COURT OF APPEALS
EIGHTH DISTRICT OF TEXAS
EL PASO, TEXAS
§
IN RE: RUDOLPH AUTOMOTIVE, LLC No. 08-18-00149-CV
D/B/A RUDOLPH MAZDA and §
RUDOLPH CHEVROLET, LLC, AN ORIGINAL PROCEEDING
§
Relators. IN MANDAMUS
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§
§
OPINION
This mandamus proceeding filed in a negligence suit pits the dignity of a jury’s verdict
against the authority of a trial court to grant a new trial based on multiple grounds raised in post-
verdict motions. Real party in interest Andrea Juarez, acting individually and in a representative
capacity for her mother, Irma Vanessa Villegas,1 moved for a mistrial and a judgment
notwithstanding the jury’s verdict based on: (1) the jury’s conflicting answers on liability and
percentage of fault, (2) the jury’s award of zero and low dollar amounts for disfigurement and
other line-item damages, and (3) the trial court’s rulings on admission of evidence and other
1
We will refer to the plaintiffs collectively as “Villegas” unless context requires us to draw a distinction between
them.
matters.2 Similarly, but more narrowly, relators Rudolph Automotive LLC d/b/a Rudolph Mazda
and Rudolph Chevrolet, LLC (collectively, Rudolph or “the dealership”) filed a motion to
disregard the jury’s answer to the question on comparative responsibility asserting that the jury’s
assignment of 10% fault to the dealership conflicted with its earlier no-liability finding on
negligence.
The trial court ordered a new trial based on the following grounds: (1) the verdict included
a fundamentally defective determination of comparative responsibility in which the jury assigned
a percentage of responsibility that could not be reconciled or disregarded, and prevented the 100%
total comparative responsibility required by law; (2) the determination of zero damages for several
line items completely ignored undisputed facts, while other awards of damages fixed an amount
that was neither authorized nor supported by the evidence, and was contrary to the great weight of
the evidence; (3) that a defense expert witness intentionally injected unreliable double hearsay,
non-responsive to the question asked, in an attempt to inject an improper inference before the jury,
and even though the court admonished the witness and instructed the jury to try and eliminate the
harm, it remained obvious to the court that the harm done could not be eliminated or removed; and
(4) that the Painter v. Amerimex Drilling I, Ltd.,3decision from the Supreme Court of Texas,
handed down on the same day as the verdict, altered a major legal assumption underpinning the
trial. Given its order granting a new trial, the trial court further found that the motion for judgment
notwithstanding the verdict and motion to disregard jury findings were rendered moot. Following
these rulings, Rudolph filed this mandamus action asking this Court to direct the Honorable Patrick
2
We note that we have characterized Juarez’s motion for mistrial as a motion for new trial based on the impact of the
trial court’s ruling. The title of the motion is immaterial where it ultimately returned the case “to the posture in which
it had been before trial[,]” thereby rendering the post-verdict ruling “functionally indistinguishable from an order
granting a new trial.” State v. Garza, 774 S.W.2d 724, 726 (Tex.App.—Corpus Christi 1989, pet. ref’d).
3
See Painter v. Amerimex Drilling I, Ltd., 561 S.W.3d 125 (Tex. 2018).
2
Garcia, Judge of the 384th District Court of El Paso County, to vacate his order granting a new
trial, harmonize the verdict consistent with Rudolph’s interpretation of the jury’s verdict, render
judgment on the harmonized verdict, and award costs and other appropriate relief.
Because we conclude that Rudolph has not established that the trial court clearly abused
its discretion in ordering a new trial, we deny the petition for writ of mandamus.
BACKGROUND
Factual Background
At the end of 2013, the Rudolph car dealership scheduled its sales team to work long hours
to include eleven-hour shifts. Employees worked Monday through Saturday from 9 a.m. to 8 p.m.,
with the business occasionally closing as late as 10 p.m. Relevant here, the sales team included
manager Marcelo Flores, and salespersons, Irma Villegas and Christian Ruiz, among others.
On December 27, 2013, Flores sent Ruiz to go buy beer—paid for by Flores—for the
employees to drink. That evening, the sales team, including Flores, Ruiz, and Villegas, drank the
beer while on the dealership’s premises. After 8 p.m., Ruiz brought a beer to Flores who had been
working at his desk on a sales report. A short time later, Flores went to the salesroom and ordered
everyone who remained to leave for the day. Ruiz left the building and got into his truck to drive
home. He had parked in the front sales area of the dealership lot. Close in time, Villegas also left
the building and walked toward her car.
As Ruiz drove forward toward the exit of the lot, he struck Villegas with his vehicle. The
impact caused Villegas to fall and strike her head on the ground; and, as a result, she sustained a
severe traumatic brain injury which left her permanently paralyzed on her left side. Due to her
medical treatment, a portion of her skull was necessarily removed which caused a facial deformity.
As of trial, Villegas resided in a nursing home, while her daughter, Andrea Juarez, assumed
3
responsibility for her care.4
After the incident occurred, police officers soon arrived after receiving a call at 8:40 p.m.
During the ensuing investigation, an officer on scene administered a standard field sobriety test as
Ruiz admitted he had consumed two beers that evening.5
Procedural Background
Juarez, individually and as guardian of Villegas, filed suit against the Rudolph defendants
(the dealership and its employees) alleging that Ruiz had negligently struck Villegas with his
vehicle, while on the premises and acting in furtherance of the business of selling vehicles, after
he had consumed alcohol which was authorized and provided to him by Flores.6 Additionally, as
alternative claims, plaintiffs alleged that Rudolph had control over safety of the dealership and its
premises generally, and made little or no safety policies for the protection of plaintiff and other
persons to prevent injury from recognized hazards on the premises. Villegas further alleged that
Rudolph failed to provide a safe work place and failed to adequately train and supervise its
employees. Lastly, as an independent claim, Villegas filed a claim of negligence against Ruiz.
Prior to trial and relevant to this mandamus, Villegas filed a motion for partial summary
judgment asserting that the evidence established that both she and Ruiz were acting in the course
and scope of employment at the time of her injury as a matter of law. Villegas described that the
collision occurred “on Rudolph’s premises at a place intended by Rudolph for use by its employees
to drive their vehicles and park, and in an area where employees performed services for Rudolph.”
Villegas asserted that the long-standing access/premises doctrine applied such that Ruiz and
4
On September 13, 2020, Villegas died during the pendency of this appeal.
5
During trial, toxicologists retained by both sides agreed that Ruiz’s blood-alcohol concentration (BAC) was
estimated as .02 percent, as shown by later testing, at the time of the impact.
6
Our mandamus record includes “Plaintiff’s Supplemental Petition of January 12, 2018.”
4
Villegas were deemed as acting in the course of employment at the time of the incident regardless
of whether they were “off the clock” when it occurred.
Responding to this motion, Rudolph asserted that Villegas had applied the wrong legal
standard and misinformed the court on the correct analysis of course and scope of employment.
Rudolph asserted it was “known and undisputed that Rudolph [is] a non-subscriber,” and as a
consequence, “Texas common law governs this Court’s analysis of the course and scope issue.”
Rudolph further asserted that Ruiz and Villegas were not acting in the course and scope of
employment at the time of the incident as both were leaving the dealership after they had finished
their work. In footnote one, Rudolph pointedly argued as follows:
Ruiz is the only relevant actor for the course and scope analysis when considering
whether Rudolph is either vicariously liable or liable via respondeat superior. The
question of whether Ms. Villegas was in the course and scope of employment is
only relevant to whether Rudolph has access to certain common law defenses,
including contributory negligence. If Ms. Villegas was in the course and scope of
her employment at the time of the accident, then Rudolph may lose its ability to use
certain common-law defenses.
Rudolph cited to Painter v. Amerimex Drilling I, Ltd., 511 S.W.3d 700, 701 (Tex. App.—
El Paso 2015) (Painter I), rev’d, 561 S.W.3d 125 (Tex. 2018) (Painter II), a vicarious liability
case from this Court which had been, by then, granted discretionary review by the Supreme Court
of Texas but had not yet been finally resolved. After quoting from Painter I, Rudolph argued that
the proof necessary to place an employee within the course and scope of employment in a vicarious
liability case versus a workers’ compensation case differed and required a higher standard of proof.
Arguing her claim fell under the Texas Workers' Compensation Act, Villegas replied that there
was “no reason to use a double standard to determine course and scope of employment in direct
action (non-subscriber) cases and workers’ compensation cases, especially where the plaintiff was
an employee injured by a fellow employee on the premises of the employer with the manager on
duty . . . .” And more specifically addressing and distinguishing from Painter I, Villegas argued
5
the case involved a different legal theory than hers given that the underlying collision which caused
the injury had occurred miles away from the jobsite, not on the work premises.
Neither party points us to a ruling on Villegas’s motion for partial summary judgment. Yet,
we can surmise from our record that the trial court remained unconvinced that the course and scope
issue could be decided as a matter of law. Our record shows that once plaintiffs rested their case
in chief, the trial court again considered the course and scope issue, but this time raised by Rudolph.
By a motion for directed verdict, Rudolph argued that the evidence established that Ruiz had not
been acting in the course and scope of his employment at the time of the occurrence as a matter of
law. After the trial court denied a directed verdict, the issue of course and scope, relative to all
three employees, Villegas, Ruiz, and Flores, was submitted to the jury as a fact question (Question
1), along with corresponding questions of negligence and comparative responsibility (Questions
2, 3, and 4).
Trial and the Jury’s Verdict
Following a nearly three-week trial, the jury ascribed negligence to Flores, Ruiz and
Villegas, but none to Rudolph. On the question of course and scope, the jury found that manager
Flores was acting in the course of his employment, but Villegas and Ruiz were not. The jury
assigned percentages of fault as follows: Rudolph (10%), Flores (25%), Ruiz (35%), and Villegas
(30%).
In total, the jury awarded roughly $4 million in damages to plaintiffs. At issue here, the
jury found zero for past disfigurement yet determined $200,000 for future disfigurement; zero for
Juarez’s provision of past household services to her mother, but $150,000 for such provision of
future services; zero for past or future loss of parental consortium; and, lastly, $25,000 to Villegas
6
for past and future pain and suffering and a like amount for past and future impairment. 7
After the jury returned its verdict, they were discharged by the trial court without objection.
That same day, the Supreme Court of Texas handed down its decision in Painter v. Amerimex
Drilling I, Ltd., 561 S.W.3d 125, 139 (Tex. 2018) (Painter II), in which it reversed our judgment
and remanded the case to the trial court for further proceedings. In Painter II, the Supreme Court
found that genuine issues of material fact precluded summary judgment in favor of the employer
on the issue of course and scope of employment. Id.
Post-Verdict Proceedings
Following the verdict and discharge of the jury, Rudolph filed a motion to disregard the
jury’s finding to Question 4, in which the jury assigned 10% comparative fault to the dealership,
and for entry of judgment on the remainder of the verdict. Because the jury answered that Rudolph
was not negligent in Question 2, the dealership argued that the jury’s answer to Question 4 was
immaterial. Rudolph asked the trial court to disregard the jury’s answer to Question 4, as to it only,
and apart from that one change, to sign a judgment on the remaining jury findings. Villegas also
asked for post-verdict relief by filing a motion for judgment notwithstanding the verdict and to
enter judgment, as well as a motion for mistrial. In the motion for mistrial, Villegas and Juarez
asserted eight grounds in support of the granting of a new trial.
The trial court granted the motion for mistrial, and in doing so, identified as meritorious
some but not all grounds advanced by Villegas. This mandamus action followed.
DISCUSSION
Rudolph’s petition for mandamus review presents six issues with the first being an
7
For completeness, we detail here the other damages awarded by the jury not otherwise listed above: past medical
care of $630,000, and future medical care of $2,500,000; past physical impairment of $25,000, and future physical
impairment of $25,000; past loss of earning capacity of $150,000, and future loss of earning capacity of $240,000;
past mental anguish of $25,000, and future mental anguish of $25,000.
7
overarching issue questioning the validity of the new trial order. Five sub-issues then follow which
challenge the four grounds articulated by the trial court in the new trial order. Overall, Rudolph
generally contends that none of the grounds articulated by the trial court support the grant of a new
trial either on their face or on their merits.
To begin, we first detail the standards required of mandamus review.
I.
A.
General Mandamus Standard
To obtain a writ of mandamus, a relator must show two things: (1) a clear abuse of
discretion by the trial court and (2) no adequate remedy by appeal. In re Prudential Ins. Co. of
Am., 148 S.W.3d 124, 135-36 (Tex. 2004). The Supreme Court of Texas has recognized that there
is no adequate appellate remedy when a trial court issues an erroneous order for new trial. In re
Columbia Med. Ctr. of Las Colinas, 290 S.W.3d 204, 209-10 (Tex. 2009). As such, the second
prong of the mandamus test is established in this instance. We focus our inquiry, then, on the first
prong only, the question of whether the trial court clearly abused its discretion.
B.
Mandamus Review of New Trial Orders:
Columbia Medical Center, United Scaffolding, and In re Toyota
The use of mandamus to challenge new trial orders has been subject to much change in
recent years. Historically, however, Texas trial judges wielded virtually unfettered discretion to
order new trials. Cummins v. Paisan Const. Co., 682 S.W.2d 235, 236 (Tex. 1984) (trial court’s
order setting aside a default judgment and granting a new trial is not reviewable on appeal); see
also Johnson v. Fourth Court of Appeals, 700 S.W.2d 916, 918 (Tex. 1985) (“Trial courts have
always had broad discretion in the granting of new trials.”). Indeed, prior to 2004, appellate courts
8
could not review orders granting a motion for new trial rendered within the trial court’s plenary
power period except in very limited circumstances. See Wilkins v. Methodist Health Care Sys., 160
S.W.3d 559, 563 (Tex. 2005) (citing Johnson, 700 S.W.2d at 918).
Notably, in 2009, the Supreme Court of Texas observed that the significance of protecting
the right to a jury trial made the issuance of a new trial order an “exceptional” circumstance that
justified mandamus review. Columbia Med. Ctr., 290 S.W.3d at 209. The Court recognized that
certain harm resulted when a trial court’s new trial order failed to sufficiently articulate its
reasoning. Id. The Columbia Court described that “even if an unfavorable verdict were reversed
and rendered in Columbia's favor, Columbia would have lost the benefit of a final judgment based
on the first jury verdict without ever knowing why, and would have endured the time, trouble, and
expense of the second trial. Under the circumstances, Columbia does not have an adequate
appellate remedy.” Id. at 209-10.
Consequently, the Supreme Court imposed a new specificity requirement on new trial
orders, stating that even while it was not “retreat[ing] from the position that trial courts have
significant discretion in granting new trials,” trial judges could no longer simply state that they
made the decision to grant a new trial “in the interest of justice.” Id. at 212-13. “[S]uch a vague
explanation in setting aside a jury verdict[,]” the Court wrote, “does not enhance respect for the
judiciary or the rule of law, detracts from transparency we strive to achieve in our legal system,
and does not sufficiently respect the reasonable expectations of parties and the public when a
lawsuit is tried to a jury.” Id. at 213. Instead, Columbia determined that trial judges were required
to give an “understandable, reasonably specific explanation” in their new trial orders. Id.
Shortly thereafter, when deciding the case of In re United Scaffolding, Inc., 377 S.W.3d
685, 688 (Tex. 2012), the Supreme Court further addressed the information that would constitute
9
an understandable, reasonably specific explanation. There, in addressing the level of detail needed
for a facially valid order, the Supreme Court particularly noted that trial courts were not expected
to meet the same standard as is imposed on appellate courts. Id. at 687-88 (describing the review
standard imposed by Pool v. Ford Motor Co., 715 S.W.2d 629, 635 (Tex. 1986)). “Imposing a
Pool-like standard on trial courts would weigh too heavily against trial courts’ discretion, since
that standard would frequently be impossible for a trial court to meet.” Id. at 687. For it is
recognized that an appellate court is able to (and must) go into detail as to its reasons for
overturning a jury verdict because the appellate court has a court reporter’s record at its disposal,
whereas trial courts largely “must rely on their own observations” about what happened at trial at
the time they render their decisions. Id. at 688.
Given these distinctions, United Scaffolding concluded that trial courts are afforded
considerable discretion in ordering new trials based on two justifications, one being jurisprudential
and the other practical. Id. at 687. Regarding jury trials, the Supreme Court acknowledged that
“trial judges actually attend[ed] the trial and are best suited to evaluate its deficiencies . . . .” Id.
Consequently, it further explained that “most trial judges are understandably reluctant, after
presiding over a full trial, to do it all over again.” Id. When considering how detailed a trial court’s
new-trial order must be and what level of review to apply, reviewing courts are thus instructed to
afford jury verdicts appropriate regard but also to respect trial courts’ significant discretion in the
matter of granting a new trial. Id.
United Scaffolding clarified that the specificity standard could be met if the trial judge
provided “a cogent and reasonably specific explanation of the reasoning that led the court to
conclude that a new trial was warranted.” Id. at 688. To pass muster, the new trial order must
demonstrate on its face that “the jury’s decision was set aside only after careful thought and for
10
valid reasons.” Id. More specifically, United Scaffolding described that a trial court did not abuse
its discretion if the stated reason for granting a new trial: (1) is a reason for which a new trial is
legally appropriate (such as a well-defined legal standard or defect that probably resulted in an
improper verdict); and (2) it is specific enough to indicate that the trial court did not simply parrot
a pro forma template, but rather derived the articulated reasons from the particular facts and
circumstances of the case at hand. Id. at 688-89.8
Moving beyond facial validity, the Supreme Court next addressed “whether an appellate
court may, in an original proceeding, determine whether the reasonably specific and legally sound
rationale is actually true.” In re Toyota Motor Sales, USA, Inc., 407 S.W.3d 746, 749 (Tex. 2013).
Overturning decades of precedent and describing its decision as the next step in the logical
progression set by Columbia and United Scaffolding, the In re Toyota Court determined that, “an
appellate court may conduct a merits review of the bases for a new trial order after a trial court has
set aside a jury verdict[,]” and that if “the record does not support the trial court’s rationale for
ordering a new trial, the appellate court may grant mandamus relief.” Id.
Condensed down to core principles, the Columbia, United Scaffolding, and In re Toyota
8
In United Scaffolding, the trial court’s order articulated four reasons—including the impermissible reason “in the
interest of justice and fairness”—that were all linked together by the connector “and/or.” Because the use of and/or
left open that possibility that “in the interest of justice” was the sole rationale, the Supreme Court of Texas granted
mandamus relief, vacated the amended order based on the ambiguity, and outlined further steps the trial court needed
to take to make its order facially valid. Id. at 689-90. The United Scaffolding Court identified the following as reasons
that would not pass muster under Columbia:
• The reason given is legally invalid.
• The reason plainly stated that the trial court merely substituted its own judgment for the jury’s.
• The reason was that the trial court simply disliked one party’s lawyer.
• The reason was based on invidious discrimination.
• The reason is “rubber-stamped with a valid new-trial rationale” but “provides little or no insight into
the judge’s reasoning” (i.e. it involves the “mere recitation of a legal standard” that does not show
“the trial judge considered the specific facts and circumstances of the case at hand and explain[ed]
how the evidence (or lack of evidence) undermines the jury’s findings”).
• The order provides “no more than a pro forma template . . . .”
Id. at 689.
11
line of cases established a two-step analysis for deciding whether a trial court acted within the
scope of its discretion in ordering a new trial. First, we determine whether the ground stated in the
new trial order is specific enough to indicate that the trial court did not simply parrot a pro forma
template, but rather derived the articulated reason from the particular facts and circumstances of
the case at hand. Second, we then determine whether the reason articulated is one for which a new
trial is legally appropriate (such as a well-defined legal standard or defect that probably resulted
in an improper verdict). See United Scaffolding, 377 S.W.3d at 688-89; see also In re Toyota, 407
S.W.3d at 749. Under the first prong, our focus is “not on the length or detail of the reasons a trial
court gives, but on how well those reasons serve the general purpose of assuring the parties that
the jury’s decision was set aside only after careful thought and for valid reasons.” United
Scaffolding, 377 S.W.3d at 688. When a trial court order facially complies with those requirements,
the second prong then requires a review of the correctness of the trial court’s decision on its merits.
In re Toyota, 407 S.W.3d at 758. If a trial court’s articulated reasons for granting a new trial are
not supported by the underlying record, the new trial order cannot stand. Id.
II.
A.
The Comparative Responsibility Answer as to Rudolph
In Issue Two, the first sub-issue, Rudolph asserts that the trial court abused its discretion
by granting a new trial based on the jury’s answer to questions on negligence and comparative-
responsibility. Rudolph asserts a series of arguments: (1) that the trial court’s reason is facially
invalid, (2) that there is no irreconcilable conflict, as to Rudolph, between the jury’s findings of
negligence and comparative-responsibility, (3) that the trial court was obligated to harmonize the
jury verdict, and (4) even if the findings were irreconcilably conflicted, a new trial was improper
12
because Villegas did not object on a timely basis.
Although we proceed out of order, we necessarily begin with the last argument raising an
issue of error preservation.
1.
Even when reviewing error from the procedural posture of mandamus as opposed to direct
review, we must address the threshold matter of preservation of error as errors not properly
preserved cannot generally form the basis for a grant of new trial under the merits review of In re
Toyota. 407 S.W.3d at 761-62 (reversing a new trial grant that was based in part on error that was
not preserved); In re State, No. 14-18-01036-CV, 2018 WL 6722351, at *3-*4 (Tex.App.—
Houston [14th Dist.] Dec. 21, 2018, orig. proceeding) (mem. op.) (failure to obtain a ruling on a
motion in limine and failure to object when evidence was admitted waived both errors and
prevented them from being used as a basis for a new trial grant); In re Waste Management of Tex.,
Inc., 392 S.W.3d 861, 870 n.13 (Tex.App.—Texarkana 2013, orig. proceeding) (preservation
requirement applies in mandamus proceedings). That said, there are some instances in which a
motion for new trial itself acts as a vehicle for preservation of error. The question here, then, is
whether Villegas’s post-verdict motion could serve to preserve error sufficient to allow this Court
to perform a merits review of the trial court’s grant of a new trial based on purportedly conflicting
answers in the jury verdict.
Rule 295 of the Texas Rules of Civil Procedure provides that if a jury’s answers to
questions in a purported verdict are in conflict, the trial court must instruct the jury of the nature
of the problem, give the jury additional instructions as necessary, and allow the jury to deliberate
further. TEX. R. CIV. P. 295. In light of this rule, we have previously held that if a party wants to
preserve error with regard to a defective jury verdict, “[t]he trial court must be made aware of the
13
conflict before the jury is discharged because, once the jury is discharged, a conflict in the jury’s
answers cannot be reformed.” Rhey v. Redic, 408 S.W.3d 440, 464-65 (Tex.App.—El Paso 2013,
no pet.) (internal citations and quotation marks omitted). Here, it is undisputed that after the jury
rendered its verdict, but before it was discharged, the Villegas plaintiffs did not bring the issue to
the trial court’s attention.
However, in Rhey, we were not asked to address nor did we face the issue of whether a
post-discharge motion for new trial could also serve to preserve error. Thus, while Rhey confirmed
that a motion to correct the verdict is one way of preserving error in a conflicting jury verdict, it
did not preclude or otherwise address the possibility that there are other ways to preserve such
error. To date, the Supreme Court of Texas has not definitively answered that question—indeed,
the last time the issue arose, the Court splintered into three plurality positions, none of which
garnered a majority. See USAA Texas Lloyds Company v. Menchaca, 545 S.W.3d 479, 517-19
(Tex. 2018).9 Absent guidance from our highest court, we find this to be an open question.
We turn, then, to Rule 33.1, the general standard for preservation of error set by the Texas
Rules of Appellate Procedure. See TEX. R. APP. P. 33.1(a). To demonstrate preservation of a
complaint for appellate review, Rule 33.1 requires the record to show:
(1) the complaint was made to the trial court by a timely request, objection, or
motion that:
(A) stated the grounds for the ruling that the complaining party sought from
the trial court with sufficient specificity to make the trial court aware of
9
In Menchaca, a three-justice plurality held that a post-discharge motion for new trial was not sufficient to preserve
error; instead, a motion to correct the verdict prior to discharge of the jury was required. 545 S.W.3d at 517-19
(plurality op. by Boyd, J., joined by Lehrmann and Devine, JJ.). Yet, a four-justice plurality held that the failure to
object to conflicting answers before the trial court discharged the jury should not prevent appellate courts from
reviewing the merits of the conflict. Id. at 526-31 (Green, J., dissenting, joined by Hecht, C.J., and Guzman and Brown,
JJ.). Justice Blacklock concurred in the Court’s judgment without opinion, and Justice Johnson did not participate in
the decision. Id. at 521. Neither plurality opinion thus commanded the five votes necessary to become binding
precedent. See Univ. of Tex. Med. Branch at Galveston v. York, 871 S.W.2d 175, 177 (Tex. 1994) (Texas Supreme
Court plurality opinions do not constitute binding authority “[b]ecause the principles of law involved have not been
agreed upon by a majority of the sitting court”).
14
the complaint, unless the specific grounds were apparent from the
context; and
(B) complied with the requirements of the Texas Rules of Evidence or the
Texas Rules of Civil or Appellate Procedure; and
(2) the trial court:
(A) ruled on the request, objection, or motion, either expressly or implicitly;
or
(B) refused to rule on the request, objection, or motion, and the complaining
party objected to the refusal.
TEX. R. APP. P. 33.1(a).
Rule 33.1 governs the preservation of error unless another rule applies. Although Rule 295
of the Texas Rules of Civil Procedure governs the procedure for correcting a verdict, the rule itself
does not address the issue of error preservation. As such, we may rely on Rule 33.1 of the Texas
Rules of Appellate Procedure to determine if error was preserved. We hold that, in addition to a
motion to correct the verdict under TEX. R. CIV. P. 295, a motion for new trial can also preserve a
defect in a jury charge under TEX. R. APP. P. 33.1 because the post-trial motion brings the error to
the trial court’s attention close enough in time to provide it an opportunity to correct the error by
ordering a new trial before appellate proceedings begin. We agree with the four-justice plurality
in Menchaca that "[g]enerally, a party should object to conflicting answers before the trial court
dismisses the jury. The absence of such an objection, however, should not prohibit us [as an
appellate court] from reaching the issue of irreconcilable conflicts in jury findings.” Menchaca,
545 S.W.3d at 526-28 (Green, J., plurality op.).
In the absence of a motion to correct the verdict or a post-verdict motion such as a motion
for mistrial or new trial—which cites a purportedly conflicting verdict as a basis for seeking
relief—Rhey would apply, and error would not be preserved. But given that Villegas filed post-
15
verdict motions that identified the conflicting jury answers as a ground for relief, we conclude that
this basis for granting a new trial was properly raised with the trial court and not waived.
2.
Rudolph next contends the new trial order is facially invalid in that it fails to state why the
trial court could not harmonize and reapportion the percentages of fault as it was required to do.
As earlier stated, a trial judge has significant discretion in ordering new trials. Columbia
Med. Ctr., 290 S.W.3d at 212. Such discretion, however, does not permit a trial judge to substitute
his or her own views for that of the jury without a valid basis. Id. To be valid, the trial court’s
reason must be understandable and reasonably specific. Id. at 213. It must serve the general
purpose of assuring the parties that the jury's decision was set aside only after careful thought and
for valid reasons. United Scaffolding, 377 S.W.3d at 688. In other words, it must indicate that the
trial court did not simply parrot a pro forma template but derived its reasons from the particular
facts and circumstances of the case at hand. Id. at 689.
Regarding this ground, the new trial order states as follows:
The Court finds that the jury determination of comparative responsibility of
Rudolph Mazda in Question 4 is error that cannot be reconciled nor disregarded,
and prevents the 100% total comparative responsibility required by law. Without
100%, the comparative responsibility finding is fundamentally defective.
In post-verdict motions, both parties addressed the jury’s answer to Question 4. Although
both sides agreed that the answer to Question 4 created a conflict with other answers, they
advocated for directly opposite responses from the trial court. Considering the whole verdict,
Villegas argued the answer to Question 4 was fatally irreconcilable and could not be disregarded.
In Question 1 and 2, Villegas asserted that the jury concluded that Rudolph’s manager, Flores, was
negligent in the course and scope of his employment and proximately caused the occurrence.
Villegas further noted that the jury had been instructed that Rudolph acted by and through its
16
employees, agents, and representatives. Yet, in the negligence questions, Question 2 and 3, the
jury found no negligence as to Rudolph. Nonetheless, Question 4, on comparative responsibility,
the jury attributed 10% fault to Rudolph, which amount was included in arriving at 100%
responsibility. As to Rudolph, Villegas argued the jury’s answers to this series of questions was
fatally irreconcilable and could not be voided.
Rudolph countered that the jury’s answer to Question 4 was immaterial given its findings
of no liability in Questions 2. Rudolph asserted that the answer to Question 4, as to it, should
simply be disregarded.
Here, we understand the trial court to say that the apportionment of 10% responsibility to
Rudolph in Question 4 is irreconcilable with the jury’s other findings of no negligence as shown
in Question 1 (course and scope), Question 2 (general negligence), and Question 3 (premises
liability). The new trial order articulates that the court found that “Question 4 is error [in] that [it]
cannot be reconciled nor disregarded” and “prevents the 100% total comparative responsibility
required by law.” The basis given, which is supported by the record, provides an understandable
and reasonably specific explanation for granting a new trial, particularly when it is considered in
context with the parties’ post-verdict arguments. See Columbia Med. Ctr., 290 S.W.3d at 213.
Facial validity is established. We proceed to an analysis of the merits of this new trial
ground.
3.
Having decided that the explanation is facially valid, we next review the new trial order on
its merits as required by In re Toyota. Rudolph argues that the trial court could not have granted a
new trial on the ground of conflicting jury answers because a no-negligence finding in one part of
the verdict controls over a corresponding apportionment of liability in another, and the no-
17
negligence finding renders the apportionment finding immaterial for purposes of entering
judgment.
In discussing conflicting jury findings such as this one, this Court has previously validated
the general principle advanced by Rudolph, holding that “a trial [c]ourt properly harmonizes any
apparent conflict between a specific finding of no negligence as to a defendant in the liability
issues and an apportionment of negligence in the subsequent comparative negligence” by
“enter[ing] a judgment for the defendant, the rule being that the specific finding directed toward
the liability aspect of the verdict controls over the general finding of comparative negligence.” See
Garza v. Waco Scaffold & Shoring Co., 576 S.W.2d 442, 446 (Tex.App.—El Paso 1978, writ ref’d
n.r.e.). Likewise, the proposition that there is no fatal conflict when “the jury finds a party is not
negligent but then apportions to it a percentage of fault” because “[i]ssues establishing or negating
liability control over the issue which apportions, rather than establishes negligence” is the law as
understood by several of our sister courts. See Beltran v. Brookshire Grocery Co., 358 S.W.3d
263, 269-70 (Tex.App.—Dallas 2011, pet. denied) (surveying cases from the San Antonio,
Houston [1st Dist.], Tyler, Corpus Christi, Waco, and Dallas courts of appeals holding that a no-
negligence finding in a verdict renders a subsequent apportionment finding as to that party
immaterial).
Having reviewed this mandamus record, however, we conclude that this case does not
present a circumstance where the jury found Rudolph not liable and then assigned it a percentage
of liability. If such were the case, then Garza would apply. Instead, the jury in this instance found
that Rudolph employee Marcelo Flores was negligent (Question 1), while acting in the course and
scope of his employment (Question 2), but that Rudolph itself was not negligent (Question 3), yet
also finding that Flores was 25% responsible and Rudolph was 10% responsible (Question 4) for
18
plaintiff’s injuries. By instruction number two, the jury was informed that “[a] corporation acts by
and through its employees, agents and representatives.” These findings are conflicting and do not
allow for neat harmonization. In fact, these findings, all of which deal in part with Rudolph’s
negligence and its apportioned responsibility, cannot be reconciled particularly in light of the fact
that the jury attributed negligence to Flores while he was acting in the course and scope of his
employment as a Rudolph manager. Because these determinations cannot be harmonized, we
conclude that Garza does not apply.
The findings are irreconcilable, and the trial court did not err by basing its decision to grant
a new trial on this ground. We find that this ground is sufficient to support the grant of a new trial.
Accordingly, we overrule Issue Two.
B.
The Course and Scope of Employment, the Exception to the Coming-and-Going Rule,
and the Impact of Painter v. Amerimex
In Issue Three, the second sub-issue, Rudolph argues that the trial court abused its
discretion in granting a new trial to reconsider whether Rudolph’s two employees, Villegas and
Ruiz, were acting in the course and scope of employment as a matter of law based on the Supreme
Court of Texas’s decision in Painter v. Amerimex (Painter II). By directly citing Painter II, the
trial court essentially identified that Painter I, which operated as controlling authority in our
district during the trial, impacted the trial court’s rulings on pretrial motions, the presentation of
evidence during trial, and the charge given to the jury.
1.
Rudolph first contends that we need not reach the merits of the debate over Painter II’s
impact because the new trial order is facially invalid in describing its reasoning. We disagree.
Recall that the portion of the trial court’s new trial order dealing with the effect of Painter
19
reads as follows:
As an additional and independent basis for new trial, the Court finds that the Texas
Supreme Court decision in Painter v. Ameri[m]ex rendered on April 213, 2018,
[sic] the day of this Jury Verdict, was important law that affected the earlier
decision s [sic] of this Court on motions filed by the parties, the evidence presented
at trial and the charge given to the Jury. Based on the Painter opinion and other
relevant decisions and authority as set forth in Plaintiff’s Motion for Judgment
NOV, it appears to this Court that it needs to reconsider whether Irma Vanessa
Villegas and Christian Ruiz were injured in the course of employment as a matter
of law which would make Plaintiff’s claim a non-subscriber negligence case under
406.[0]33 of the Texas Labor Code, and combined with the evidence admitted at
trial, find negligence as a matter of law, thereby leaving only the issue of damages
for determination [sic].
As earlier stated, United Scaffolding merely requires a cogent and reasonably specific
explanation of the reasoning that led the court to conclude that a new trial was warranted. 377
S.W.3d at 688. Although the order need not provide a Pool-like detailed analysis, it will not stand
if it provides little or no insight into the judge’s reasoning. Id. at 687-88.
In this instance, we find that the trial court’s order was cogent, reasonably specific, and
demonstrated that the trial court did not merely parrot legal standards without consideration of the
facts. We understand the trial court to say generally that Painter I so permeated trial proceedings
from beginning to end that a new trial was warranted. Specifically, the trial court states that the
decision affected (1) its rulings on motions brought by the parties, including previous motions for
summary judgment; (2) the evidence presented at trial; (3) the charge given to the jury; and (4)
whether under the Painter II standard the trial court needed to find that Villegas and Ruiz were
injured in the course of employment as a matter of law, leaving only damages as an issue for jury
resolution.
Facial validity is established. Thus, we proceed to an analysis of the merits of whether this
ground supports a grant of new trial.
20
2.
A threshold issue in this case required the trial court to determine whether Villegas and
Ruiz were deemed as acting in the course and scope of employment as a matter of law given that
Rudolph had not only conceded the employee status of both individuals, but also conceded its
ownership of the premises where Villegas sustained her injury. Basing its case in the trial court
largely on a distinction this Court drew in Painter I, Rudolph argued that, under a task-based right
to control standard, neither Villegas nor Ruiz were acting in the course and scope of their
employment with Rudolph at the time of the incident. Specifically, Rudolph argued it did not
exercise control over the actions of either employee at the time of the incident, as both were off
duty when the incident occurred.
To resolve the mandamus challenge as to this disputed issue, we must answer three
questions. First: Did the Painter I decision affect the way this case was tried by wrongfully
demanding a task-based, on-the-clock versus off-the-clock approach to determining course and
scope of employment rather than relying on precedents applicable when employment status is not
at issue? Second: If so, was Rudolph subject to direct liability—as a nonsubscriber employer—
due to Villegas sustaining injuries, while on premises, proximately caused by a fellow employee;
or, did the coming-and-going rule preclude recovery? Third: If the exception to the coming-and-
going rule, or the so-called premises/access doctrine, should be applied to this case, was error
harmless given that Villegas received a jury instruction that included language from that doctrine?
a.
The Change in Law from Painter I to Painter II
The Painter cases involved a vehicle accident that occurred after a group of Amerimex
employees working on an oil drilling project had finished their shift and were in transit, on a remote
21
public road, headed to a bunkhouse located thirty or forty miles from the worksite. Painter I, 511
S.W.3d at 702. Amerimex provided the bunkhouse as living quarters for the crew. Id. Employee
J.C. Burchett, a crew leader, drove the vehicle. Id. Amerimex provided Burchett with daily bonus
payments if he provided other employees with transportation to the drill site to ensure they were
not hired away by other drillers in the area. Id. Following the accident, Burchett sought workers’
compensation benefits from Amerimex’s insurance carrier, but the passengers in the vehicle
forewent any such claims, and instead, filed suit against Amerimex not as employees but as third-
party plaintiffs. Id. at 703. One of the passengers’ theories of liability, which was severed from
other theories, contended that Amerimex was vicariously liable for Burchett’s actions because
Burchett was acting in the course and scope of his employment at the time of the accident. The
trial court granted summary judgment in favor of Amerimex on that theory, finding no vicarious
liability under the circumstances. Painter and the other passengers appealed to this Court. Id. at
703-04.
On appellate review, this Court held that the definition of course and scope used in the
workers’ compensation context differed from the definition used in the common-law-vicarious-
liability context because the workers’ compensation definition was grounded in a statute that
required liberal construction of its terms in favor of injured workers, whereas the common law
definition that applied to third-party claims imposed no such presumption. Id. at 708-09. We
further held that while Painter may have raised a fact issue on course and scope under the workers’
compensation standard, he could not raise a fact issue under a vicarious liability standard because:
(1) workers’ compensation law arose in the context of a pervasive statutory scheme
enacted by the Legislature to carefully balance competing interests, whereas
vicarious liability was a matter of pure policy determination and risk-shifting under
the common law, making the analytical approach between the two areas of law
substantively different; and, consequently,
22
(2) the common law vicarious liability standard was more stringent than the workers’
compensation standard and required specific proof that the employer had the right
to control the activity in question, which the Court defined under the circumstances
to include specific control over the manner of travel or the route. See id. at 708-09
& 711.
Based on this distinction, we affirmed the trial court’s grant of a no-evidence summary
judgment motion, on the course and scope of employment element, finding no evidence showing
that “Amerimex had or exercised any control over the manner of transportation—the type of
vehicle used, the qualifications of the driver, the number of passengers, or any other issues which
might implicate the kind of control that justifies shifting the risk of loss from one party to another.”
Id. at 712-13.
Finding error with our analysis, the Supreme Court of Texas reversed Painter I and
remanded the case for further proceedings. Painter II, 561 S.W.3d at 128. As a starting point, the
Supreme Court described the doctrine of respondeat superior, or vicarious liability, as meaning
“liability for one person’s fault may be imputed to another who is himself entirely without fault
solely because of the relationship between them.” Id. at 130. This common law doctrine reflects,
“a deliberate allocation of risk in line with the general common law notion that one who is in a
position to exercise some general control over the situation must exercise it or bear the loss.” Id.
at 131 (internal quotations omitted). Notably, Painter II highlighted the employer-employee
relationship as “one implicating the doctrine’s risk-shifting policies.” Id.
To recover on a third-party claim based on vicarious liability, Painter II reiterated that a
plaintiff must show that, at the time of the allegedly negligent conduct, the worker (1) was an
employee and (2) was acting in the course and scope of his employment. Id. Generally, as Painter
II explained, an employer “is insulated from liability for the tortious acts of its independent
contractors.” Id. Accordingly, disputes may arise over whether a particular worker acted as an
23
independent contractor rather than as an employee. Id. As to the first element, then, courts examine
“whether the employer has the right to control the progress, details, and methods of operations of
the work.” Id. (citing Limestone Prods. Distrib., Inc. v. McNamara, 71 S.W.3d 308, 312 (Tex.
2002)). Elaborating on the course-and-scope element when employment status is not disputed,
Painter II further described that vicarious liability arises only if the tortious act falls within the
scope of the employee’s “general authority in furtherance of the employer’s business and for the
accomplishment of the object for which the employee was hired.” Id. (citing Goodyear Tire &
Rubber Co. v. Mayes, 236 S.W.3d 754, 757 (Tex. 2007). “[T]he act must be of the same general
nature as the conduct authorized or incidental to the conduct authorized.” Id. (internal quotations
omitted). “[I]f an employee deviates from the performance of his duties for his own purposes, the
employer is not responsible for what occurs during that deviation.” Id.
Contrary to our decision in Painter I, the Supreme Court held that the task-based, right-to-
control test was not relevant to the second prong of the analysis, that is, the determination of
whether an employee was acting within the course and scope of employment. Id. at 132. Rather,
the right-to-control test applied solely to the first prong of determining whether an actor is deemed
an employee or independent contractor, and whether a third party can hold the employer liable
(for actions of an employee) or not liable (for actions of an independent contractor). Id. at 131-32.
Painter II reiterates that when an employer-employee relationship “is undisputed, the employer
essentially concedes the existence of the right to control that is necessary to give rise to the
relationship.” Id. at 132. Because Amerimex conceded that Burchett worked as its employee, the
focus of the inquiry shifted to whether he was acting within the course and scope of employment
at the time he was driving from the drill site to the bunkhouse. Id. The Court clarified that “[t]he
employer’s right to control the work, having already been determined in establishing the employer-
24
employee relationship, is not part of this analysis.” Id. at 132-33.
Pursuant to the so-called coming-and-going rule, Amerimex argued that an employer is
generally not liable for the acts of its employees while the employee traveled to and from work.
Id. at 135. As to this argument, Painter II acknowledged: “[w]e have long recognized a version of
this principle in the workers’-compensation context, holding that as a general rule an injury
received while using the public streets and highways in going to or returning from the place of
employment is not compensable because not incurred in the course of employment.” Id. at 136
(citing Tex. Gen. Indem. Co. v. Bottom, 365 S.W.2d 350, 353 (Tex. 1963) (a case arising under the
Texas Workers’ Compensation Act) and TEX. LABOR CODE ANN. § 401.011 (12) (defining “course
and scope of employment in Workers’ Compensation Act to exclude, with limited exceptions,
“transportation to and from the place of employment”)) (internal quotations omitted). Painter II
thus confirmed that the coming-and-going rule and the special assignment exception to that rule,
both of which are concepts borne from workers’ compensation jurisprudence, continued to apply
when determining vicarious liability. Id. This holding ran contrary to Painter I, in which we held
that the standard for determining course and scope of employment under the vicarious liability
standard was both different and more stringent than the standard set forth under applicable
workers’ compensation law.
Applying the coming-and-going rule and its exceptions to the question of whether an
employee was acting within the course and scope of employment, Painter II concluded that a fact
issue existed with regard to the third-party claims of the passengers: that is, the evidence showed
that one of Burchett’s specific duties included his provision of transportation of his crew to and
from the drilling site, which benefitted Amerimex, who needed the crew to show up for each shift
as planned. Id. at 135. The fact that Amerimex chose not to control the specific details of the
25
transportation arrangement did not change the fact that Amerimex inherently retained the ability
to control those details given Burchett’s employment. Id. Because the evidence raised at least a
fact issue, the Supreme Court reversed the grant of summary judgment and remanded the case for
further proceedings. Id.
In summary, Painter I, which operated as controlling law during the bulk of trial
proceedings in this case, wrongly held that even if an employee was acting within the course and
scope of employment as understood under the Workers’ Compensation Act, the evidence must
further show that the employer exercised actual control of the specific task to impose third party
liability. In short, Painter I demanded a standard that required courts or a trier of fact to look at
the specific task being performed and determine whether that task was subject to the employer’s
actual control. If so, the employee was deemed as acting in the course and scope of employment
and vicarious liability could attach; if not, vicarious liability could not attach.
By confirming the application of concepts borne from workers’ compensation
jurisprudence, Painter II rejected the task-based control approach to vicarious liability when
employee status is undisputed and only course and scope remained a contested issue. For
imposition of liability, Painter II clarified that the dispositive issue simply questioned “whether
the employee was performing the tasks generally assigned to him in furtherance of the employer’s
business” by “acting with the employer’s authority and for the employer’s benefit[,]” not whether
the employer controlled the manner and means in which the employee performed the activity at
the time of the occurrence. Painter II, 561 S.W.3d at 138-39.
b.
The Effect of Painter II on this Case
It is fair to say that Rudolph tried this case largely in the shadow of Painter I. Villegas
26
asserted she sought recovery for injuries incurred while working for a non-subscribing employer
pursuant to section 406.033 of the Texas Labor Code. In furtherance of her claim, she argued that
she and Ruiz were employed by Rudolph and were working on Rudolph’s premises when she
sustained an injury in the course of her employment. Despite conceding the employment status of
both Villegas and Ruiz, Rudolph opposed liability based on an argument that neither Ruiz nor
Villegas were acting in the course and scope of their employment at the time of the incident.
Rudolph relied on a task-specific, on-the-clock versus off-the-clock standard for establishing
course and scope.
Rudolph argued it could not be held liable for Villegas’s injuries, either directly or
vicariously, because it did not control the actions of either employee at the time of the injury, as
the incident occurred after the close of business while the employees were engaged in leaving the
premises. Indeed, Rudolph explicitly cited to Painter I in its response to the plaintiff’s motion for
summary judgment in arguing for a control-based definition of “in the course and scope of
employment” that was more stringent than how that term was traditionally defined in the workers’
compensation context. But Painter I created a distinction in how course and scope of employment
was defined that Painter II expressly refuted when employment status of an employee is not
disputed.
Explaining the general framework of vicarious liability, Painter II reiterated that “liability
for one person’s fault may be imputed to another who is himself entirely without fault solely
because of the relationship between them.” Painter II, 561 S.W.3d at 130 (citing St. Joseph Hosp.
v. Wolff, 94 S.W.3d 513, 540 (Tex. 2002) (plurality op.)). Painter II described the reasoning for
not applying a task-based test in the vicarious liability context as follows:
Amerimex would have us reevaluate the worker’s employment status for vicarious-
liability purposes by isolating the task the worker was performing at the moment of
27
the accident and conducting an independent evaluation of the employer’s control
with respect to that particular task. This position is inconsistent with the framework
we have described. Further, it results in an unworkable paradigm that conceivably
could result in an individual shifting between employee and independent contractor
status countless times in a given work day. (Internal quotations omitted).
See Painter II, 561 S.W.3d at 133 (citing Mid-Continent Cas. Co. v. Andregg Contracting, Inc.,
391 S.W.3d 573, 578 (Tex.App.—Dallas 2012, pet. denied)).
At least when it comes to the element of course and scope and whether employer liability
may be imputed for injuries that occur while going to and from a workplace, the standards of direct
and vicarious liability are one and the same. Id. at 136. We agree with the trial court that the Painter
line of decisions had a substantial effect on the way this case was tried by wrongly pulling the
focus from our long-standing jurisprudence inherent to employer-employee relationships to a task-
based approach that more aptly applies to cases involving independent contractors and supervisory
liability. See Painter II, 561 S.W.3d at 136; see also Kroger v. Keng, 23 S.W.3d 347, 349 (Tex.
2000) (“[Texas] Labor Code § 406.033, which is part of the Workers’ Compensation Act, governs
an employee’s personal-injury action against his or her employer, when the employer is a
nonsubscriber under the Act.”).10
On mandamus, Rudolph retreats somewhat from direct reliance on the logic of Painter I
and instead argues generally that the jury’s determinations on course and scope of employment
10
Rudolph maintains that Villegas reads too much into Painter II and argues that Painter II does not apply here
because it does not deal explicitly with the access doctrine. We agree that Painter II does not explicitly reference the
access doctrine itself. However, Painter II does state that the coming-and-going rule applies to both workers’
compensation and vicarious liability cases. Painter II, 561 S.W.3d at 136. In defining a version of the rule, Painter II
describes: “a general rule [that] an injury received while using the public streets and highways in going to or returning
from the place of employment is not compensable because not incurred in the course of employment.” Id. The coming-
and-going rule is ordinarily applied to employee transit occurring on public streets and highways. Painter II dealt with
and applied an exception to the coming-and-going rule known as the special mission exception to hold that there was
a fact question on vicarious liability in the nonsubscriber context. It would follow that if the Supreme Court of Texas
held in Painter II that the coming-and-going rule applies across both the subscriber and nonsubscriber contexts, and
that one exception to the rule also applied, then logically speaking, another exception to the coming-and-going rule
(the on-premises/access doctrine) could equally apply with force here. Although we find that the general principles
enunciated in Painter II applied here, we do not otherwise decide whether there is a need for an access instruction as
that issue is not now before us.
28
(including the question of whether Villegas and Ruiz’s actions were done in furtherance of
Rudolph’s business interests) are supported by substantial evidence because: (1) Ruiz and Villegas
had both clocked out and were leaving the dealership to go home when the accident occurred, (2)
both were parked in front of the dealership, “which was not the sole or primary designated parking
area for employees,” (3) the accident occurred after Ruiz backed his truck out of the parking space
and was pulling forward to leave the parking lot to go home, and (4) Villegas had been approaching
her vehicle in the same parking lot but changed direction and walked into the path of Ruiz’s truck
just before he hit her. But, as to this detailed list of factors, Painter II established that the task-
based on-the-clock/off-the-clock distinction cited as item 1 is not dispositive and largely an
artificial distinction that unnecessarily subjects a nonsubscriber case to double scrutiny on the issue
of control. Here, it is undisputed that both Villegas and Ruiz were employees subject to Rudolph’s
general authority by virtue of their employment status. Moreover, items 2, 3, and 4 simply confirm
that the incident occurred on the premises, not on a public street or highway.
c.
No Fact Issues
Applying the on-premises/access doctrine to this case, we conclude that the trial court’s
determination that it needed to reconsider whether Villegas and Ruiz were acting in the course and
scope of employment as a matter of law was a plausible consequence of Painter II’s issuance on
the day of the verdict. Undoubtedly, such reconsideration would impact the characterization of
Villegas’s claim as a negligence suit brought pursuant to section 406.033 of the Texas Labor Code.
But even still, as a third-party claim based on vicarious liability, the course-and scope analysis
applied to Ruiz would not include a task-based analysis. The change from a fact-intensive, task-
based approach to a premises-based approach represents a significant shift in a major assumption
29
that permeated this entire trial.
As such, the trial court’s determination that it would have conducted the trial differently is
reasonable under the circumstances as shown by the mandamus record. With respect to the motion
for summary judgment specifically, we find it to be plausible that the trial court would reconsider
the denial of summary judgment on the course and scope issue had it had the benefit of Painter II.
All that is required to establish course and scope under the on-premises rule, and its extension into
the access doctrine, is a showing that an employer has evinced an intention that a particular area
of premises or access route can be used by the employee in going to and from work and the area
or access route is so closely related to the employer’s premises as to be fairly treated as part of the
premises. See Tex. Comp. Ins. Co. v. Matthews, 519 S.W.2d 630, 631 (Tex. 1974); see also Nabors
Drilling, U.S.A., Inc. v. Escoto, 288 S.W.3d 401, 404-05 (Tex. 2009) (“An employer ordinarily
will not be liable for torts committed by off-duty employees except when the torts were committed
on the employer’s premises or with the employer’s chattels.”).
It is undisputed that Villegas and Ruiz were employees of Rudolph at the time of the
incident. It is also undisputed that Villegas was injured while on Rudolph’s premises, not on a
public street or highway. We conclude that the trial court’s reasoning is sound on the merits, and
as a court reviewing this matter for abuse of discretion from a cold record, we must give the trial
judge, who sat through the trial in its entirety and who presumably would not elect to redo it over
again but for an adequate reason, some berth and leeway in this mandamus posture.
d.
Harmful Error Analysis
Rudolph argues that even if the access doctrine should have applied in this case, Villegas
cannot obtain a new trial under these circumstances because the trial court granted a charge that
30
she requested which instructed the jury on this doctrine. Specifically, Question 1, which asked the
jury if Flores, Villegas, and Ruiz were acting in the course and scope of their employment at the
time of the accident, contained an instruction stating:
An injury occurring while the employee is traveling to or from work is in the course
of employment only if the employee is injured at a place where the employer has
evidenced an intention that a particular route or area be used by the employee in
going to or from work and where the route or area is owned by the employer or is
so closely related to the employer’s premises as to be fairly treated as a part of the
employer’s premises.
The jury found that Flores was acting in the course and scope of employment, but that
Villegas and Ruiz were not. Rudolph takes this answer as conclusive evidence that the jury
considered this issue and declined to find that Villegas was acting in the course and scope of
employment. In other words, all other factors aside, Rudolph argues the jury was directed to answer
the course and scope question having received an instruction about the premises/access doctrine.
While Rudolph is correct that the jury received such instruction, the problem with this
argument is that it wholly ignores Villegas’s argument on summary judgment and reframes the
matter into questions of charge error and legal insufficiency. But here, we are not tasked with
determining whether the jury was correctly instructed or whether the evidence supported the
verdict. Rather, we must determine on mandamus review whether the trial court’s stated reason
provides a legally sound rationale that is based on the record. See In re Toyota, 407 S.W.3d at 749.
Based on Painter II and other authorities cited by Plaintiffs’ motion for judgment notwithstanding
the verdict, the trial court stated that it needed to reconsider whether Villegas was acting in the
course and scope of her employment as a matter of law. The implication attributed to Painter II
makes sense, as the clarification from the Supreme Court of Texas shifted the focus of inquiry
from whether Villegas and Ruiz were “on the clock” or “off the clock” at the time of the incident
(i.e. whether their individual activities at the time of the incident were subject to Rudolph’s task-
31
by-task control under Painter I) or whether the incident occurred on Rudolph’s premises.
Rudolph, in its mandamus petition, does not argue that there is a fact issue that would
preclude summary judgment and create a triable issue under an on-premises/access doctrine
framework. It argues only that any error in trying the case was harmless because the jury charge
was substantially correct as to its inclusion of the doctrine. But that reasoning only applies if there
are relevant fact issues for the jury to decide. Because we find that the trial court stated a legally
plausible explanation for its ruling on Painter II grounds, and because Rudolph did not refute the
proposition that there were no material fact questions for determination under the access/premises
doctrine that Villegas was injured on premises belonging to Rudolph, the grant of a new trial on
this ground is not a clear abuse of the trial court’s discretion.
We find that this ground, either standing alone or taken in concert with others, is sufficient
to support the grant of a new trial.
Accordingly, we overrule Issue Three.
C.
The Expert Testimony
In Issue Four, the third sub-issue, Rudolph contends that the trial court abused its discretion
by granting a new trial based on expert testimony, which it also contends, the jury unequivocally
stated it could disregard pursuant to the trial court’s limiting instructions. In its order, the trial court
stated that defense expert Gary Wimbish “intentionally injected unreliable double hearsay, non-
responsive to the question asked him in an attempt to inject an improper inference before the jury.”
The court further stated, “[t]hough the Court did admonish the witness as well as instruct the jury
to try to eliminate the harm, it is obvious to this Court that the harm done could not be eliminated
or removed.” Based on its observation, the trial court concluded that “this improper evidence and
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behavior to impugn the character of Irma Vanessa Villegas did cause the rendition of an incorrect
verdict by the Jury as the evidence showed Irma Vanessa Villegas was a hardworking dependable
and responsible mother, grandmother and sister; there was no negative evidence or detracting
evidence other than expert Wimbish’s testimony.” We agree that the record establishes that this
basis constituted a valid ground on which to grant a new trial such that Rudolph failed to show a
clear abuse of discretion.
1.
As with the other grounds, Rudolph attacks this ground as being facially invalid and vague.
In arguing that the effect of Dr. Wimbish’s testimony cannot be firmly established, Rudolph
rhetorically asks whether this improper testimony led the jury to find Villegas to be partially
negligent, whether it led the jury to assign her a higher percentage, or whether it had an effect on
damages. Rudolph concludes that because the trial court’s order does not specify which of those
options are at play, the order for new trial is facially invalid.
Again, we reiterate that a trial court has a duty to “explain how the evidence (or lack of
evidence) undermines the jury’s findings.” United Scaffolding, 377 S.W.3d at 689. On this ground,
the trial court articulates that it granted a new trial because Dr. Wimbish’s testimony “injected
unreliable double hearsay, non-responsive to the question asked him in an attempt to inject an
improper inference before the jury” and the harm from those comments “could not be eliminated
or removed” by the trial court’s instructions. In order words, the trial court articulated that it found
that Dr. Wimbish made improper, potentially inflammatory comments in violation of the Rules of
Evidence that prejudiced the jury against Villegas. We conclude that this reasoning is specific
enough to meet the standard for facial sufficiency.
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2.
Having determined that the trial court’s order on this ground meets the facial requirements,
we next assess the stated ground on its merits but within the prism of a mandamus review. We
review the trial court’s admission or exclusion of evidence for abuse of discretion. Hernandez v.
Moss, 538 S.W.3d 160, 167 (Tex.App.—El Paso 2017, no pet.). A trial court abuses its discretion
on evidentiary issues if it acts arbitrarily or unreasonably, or without reference to guiding
principles or rules. Id. A trial court’s erroneous decision to admit or exclude evidence is not
reversible unless the error probably caused the rendition of an improper judgment. TEX. R. APP. P.
44.1(a).
Dr. Wimbish, a board-certified forensic toxicologist with more than 40-years’ experience,
was called to testify regarding Villegas’s and Ruiz’s respective blood-alcohol content, whether
alcohol affected Ruiz on the night of the accident, and if so, to what extent. Dr. Wimbish testified
that Ruiz had a BAC of .02 and Villegas had a BAC of .04, both under the legal limit of .08. During
cross-examination by plaintiff’s counsel, Dr. Wimbish made comments relaying information he
had gleaned from the deposition of another worker at Rudolph—testimony that was otherwise not
admitted at trial—suggesting that Villegas had an alcohol problem:
Q. . . . You’ve been telling the jury about naive drinkers and nonnaive drinkers and
what you eat and all that stuff. You’ve been telling us all about that, but I’m talking
about the black-and-white language on the chart that you provided. So on the chart
that you provided it shows impairment listed as a clinical sign and symptom
between .01 and .05. Correct?
A. That’s correct. But if we believe in those charts, we wouldn’t need toxicologists
or the police officers.
Q. Okay. Now, in terms of Ms. Villegas, you listed her as a. 04. So according to
your listing, I guess she’d fall in both categories?
A. She could fall in either one.
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...
Q. The alcohol she consumed was consumed on the premises of Rudolph Mazda?
A. And that’s the only information I have.
Q. And the information that you have includes that the alcohol was allowed by
Rudolph’s head person in charge on that night?
A. My information is a bit different from that.
Q. What information do you have that’s different from that?
A. Well, in the information that I have received, she brings alcohol with her to
work, and --
Q. Who?
A. -- and it’s the information that I have -- and had been drinking out of her cup on
her own supply of alcohol that day.
Q. So you are taking the testimony of Lisa Melbourne who said -- is that where
you're getting that from?
A. I don’t remember the exact person, but that information was available to me.
And then there’s clinical information -- and I’m not being derogatory. I’m just
trying to say this is information that I considered. Okay? She verified in her
statement she may have a problem with alcohol because having to wake up in the
middle of the night and drink alcohol so she can go back to sleep.
Q. Okay, sir. I’m not --
[Plaintiffs’ attorney]: Yeah. Can we approach actually?
Following a discussion at the bench, Villegas moved for a mistrial. The record shows the
trial judge commented on the “disturbing” testimony injected by Wimbish at the very end of trial,
and he debated granting a mistrial in full, but ultimately found that the comment came as the result
of a broadly worded question and decided to admonish the jury to disregard the comments. The
trial court’s decision to deny a mistrial and grant a new trial came after the jury’s verdict was
received.
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Villegas argues that the trial court could have correctly granted the new trial based on Dr.
Wimbish’s testimony because he was cloaked in the aura and authority of an expert in the eyes of
a jury. Rudolph argues that even if Dr. Wimbish’s testimony was error, it was harmless, since there
was adequate testimony to support the jury’s comparative negligence finding against Villegas. As
support, Rudolph argues that Ruiz testified that immediately before the accident that he saw
Villegas appear in front of his truck with her hands in the air and saying his name. Rudolph also
pointed out that the evidence showed that Villegas had findings of a .04 BAC and may have
stepped in front of Ruiz’s truck. Rudolph points out that an instruction to disregard testimony is
generally presumed to cure any error. See Lee v. State, 779 S.W.2d 913, 916 (Tex.App.—Houston
[1st Dist.] 1989, pet. ref’d) (“An instruction to disregard cures any error unless the evidence is
clearly calculated to inflame the minds of the jury and is of such a character as to suggest the
impossibility of withdrawing its impression on the jury.”). Rudolph also downplays Dr. Wimbish’s
importance as a witness, saying his testimony was “obscure” especially when considering the
many witnesses that the Plaintiffs called to testify about Villegas’s condition and her relationship
with Juarez.
Again, to obtain mandamus relief from the new trial order, Rudolph bears the burden of
showing that the trial court clearly abused its discretion. Villegas has offered a plausible
explanation for the trial court’s decision—namely, the weight an expert witness’s opinion would
carry on the jury, particularly when the expert revealed information that had been subject to a
motion in limine. Rudolph has not shown that the trial court’s decision to grant a new trial based
on Dr. Wimbish’s comments constituted a clear abuse of discretion for which mandamus must
issue. As such, mandamus relief is improper as to this ground. This ground may justify the grant
of a new trial in its entirety either individually or standing in concert with another ground.
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Accordingly, we overrule Issue Four.
D.
Line-Item Awards of Zero Damages
Because each of the foregoing grounds, standing alone or collectively, would justify the
grant of a new trial in its entirety, we decline to address Rudolph’s remaining two sub-issues which
challenge the grant of new trial based on the jury’s award of zero damages on several line items of
damages, which, if meritorious, would result in a new trial grant as to damages only. We conclude
in this instance that resolution of the remaining sub-issues is unnecessary to the disposition of this
appeal. See TEX. R. APP. P. 47.1.
Accordingly, we overrule Issue One, the overarching issue, as well as Issues Five and Six,
the two remaining issues on damages.
CONCLUSION
As provided above, there are several grounds, individually and collectively, that would
support the trial court’s new trial order in its entirety. Because no clear abuse of discretion has
been demonstrated, we conclude that the order granting a new trial is not subject to mandamus
correction by this Court. Rudolph’s petition for a writ of mandamus is denied.
GINA M. PALAFOX, Justice
December 30, 2020
Before Alley, C.J., Rodriguez, and Palafox, JJ.
Alley, C.J., dissenting
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