions:
[First], “do you believe that observing that incident will cause you to
have sympathy with regard to Mrs. Burkhart’s case to the point where it
influences your decision on the facts and the law? And, second, whether
or not in spite of that sympathy, which is natural—nobody should feel
embarrassed by having such sympathy—whether or not you can make
your decision strictly on the evidence presented to you, of which this
incident was not a part?”
All of the jurors assured the Court that they would not be influenced by the
incident, and that they could render their decision strictly on the basis of the evidence.
None was equivocal. One juror stated, “I do feel sympathetic, but not that it would
impede my judgment in any way.” Another stated, “I can’t say I feel any more
sympathetic today than yesterday. I understand that she’s a sick person or she
wouldn’t be in the lawsuit.” Still another said, “I’m sympathetic with her condition
and the incident that happened, but it won’t affect my decision in any way.” When
asked whether he could “honor [his] oath,” another juror answered, “Unequivocally.”
In addition, the District Court remarked that it “fully agree[d]” with the observation of
Burkhart’s counsel that the jurors “both with their body language and their tone of
voice reflected their willingness to abide by the oath and to ignore the incident.”
Despite these assurances, Appellants maintain that the jury was irreparably
prejudiced by the event. They contend that “Mrs. Burkhart’s in-court medical
emergency created just the sort of incurable prejudice that requires a new trial,”
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particularly because “it pertained directly to her claim for non-economic damages”
like pain and suffering and mental anguish.
We review a District Court’s ruling on a motion to grant a mistrial based on
unexpected events at trial for abuse of discretion. Messer v. Kemp, 760 F.2d 1080,
1087 (11th Cir. 1985). Such situations warrant considerable deference to the District
Court’s judgment: “Because the trial judge is in the best position to evaluate the
prejudicial effect of a spectator’s outburst, the decision on whether to grant a mistrial
lies within his sound discretion.” Id. Oftentimes, the District Court may cure the
error by instructing the jury to disregard the potentially prejudicial incident. See
Griffin v. City of Opa-Locka, 261 F.3d 1295, 1302–03 (11th Cir. 2001) (holding the
district court did not abuse its discretion in denying a mistrial after unexpected
“emotional outbursts from [the plaintiff] and another witness,” when “[t]he court
questioned each of the prospective jurors about what they had witnessed and what
effect it might have on their partiality” and “[e]ach juror ultimately selected to serve
on the jury stated that he or she could ignore the incident and decide the case based on
the evidence”).
Here, we conclude that the District Court did not abuse its discretion in denying
Appellants’ motion for a mistrial. Shortly after Burkhart’s medical incident, the
District Court carefully instructed the jury to disregard the episode and consider only
the evidence presented in the case when reaching its verdict. The Court also
questioned the jurors individually as to whether they would be able to keep any
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sympathy for Burkhart engendered by the incident from influencing their
deliberations. The jurors responded unequivocally that they would be able to do so.
We have no reason to doubt them under the circumstances of this case. See Raulerson
v. Wainwright, 753 F.2d 869, 876 (11th Cir. 1985) (per curiam) (“Jurors are presumed
to follow the law as they are instructed.”). We acknowledge that some events could
be so incurably prejudicial that no instruction by the District Court could possibly
remedy them. But based upon the jurors’ unanimous and unequivocal responses and
our deference to the District Court’s sound discretion as a first-hand witness to the
events in question, we are not persuaded that Burkhart’s brief, isolated medical
incident was such an event. We thus find no abuse of discretion.
C. Punitive Damages Issues
Appellants challenge two aspects of the District Court’s handling of the
punitive damages phase of the trial. First, they argue the District Court “improperly
prevented Defendants from opposing Mrs. Burkhart’s request for punitive damages—
even going so far as striking portions of the summation of Defendants’ closing
argument.” Second, they contend the District Court coerced the deadlocked jury into
reaching a unanimous verdict as to the punitive damages amount. We address each
argument in turn.
1. The District Court’s Conduct During Appellants’ Closing Arguments
During Appellants’ closing remarks, Burkhart’s counsel twice objected to
portions of their arguments concerned with the extent of Appellants’ wrongdoing in
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regards to the concealment and conspiracy torts. The District Court sustained
Burkhart’s objections and instructed the jury each time that Appellants could not re-
litigate the Engle jury’s findings. The first exchange occurred as follows:
[Appellant R.J. Reynolds’ counsel] MR. BELASIC: Now, Mr. Heimann
says, well, you know, they kept the dangers secret so she gets extra
money. You know, he didn’t mention any figure, and so we don’t know,
but what we do know is that the information on the dangers of smoking
weren’t a secret. What they’re actually saying is the tobacco companies
didn’t agree at a certain moment in time. We know they weren’t secret.
I mean, we had this battle, who could put up the most evidence of
historical knowledge and information? And I won’t belabor this. But
one of the things is we ran out of room on the board because it only went
back to the 1940s.
And the Florida Department of Health was saying 100 years ago that you
could call nicotine addictive. As far back as the 1920s—
[Burkhart’s counsel] MR. HEIMANN: I’m going to object. This is
challenging the Engle findings. The Engle findings are they concealed
information that wasn’t known or knowable. That’s the finding. He
can’t challenge that now.
THE COURT: He can. I’ll just simply partially sustain. But I’ll have to
overrule the objection as to his argument.
He has the right to argue that punitive damages are not warranted
because there’s no need to deter or punish the conduct.
MR. BELASIC: And, ladies and gentlemen, if you look in your
instructions, you will see a specific written instruction from Judge Jones
that says punitive damages cannot be based on the Engle findings.
This is a question of Mrs. Burkhart.
THE COURT: Solely on the Engle findings. It’s not enough to find
warranted damages, punitive damages solely based upon application of
the Engle finding.
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(Emphasis added). Despite the District Court’s explanation, for the next several
minutes (comprising two pages of the trial transcript), Mr. Belasic continued to argue
that Appellants never concealed information about the health risks of smoking.
Thereafter, the Court again interjected:
I think I have to re-emphasize, he cannot challenge the Engle findings.
He cannot do that, say the Engle findings are not true in this case. Can’t
do that. The Engle findings were to the effect that there was fraud and
that there was negligence.
What he can do, however, is to say that in this case, punitive damages
are not warranted under the standard I’ve given you in the legal
instructions.
So just that caution. I’m not going to stop his argument here. I just
remind you, as a matter of law, he cannot challenge the Engle findings.
Within seconds, Mr. Belasic again turned to contest whether Appellants
committed concealment:
MR. BELASIC: . . . . So let’s talk about whether or not it was concealed
and what the experts said.
We know this is the evidence.
MR. HEIMANN: Objection.
THE COURT: I’m going to sustain the objection, sir. You cannot
challenge the Engle findings that there was misstatement or not
misstatement.
MR. BELASIC: All right. May I present the evidence that Dr. Burns
presented?
THE COURT: No.
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(Emphasis added). Later, Mr. Belasic yet again returned to the issue of whether
Appellants committed fraud, to which the Court responded emphatically:
MR. BELASIC: . . . . 1990, when they observed smokers of filtered
cigarettes, they find a lower risk of lung cancer.
How is that fraud? How did they show—does this make any sense?
Would the companies want to kill their own customers? Would the
companies engage in wrongdoing if they’re going to spend all this
money to make a safer cigarette that the government tries to shut down?
Would the companies be engaged in wrongdoing if they’re working for
ten years on published safer cigarette research, and the tobacco
companies are the ones that are doing it, and the government shuts it
down?
MR. HEIMANN: Not really. There’s no evidence of this. This is—he is
coming up with—
THE COURT: I have to sustain it. I’m sorry.
The standard I’ve given you under the legal instructions, which I think
counsel is trying to change, is punitive damages. This is on instruction
number 17.
Punitive damages are warranted if you find the plaintiff has proved by
clear and convincing evidence that the defendant had actual knowledge
of the wrongfulness of its conduct.
I remind you here that wrongfulness of its conduct has already been
determined by the Engle jury. After listening to more than a year’s
worth of evidence, I’m not putting you through that burden.
The Engle jury has already decided that, including the withholding of
information about the effectiveness, according to their own research, of
filters and/or perforated filters and/or menthol.
The Engle jury already decided the wrongfulness. To the extent he’s
arguing that it was not wrongful conduct, he can’t do that. I’m sorry.
The burden here is on the plaintiff and the issue here for you to decide
on punitive damages is whether they’ve proved by clear and convincing
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evidence that the defendant had actual knowledge of the wrongfulness,
the defendant had actual knowledge of the wrongfulness. The Engle jury
has already said it was wrongful.
The question is whether they had actual knowledge of the wrongfulness
and that there was a high probability of injury or damage and despite that
knowledge intentionally pursued that course of conduct resulting in the
plaintiff’s injuries. That’s the issue.
Were they aware of the wrongfulness, not whether the wrongfulness
occurred and, therefore, I have to strike those portions where he’s simply
arguing there was no wrongful conduct. The Engle jury has already
decided that for us.
But the plaintiff’s burden is actual knowledge of the wrongfulness and
despite high probability of injury and despite that knowledge pursued the
course resulting in the plaintiff’s injuries. That’s the standard. I have to
remind the jury of that.
Appellants take issue with these interjections. They contend that the District
Court’s interruptions “reflect[ed] a fundamental misunderstanding of the role of the
Engle findings” and “improperly prevented Defendants from opposing Mrs.
Burkhart’s request for punitive damages.” In their view, cutting off Appellants’
arguments as to their degree of culpability of fraud and concealment had the effect of
conveying to the jury that the punitive damages determination was already made by
the Engle jury—this despite the punitive damages statute requiring a higher burden of
proof (clear and convincing evidence) with respect to proving the intentional conduct
required to justify punitive damages.
We disagree. District courts have “broad discretion over the scope of closing
argument.” United States v. Gaines, 690 F.2d 849, 858 (11th Cir. 1982). “Absent a
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showing of an abuse of discretion the district court will not be reversed for limiting
summation as long as the defendant has the opportunity to make all legally tenable
arguments that are supported by the facts of the case.” Id. Here, based upon the way
in which Appellants framed their closing arguments, we cannot conclude that the
District Court erred when it interjected to clarify the legal standard for the jury.
The Florida Supreme Court’s decision in Engle created a unique and difficult
challenge for juries and courts considering punitive damages claims in individual
progeny claims. In Engle, the Florida Supreme Court held that the jury’s findings in
Phase I established—with preclusive legal effect in all subsequent Engle progeny
cases—the conduct elements of the plaintiffs’ tort claims, which included fraud by
concealment, civil-conspiracy concealment, breach of implied warranty, breach of
express warranty, strict liability, and negligence. Engle, 945 So. 2d at 1254–55.
However, the Court also concluded that the jury did not and could not establish the
individualized, plaintiff-specific elements of those claims, namely, causation (did
addiction cause each plaintiff’s respiratory disease) and reliance (with regard to the
fraudulent-concealment and conspiracy claims, did the plaintiffs rely on the tobacco
companies’ misrepresentations). Id. at 1263. Thus, the Phase I jury “did not
determine whether the defendants were liable to anyone.” Id. Nor could Engle
establish the tobacco companies’ liability for purposes of awarding punitive damages.
Under Florida law, to find a defendant is liable for punitive damages, the jury must
find “that the defendant was personally guilty of intentional misconduct or gross
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negligence.” Fla. Stat. § 768.72(2). The statute then defines “intentional misconduct”
to mean “the defendant had actual knowledge of the wrongfulness of the conduct and
the high probability that injury or damage to the claimant would result and, despite
that knowledge, intentionally pursued that course of conduct, resulting in injury or
damage.” Id. § 768.72(2)(a). A plaintiff must prove such intentional misconduct by
“clear and convincing evidence.” Id. § 768.72(2).
Thus, while Engle conclusively established, by “the greater weight of the
evidence,” that Appellants concealed information and conspired to withhold that
information for purposes of awarding compensatory damages under those respective
torts, it could not establish, by clear and convincing evidence, that Appellants had
actual knowledge of the wrongfulness of their conduct and nevertheless intentionally
pursued that conduct.
The District Court sought to avoid confusion of this standard when it
interrupted R.J. Reynolds’ counsel during Appellants’ closing remarks to make
clarifying comments to the jury. 4 The District Court was concerned that counsel
blurred the distinction between arguing that Appellants did not have knowledge of the
wrongfulness of their conduct (for purposes of awarding punitive damages) and that
they did not conceal information or conspire to conceal information at all (all for
purposes of awarding compensatory damages under Burkhart’s intentional tort
4
Mr. Belasic represented Appellant R.J. Reynolds, but he argued in his closing remarks on
behalf of all three Appellants.
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claims). On each occasion in which the District Court interrupted, the Court did so to
clarify to the jury that Appellants could not challenge the Engle findings on
concealment, because R.J. Reynolds’ counsel framed his argument as challenging
whether concealment ever occurred at all.
For example, before the Court interjected the second time, Mr. Belasic began
with, “So let’s talk about whether or not it was concealed and what the experts said.”
(Emphasis added). Those same comments, “whether or not it was concealed,”
likewise preceded the District Court’s refusal to allow Mr. Belasic to discuss Mr.
Burns’s testimony. Later, Mr. Belasic stressed repeatedly that Appellants did not
commit any wrongdoing: “How is that fraud? . . . . Would the companies engage in
wrongdoing if they’re going to spend all this money to make a safer cigarette that the
government tries to shut down? Would the companies be engaged in wrongdoing if
they’re working for ten years on published safer cigarette research . . . ?” (Emphasis
added). These arguments made no mention of Appellants’ knowledge of their
wrongdoing or the lack thereof; instead, they were framed to discuss the lack of any
wrongdoing at all.
It is certainly possible that Mr. Belasic was attempting to discuss publicly
available research on the health risks of cigarettes and their own efforts to develop
filters as evidence that Appellants lacked knowledge of the wrongfulness of their
concealment, or even that the evidence did not support a finding of intentional
conduct under the clear-and-convincing standard required for awarding punitive
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damages. But Mr. Belasic did not frame his arguments this way, nor did he discuss
the different evidentiary standard that applies under Florida’s punitive damages
statute. Thus, given the misleading way in which R.J. Reynolds framed its own
arguments about Appellants’ conduct, we find no fault in the District Court’s
intervention in Mr. Belasic’s remarks to clarify the legal standard to the jury.
This is especially true considering that the jury was tasked with deciding both
compensatory and punitive damages liability at the time Appellants made their closing
arguments. This was not an argument made in a separate trial solely on the issue of
punitive damages, occurring after Appellants’ liability for compensatory damages had
been determined. The jury in this case was instead tasked with answering questions
about Burkhart’s personal situation—class membership, causation, and reliance—
upon which Appellants’ compensatory liability to Burkhart would depend. At the
same time, the jury was required to answer questions about Appellants’ conduct—
whether Appellants had actual knowledge of their wrongdoing and nevertheless
intentionally pursued the conduct in question—upon which punitive damages liability
would depend. And, the jury had to answer the latter questions while giving the Engle
jury’s findings as to Appellants’ conduct preclusive effect for purposes of awarding
compensatory damages. Thus, the District Court had to draw these distinctions
carefully so that the jurors could keep these legal standards separate in their minds.
While this task was already delicate enough, Appellants’ approach in closing
argument made the Court’s job even harder. And even when it did intervene to
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preserve these distinctions, the District Court made sure to explain to the jury that
Appellants were allowed to argue against punitive damages under the clear-and-
convincing evidence standard. For example, during its final intervention during
Appellants’ arguments, the Court explained:
The question is whether they had actual knowledge of the wrongfulness
and that there was a high probability of injury or damage and despite that
knowledge intentionally pursued that course of conduct resulting in the
plaintiff’s injuries. That’s the issue.
Thus, owing to the broader context of the case, the Court was rightfully
concerned that Appellants were attempting to muddy the legal waters for the jury by
arguing that they committed no fraud or concealment at all. We therefore find no
abuse of discretion in the District Court’s careful explanation to the jury of the various
legal standards in response to Appellants’ ambiguous comments during closing
argument.
2. The District Court’s Allen Charge
Appellants next contest the District Court’s Allen charge during the jury’s
Phase II deliberations. Once the jury delivered its Phase I verdict, which established
Appellants’ liability for compensatory and punitive damages, the trial moved to Phase
II, which was dedicated solely to setting a punitive damages amount. After the parties
presented their evidence and closing arguments, the jury entered deliberations and
quickly found it difficult to reach a unanimous verdict. The jury informed the Court
that it could not “come to a unanimous decision” and asked the Court what “the next
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step” would be. After conferring with the parties, the Court rejected Appellants’
request to give a pattern Allen charge and instead sent the following response:
Each of you must decide the case for yourself, but only after fully
considering the evidence with the other jurors. So you must discuss the
case with one another in trying to reach an agreement. While you’re
discussing the case, don’t hesitate to re-examine your own opinion and
change your mind if you become convinced that you were wrong. But
don’t give up your honest beliefs just because others think differently or
because you simply want to get the case over with. Remember that in a
very real way, you’re the judges, judges of the facts. Your only interest
is to seek the truth from the evidence in the case.
The Court explained to counsel that it chose to send this instruction instead of an
Allen charge because it was concerned about the coercive nature of Allen charges and
thus gave the above instruction to “make sure [it wasn’t] imposing undue burden on
[the jurors] to change their opinions.”
Forty minutes later, the jury again informed the Court it was unable to reach a
unanimous decision:
Your Honor, after considering the evidence with other jurors, we have
each decided the case for ourselves. We examined our own opinions and
considered and reconsidered the opinions of all jurors. Unfortunately,
we find we are still unable to reach a unanimous decision and it does not
look likely that we will be able to do so without giving up honest beliefs.
Again, our apologies, but what is our next step?
At this point, the Court decided to deliver an Allen charge. Appellants objected
on the grounds that “any further instruction would be unduly coercive.” The Court
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overruled Appellants’ objection and delivered this Circuit’s pattern Allen charge,
along with some prefatory remarks.5
5
The Court’s complete Allen charge stated:
You sent us out a note indicating further that you cannot reach a unanimous verdict.
And as I stated at the beginning of the case, you are the judges in this case. You must
make your own honest decisions attempting to come to a unanimous verdict, but only
if you can.
However, and, therefore, I emphasize that I cannot place, and am prohibited from
placing upon you, undue pressure to reach a verdict if you honestly cannot.
However, I am permitted to read you the following charge, specifically approved by
the Supreme Court and by the Eleventh Circuit. And, therefore, I ask you to follow
along with this instruction, please, as I read it.
Members of the jury[:]
I’m going to ask you to continue your deliberations, one last time, to reach a verdict.
Please consider the following comments.
This is an important case. The trial has been expensive in terms of time, effort,
money, and emotional strain to both the plaintiff and the defendant. If you fail to
reach a verdict, the case remains open and may have to be tried again.
A second trial would be costly to both sides. And there’s no reason to believe either
side can try it again better or more exhaustively than they have tried it before you.
Any future jury would be selected in the same manner and from the same source as
you.
There’s no reason to believe that the case could ever be submitted to a jury of people
more conscientious, more impartial, or more competent to decide it, or that either side
could produce more or clearer evidence.
It’s your duty to consult with one another and to deliberate with a view to reaching an
agreement, if you can do it, without violating your individual judgment.
You must not give up your honest beliefs about the evidence’s weight or effect solely
because of other jurors’ opinions or just to return a verdict. But you must each decide
the case for yourself, but only after you consider the evidence with your fellow jurors.
You shouldn’t hesitate to re-examine your own views and change your opinion if you
become convinced it’s wrong.
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The jury then resumed deliberations, and, fifty minutes later, returned a verdict.
The jury awarded punitive damages in the amount of $1,250,000 against R.J.
Reynolds, $750,000 against Philip Morris, and $500,000 against Lorillard.
Appellants argue that these instructions were unduly coercive. They observe
that this Court “still permits the standard Allen charge, but only grudgingly,” on
account of the coercive nature of such charges. Thus, Appellants contend, because an
Allen charge is already “borderline” coercive, any coercive conduct that occurs in
addition to an Allen charge is enough to “tip the balance from a barely permissible
instruction to an inherently coercive one.”
We do not disagree with Appellants to the extent they contend additional
coercive conduct by a District Court in addition to an Allen charge could tip the scales
To bring your minds to a unanimous result, you must openly and frankly examine the
questions submitted to you with proper regard for the opinion of others and with
willingness to re-examine your own views.
If a substantial majority of you is for a verdict for one party or the other, we have no
idea whom, each of you who holds a different position ought to consider whether
your position is reasonable.
It may not be reasonable since it makes so little impression on the minds of your
fellow jurors who bear the same responsibility, serve under the same oath, and have
heard the same evidence.
You may conduct your deliberations as you choose, but I suggest that you now
carefully re-examine and reconsider all the evidence in light of the Court’s
instructions on the law.
You may take all the time that you need, but I remind you that in your deliberations,
you are to consider the Court’s instructions as a whole. You shouldn’t single out any
part of any instructions, including this one, and ignore others.
One last time, I’ll ask you to return to the jury room and continue your deliberations.
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in favor of undue jury coercion. But that did not happen in this case. Appellants
claim the Court gave the jury three separate coercive instructions before and during
deliberations. The first so-called “instruction” occurred just before the jury retired to
deliberate, when the Court told the jury, “I simply remind you that anything placed on
each of the three lines must be a unanimous verdict.” Appellants claim that this
reminder was an “unwarranted repetition [that] improperly suggested that the jury had
to reach a verdict.” We reject this baseless argument: the District Court’s statement
speaks for itself.
Next, Appellants claim the District Court’s instruction to the jury after the jury
first informed the Court of its inability to reach a unanimous verdict “intensified the
pressure” to reach a verdict. Not so. The statement was considerably weaker than a
pattern Allen charge and made clear to the jurors that they should maintain their firmly
held convictions. The Court encouraged the jurors “to re-examine your own opinion
and change your mind if you become convinced that you were wrong,” but
immediately followed that exhortation up by cautioning the jurors not to “give up
your honest beliefs just because others think differently or because you simply want to
get the case over with.” Despite Appellants’ contention, the “clear import” of this
instruction was not in any way a signal to the jury that “the court refused to accept a
deadlock.” Indeed, the District Court would have been hard-pressed to craft a more
balanced and non-coercive instruction to the jury. This is especially true in light of
the short length of time the jury had been deliberating when it sent its first note to the
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Court. After ten days of trial, the jury had deliberated for well under two hours. The
District Court was well within its discretion to conclude that a full-throated Allen
charge was not yet appropriate and to instead respond to the jury in the manner in
which it did. See United States v. Alonso, 740 F.2d 862, 877 (11th Cir. 1984) (“The
timing of an Allen charge is within the trial court’s discretion.”).
Finally, the Allen charge itself (which Appellants erroneously call “a third push
for unanimity”) was a verbatim use of the pattern Allen charge used in this Circuit—
including the language making clear to the jurors that they were not expected to
abandon their honest beliefs. See Pattern Civ. Jury Instr. 11th Cir. 2.8; United States
v. Trujillo, 146 F.3d 838, 846–47 (11th Cir. 1998) (finding no abuse of discretion
when a district court used a modified Allen charge that “specifically request[ed] that
no juror [wa]s expected to give up an honest belief he or she may have as to the
weight or effect of the evidence.” (quotations omitted)). Reversal of a District Court
on the basis of an Allen charge it delivered is warranted only if the charge was
“inherently coercive.” United States v. Brokemond, 959 F.2d 206, 210 (11th Cir.
1992). The District Court’s pattern Allen charge in this case was not.
That the charge was given after the Court’s prior instruction did not make that
charge, or the totality of the circumstances, unduly coercive. We have held that a
District Court’s delivery of two Allen charges in the same trial was not an abuse of
discretion when the two charges were not coercive under the totality of the
circumstances. See United States v. Davis, 779 F.3d 1305, 1313 (11th Cir. 2015)
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(“[W]hat counts is not the number of instructions but the overall circumstances and
risk of coercion.”). In this case, the District Court initially instructed the jury to
continue deliberating by using a communication significantly weaker than a typical
Allen charge, and then followed up with a pattern Allen charge. The Court delivered
both of those communications less than three hours after jury deliberations began. See
id. at 1314 (“The risk of coercion increases as deliberations run longer.”). In both of
those communications, the Court expressly told the jurors not to abandon their honest
convictions, and the Court told the jury in its Allen charge that this would be the last
time it would instruct the jury to continue deliberating after an impasse. Thus, any
reasonable juror would have been well aware that holding firm just one more time
would have been acceptable and would have resulted in a mistrial, despite the fact that
deliberations had gone on for less than three hours in total. Simply put, the Court’s
conduct was not coercive under those circumstances. We therefore find no abuse of
discretion with respect to the Court’s instructions to the jury during Phase II
deliberations.
D. Comparative-Fault Reduction
Appellants next argue that the trial court erred in refusing to reduce the
compensatory award against them to reflect the jury’s allocation of comparative fault.
Appellants advance two grounds to support a reduction in the compensatory
damages award. First, they argue that Florida’s comparative-fault statute mandates a
reduction according to the jury’s determination of Burkhart’s comparative negligence.
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The statute, Fla. Stat. § 768.81, mandates comparative-fault reduction in negligence
and products-liability actions but does not apply “to any action based upon an
intentional tort.” Id. § 768.81(3)–(4) (emphasis added). In this case, the jury found
Appellants liable for both negligence and intentional torts. Appellants argue that the
statute is only “based upon an intentional tort” when “the entire action is founded or
constructed on an intentional tort.” (Internal quotations and alteration omitted).
This argument is foreclosed by the Florida Supreme Court’s recent decision in
Schoeff v. R.J. Reynolds Tobacco Co., 232 So. 3d 294 (Fla. 2017). In Schoeff, the
Court held that “the comparative fault statute does not apply to Engle progeny cases in
which the jury finds for the plaintiff on the intentional torts such that the
compensatory damage awards in those cases are not subject to reduction.” Id. at 298.
In this case, the jury did just that. Thus, the comparative-fault statute does not
mandate a reduction of Burkhart’s compensatory damages award.
Next, Appellants argue, notwithstanding the inapplicability of the comparative-
fault statute, Burkhart “waived any right to resist apportionment.” They argue that
she “affirmatively sough [sic] apportionment on her concealment and conspiracy
claims” and “repeatedly invited the jury to consider her degree of fault for her
injuries—without ever limiting that admission of responsibility to the claims for strict
liability and negligence.” They suggest Burkhart did so to “secure two significant
advantages: first, by admitting partial fault without qualification, to stake out a
position crafted to appear as reasonable as possible; and second, by urging a
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negligence-to-concealment comparison, to skew the allocation of fault in her favor as
much as possible.”
Appellants further argue that Burkhart cannot avoid a comparative-fault
damages reduction because the District Court led the jury to believe it would reduce
the jury’s damages award to Burkhart and then failed to do so after the verdict was
received. In support of this argument, Appellants cite the Florida First District Court
of Appeal’s decision in R.J. Reynolds Tobacco Co. v. Hiott, 129 So. 3d 473 (Fla. Dist.
Ct. App. 2014). In Hiott, the First District hypothesized that the jury might have
“reached a different verdict on damages had it known” that the trial court would not
reduce the plaintiff’s damages afterwards. Id. at 481. Put differently, Appellants
imply that the jury inflated its award to Burkhart in order to compensate for the
damages reduction it expected the District Court to employ based on her comparative
fault.
We find Schoeff instructive here as well. In Schoeff, the Florida Supreme Court
overruled Hiott “to the extent [Hiott] held that the intentional tort exception is waived
when an Engle progeny plaintiff argues comparative fault on the negligence counts.”
232 So. 3d at 306. The Court also “reject[ed] the Fourth District majority’s theory of
waiver below.” Id. The Fourth District in Schoeff had concluded that, “[b]ased on the
overall theme of Plaintiff’s representations to the jury, a reasonable jury would not
possibly understand that its comparative fault determination was going to have no
effect whatsoever on its compensatory damages award.” R.J. Reynolds Tobacco Co.
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v. Schoeff, 178 So. 3d 487, 494 (Fla. Dist. Ct. App. 2015). The Florida Supreme
Court rejected this theory and held that the Fourth District abused its discretion in
finding waiver. Schoeff, 232 So. 3d at 306.
In concluding that the Fourth District abused its discretion by finding waiver,
the Florida Supreme Court pointed out that “Mrs. Schoeff’s complaint stated that she
would seek apportionment based on comparative fault on the counts for negligence
and strict liability; however not with respect to the counts constituting intentional torts
as pled in this action.” Id. (quotations omitted) (quoting Schoeff’s complaint). The
Court further observed “[t]he verdict form also listed the intentional torts after the
interrogative about apportionment, which immediately followed the negligence
claims.” Id. And, the Court observed, “the defendants in [Schoeff] agreed to the
verdict form which asked the jury to determine whether Mr. Schoeff’s smoking was a
result of each of the negligent and intentional tort offenses the Engle jury found RJR
to have committed.” Id.
In light of Schoeff’s analysis and upon careful review of the record and trial
transcripts in this case, we are persuaded that Burkhart did not waive her right to
avoid apportionment on account of Appellants’ intentional torts. Like Mrs. Schoeff,
Burkhart stated expressly in her complaint that she sought comparative-fault
apportionment as to her negligence claims, but not as to her intentional tort claims:
Plaintiff’s actions in using Defendant’s cigarettes as marketed and
intended by Defendants and the frequency, duration, and manner of
Plaintiff’s efforts to cease smoking, should be considered by the jury
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along with Defendants’ acts and omissions for purposes of determining
whether the Plaintiff’s acts or omissions rise to the level of negligence
and constitute comparative fault, however not with respect to the counts
constituting intentional torts as pled in this action.
(Emphasis added).
Moreover, as in Schoeff, the jury’s comparative-fault percentage finding was
grouped in the section of the verdict form dealing with Burkhart’s negligence claim,
directly below the section where the jury indicated whether it found each defendant
liable for “negligence and strict-liability negligence.” The sections dealing with
Burkhart’s intentional tort claims appeared above the section dealing with her
negligence and strict-liability claims, on a different page and separated entirely from
the comparative-fault percentages section. And, just as in Schoeff, the verdict form
listed each cause of action separately, including the intentional torts, and “asked the
jury to determine whether [Burkhart’s] smoking was a result of each of the negligent
and intentional tort offenses the Engle jury found [Appellants] to have committed.”
Schoeff, 232 So. 3d at 306.
Appellants argue, however, that Burkhart “repeatedly urged the jury to give her
credit for accepting partial responsibility and to compare her own negligence to
Defendants’ supposed intentional misconduct.” Our review of the trial transcript
leads us to disagree with Appellants’ characterization of Burkhart’s position during
trial. While Burkhart admitted her partial responsibility on numerous occasions
during the trial, she never did so in an effort to urge the jury to apportion her
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comparative fault against Appellants’ intentional conduct. During his opening
statement, Burkhart’s counsel observed that Burkhart’s
responsibility has to be judged compared to the cigarette companies,
against the choices they made and the choices she made. . . . [W]e
submit to you the evidence might show that about ten percent of the
responsibility will go on Pauline Burkhart, but that is something that you
will have to decide when you hear all of the evidence. And, of course,
cigarette companies, well, they remain responsible 100 percent for their
lies.
During closing argument, counsel told the jury that “Mrs. Burkhart bears some
responsibility . . . for her own actions.” But he never suggested that this admission of
responsibility extended beyond the scope of her negligence and strict-liability claims.
The only instance in which Burkhart’s counsel compared her negligent conduct
with Appellants’ intentional conduct took place during his closing remarks. There,
counsel told the jury:
Now, you’ve got a negligent pedestrian, but an intentional wrongdoing
on the part of the driver; and under those circumstances, it seems pretty
obvious that if you’re trying to decide—allocate responsibility, fault
between the two, who gets the lion’s share of the fault?
It is true that this rhetorical question clearly compared Burkhart’s negligent conduct
with Appellants’ intentional conduct. However, in light of the entire body of the trial
record, we conclude that this statement cannot amount to a waiver of Burkhart’s
apportionment rights with respect to her negligence claims. Appellants’ argument—
that this statement and others made during trial, which failed to distinguish between
Burkhart’s negligent conduct and Appellants’ intentional conduct, amount to a waiver
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of Burkhart’s right to invoke the intentional tort exception—is the same argument
made by the Fourth District in Schoeff when it found waiver “[b]ased on the overall
theme of Plaintiff’s representations to the jury.” 178 So. 3d at 494. The Florida
Supreme Court rejected this argument in light of the plaintiff’s complaint and the
jury’s verdict form, and we reject Appellant’s claim for the same reasons.
In addition to the aforementioned statements and jury instructions separating
Burkhart’s comparative negligence from Appellants’ intentional conduct, the District
Court made clear that apportionment only applied with respect to Burkhart’s
negligence claims. At one point during closing argument, the Court interrupted
Burkhart’s counsel to clarify to the jury “that comparative fault only applies to the
unintentional torts, that is, negligence and strict liability.” The Court further
explained:
[Comparative fault is] not a defense to fraud or concealment, but it is a
defense to negligence; and therefore we ask you this question, and it
does only apply to negligence and strict liability negligence, that is, if
she’s at fault, then what percentage is she at fault? That’s comparative
negligence. And, again, it only applies to the latter two causes of action.
The instructions did not in any way discuss comparative fault in the context of
Burkhart’s intentional tort claims. In contrast, the instruction on negligence and strict
liability told the jury to “consider as to those claims the extent to which the Plaintiff’s
conduct was a legal cause of her own injuries.” “Such a finding,” observed the Court,
“would not prevent the Plaintiff from recovering but would reduce her recoverable
damages.”
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In sum, we conclude that the District Court did not abuse its discretion in
concluding that Burkhart did not waive her right to avoid apportionment on account of
the jury’s intentional tort findings. Although counsel made remarks during closing
argument that compared her negligent conduct with Appellants’ intentional conduct,
we find that these comments did not amount to a waiver of her right to avoid
apportionment, given that her counsel and the District Court made clear to the jury at
numerous times that comparative fault should only be considered as to Burkhart’s
negligence and strict-liability claims. This is so especially in light of Schoeff.
We further find that Schoeff forecloses Appellants’ waiver argument with
respect to the District Court’s instruction to the jury that it would reduce the
compensatory damages award according to Burkhart’s comparative fault. In Schoeff,
the Florida Supreme Court “reject[ed] the Fourth District majority’s theory of waiver
below.” 232 So. 3d at 306. That theory was the same theory Appellants proffer with
respect to the District Court’s jury instruction. The Fourth District concluded in
Schoeff that “[b]ased on the overall theme of Plaintiff’s representations to the jury, a
reasonable jury would not possibly understand that its comparative fault determination
was going to have no effect whatsoever on its compensatory damages award.”
Schoeff, 178 So. 3d at 494. The Florida Supreme Court rejected this theory and held
that the Fourth District abused its discretion in adopting it. Schoeff, 232 So. 3d at 306.
Here, Appellants argue that the District Court “distinctly instructed the jury that it
would reduce the amount of Mrs. Burkhart’s damages by her share of comparative
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fault, and then it failed to do so. Telling the jury that it would reduce, and then
refusing to reduce, improperly misleads the jury by definition.” This is the same
argument the Florida Supreme Court rejected in Schoeff. Accordingly, Schoeff
forecloses Appellants’ arguments with regard to the District Court’s jury instruction.
E. Federal Preemption and Due Process Limits on the Engle Jury’s Findings
Finally, Appellants argue that the District Court erred in denying Appellants’
motion for judgment as a matter of law, which was raised on the basis of federal law.
They argue Burkhart’s negligence and strict-liability claims are preempted by federal
law and her intentional tort claims are barred by due process. As Appellants concede,
their preemption argument is foreclosed by this Court’s en banc decision in Graham,
which held that “that federal tobacco laws do not preempt state tort claims based on
the dangerousness of all the cigarettes manufactured by the tobacco companies.” 857
F.3d at 1186.
As to Appellants’ due process argument, 6 Graham did not decide whether
giving preclusive effect to the Engle jury’s findings of concealment and conspiracy
violates due process. See id. at 1186 (“[G]iving preclusive effect to the findings of
negligence and strict liability by the Engle jury in individual actions by Engle class
members against R.J. Reynolds and Philip Morris does not deprive these tobacco
companies of property without due process of law.” (emphasis added)). However, we
6
This same issue is pending before this Court in Searcy v. R.J. Reynolds Tobacco Co., No.
13-15258 (11th Cir. Sept. 12, 2013).
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conclude that this Court’s shared rationale in Graham and Walker controls the issue.
Both of those cases make clear that treating as preclusive the Engle jury’s findings as
to the conduct elements of Engle progeny plaintiffs’ fraudulent concealment and
conspiracy claims does not violate due process.
In Walker, a consolidated appeal of two cases, juries found in favor of two
Engle progeny plaintiffs on their strict-liability claims and in favor of one of those
plaintiffs on his negligence claim, but found in favor of the tobacco companies in both
cases with respect to the plaintiffs’ fraudulent concealment and conspiracy claims.
734 F.3d at 1286. At trial, the District Courts had instructed the juries to treat the
Engle jury’s findings on the conduct elements of all of those claims as preclusive, and
told the juries they were only responsible for deciding whether the class membership,
causation, and damages elements were satisfied as to the two plaintiffs. Id.
The District Courts had done so in light of the Florida Supreme Court’s opinion
in Philip Morris USA, Inc. v. Douglas, which held that “[n]o matter the wording of the
findings of the Phase I verdict form, the [Engle] jury considered and determined
specific matters related to the defendants’ conduct,” and therefore that Engle progeny
plaintiffs were “entitled to rely” on those findings in progeny cases in establishing
their various tort claims. 110 So. 3d 419, 433 (Fla. 2013) (quoting R.J. Reynolds
Tobacco Co. v. Martin, 53 So. 3d 1060, 1067 (Fla. Dist. Ct. App. 2010)). The tobacco
companies took issue with the District Court’s endorsement of Florida’s approach to
issue preclusion in Douglas, arguing that the Douglas Court’s grant of preclusive
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effect to the Engle jury’s findings as to the tobacco companies’ conduct in subsequent
progeny cases violated the Due Process Clause. Walker, 734 F.3d at 1280.
On appeal, this Court analyzed “whether giving full faith and credit to the
decision in Engle . . . would arbitrarily deprive R.J. Reynolds of its property without
due process of law.” Id. at 1287. Although the plaintiffs in Walker lost on their
concealment and conspiracy claims at trial, the Court’s due process analysis
considered the propriety of giving preclusive effect to all of the Phase I findings
approved in Engle, which included the conduct elements of those intentional torts
(whether the tobacco companies conspired to and did conceal information on the risks
of smoking that was otherwise unavailable). See Walker, 734 F.3d at 1287 (analyzing
the constitutionality of giving preclusive effect to the “approved findings from Phase
I” without distinguishing the negligence and strict-liability claims from the
concealment and conspiracy claims); Engle, 945 So. 2d at 1255 (concluding “it was
proper to allow the jury to make findings in Phase I on Questions 1 (general
causation), 2 (addiction of cigarettes), 3 (strict liability), 4(a) (fraud by concealment),”
and “5(a) (civil-conspiracy-concealment)” (emphasis added)); Martin, 53 So. 3d at
1072 (“[T]he Phase I jury findings given preclusive effect in Engle established the
conduct elements of Mrs. Martin’s strict liability, fraudulent concealment, civil
conspiracy and negligence claims against RJR.” (emphasis added)).
The Court analyzed the Florida Supreme Court’s action under the due process
framework and concluded the “decision of the Supreme Court of Florida to give
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preclusive effect to the approved findings from [Engle] did not arbitrarily deprive R.J.
Reynolds of property without due process of law.” Walker, 734 F.3d at 1287. The
Court observed that “R.J. Reynolds had a full and fair opportunity to litigate the issues
of common liability in [Engle].” Id. at 1288. R.J. Reynolds, said the Court, “had an
opportunity to contest its liability and challenge the verdict form that the trial court
submitted to the jury.” Id. Then, the Court observed, after losing at trial, R.J.
Reynolds appealed the outcome to both the Florida Supreme Court, which affirmed
the trial court, and the United States Supreme Court, which denied certiorari review.
Id. Moreover, the Court pointed out, R.J. Reynolds was never deprived of its right to
contest its liability to the individual plaintiffs in subsequent progeny cases with
respect to class membership, causation, reliance, and damages. Id. Finally, the Court
concluded that R.J. Reynolds had the opportunity to argue to the Florida Supreme
Court that it was “impossible to tell whether the [Engle] jury determined that [R.J.
Reynolds] acted wrongfully in connection with some or all of its brands of cigarettes
because the plaintiffs presented both general and brand-specific theories of liability,”
in which case giving the Engle jury’s findings preclusive effect in individual progeny
cases would be unwarranted. Id. at 1289. This last issue, the Court concluded, was a
“question of fact” that the Florida Supreme Court decided—with the benefit of
adverse argument by R.J. Reynolds. Id. Thus, R.J. Reynolds had the benefit of all the
process required to satisfy the constitutional standard.
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In Graham, this Court again focused on the preclusive effect of the Engle jury’s
findings with respect to negligence and strict liability. Once again, as in Walker, the
progeny plaintiff prevailed only on her negligence and strict-liability claims.
Graham, 857 F.3d at 1180. Graham thus did not address the due process question
with regard to Graham’s concealment and conspiracy claims. As it did in Walker,
however, the Court again focused on the procedural fairness of giving preclusive
effect to the Engle jury’s findings as to the conduct elements of Graham’s claims.
The Court reiterated that “[t]he Due Process Clause requires only that the application
of principles of res judicata by a state affords the parties notice and an opportunity to
be heard so as to avoid an arbitrary deprivation of property.” Id. at 1184. Although
the Court acknowledged that the Florida Supreme Court’s decision in Engle “defined
a novel notion of res judicata,” id. at 1184, the Court observed:
[O]ur review of the record establishes that the tobacco companies had
notice that the Engle trial involved common evidence and theories of
negligence and strict liability that applied to all cigarettes manufactured
by all tobacco companies and sold to all members of the class during the
relevant periods. The tobacco companies were given an opportunity to
be heard on the common theories in a year-long trial followed by an
appeal to the Florida Supreme Court and later individual trials and
appeals on the remaining issues of proximate causation, comparative
fault, and damages.
Id. at 1185.
We are persuaded that this rationale, employed by this Court in Walker and
Graham, applies equally to the Florida Supreme Court’s similar grant of preclusive
weight to Engle progeny plaintiffs’ concealment and conspiracy claims. In both of
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those cases, the due process question depended upon an analysis of the defendant’s
opportunity to be heard in Engle. The concealment and conspiracy claims were
litigated alongside the negligence and strict-liability claims in Engle. As with the
negligence and strict-liability claims, Appellants had the opportunity to argue the
conduct elements of the concealment and conspiracy claims brought against them.
They likewise had the opportunity to protest the jury instructions given on those
claims. They enjoyed the benefit of appellate review of the jury instructions as to
those claims. And they had the opportunity to contest the Florida Supreme Court’s
factual finding in Douglas that the Engle jury’s verdict, though ambiguous,
established the individualized conduct elements of the plaintiffs’ negligence, strict-
liability, fraudulent concealment, and conspiracy claims. Finally, Appellants still
enjoyed and continue to enjoy the right to litigate the causation and reliance elements
of those intentional tort claims. As we acknowledged in Walker and Graham, the
Florida Supreme Court in Engle created a novel concept of res judicata, but that
concept does not offend the Due Process Clause.
III.
For the aforementioned reasons, we affirm the judgment of the District Court in
all respects.
AFFIRMED.
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