RENDERED: MARCH 26, 2021; 10:00 A.M.
NOT TO BE PUBLISHED
Commonwealth of Kentucky
Court of Appeals
NO. 2019-CA-0136-MR
STACI L. OBERST APPELLANT
APPEAL FROM BOONE CIRCUIT COURT
v. HONORABLE JAMES R. SCHRAND, JUDGE
ACTION NO. 10-CI-02664
DANNY J. MOUNTS APPELLEE
OPINION
AFFIRMING
** ** ** ** **
BEFORE: GOODWINE, TAYLOR, AND K. THOMPSON, JUDGES.
TAYLOR, JUDGE: Staci L. Oberst appeals from the Boone Circuit Court’s
October 11, 2018, Judgment awarding damages to her arising from injuries
suffered in an automobile accident on or about September 3, 2010.1 Oberst
1
On January 3, 2019, the trial court entered an Order denying Staci L. Oberst’s Motion
requesting a new trial, pursuant to Kentucky Rules of Civil Procedure (CR) 59.01 and alternative
motion to alter or amend the court’s judgment pursuant to CR 59.05.
suffered significant injuries in a single-vehicle accident which occurred when she
was a passenger in a vehicle driven by the appellee, Danny J. Mounts, while he
was under the influence of alcohol. After a thorough review of the record, we
affirm.
BACKGROUND
The facts of this case are largely undisputed. On September 2, 2010,
Oberst and Mounts went out on a first date together. They began the evening when
Mounts picked Oberst up in his truck. The two ate dinner at the Mai Thai
restaurant in Florence, Kentucky, where they each had two beers. Afterward, the
parties went to a tavern named “Buffalo Bob’s.” Over the course of about two
hours at the tavern, Mounts drank approximately five or six beers and a shot of an
alcoholic beverage, and Oberst drank between three and four beers and a shot.
Mounts then drove the pair to Woodie’s tavern, where they drank significant
additional quantities of alcoholic beverages. Upon leaving Woodie’s, Oberst drove
the couple to a third tavern, Muggbee’s. They then returned to Woodie’s to finish
the evening. Oberst testified that she and Mounts both had slurred speech by this
time. Oberst further admitted to her earlier deposition testimony that both she and
Mounts were too intoxicated to be driving.
Oberst and Mounts left Woodie’s at about 2:00 a.m., around the time
of the tavern’s closing. Mounts was driving the truck. In the process of attempting
-2-
to exit I-75, Mounts lost control of the vehicle and crashed into a guardrail on the
exit ramp. Police investigating the incident found Mounts had a blood alcohol
concentration of 0.198 grams per hundred milliliters, more than twice the legal
limit of intoxication while driving.2 As a result of this incident, Mounts was
charged and convicted of aggravated driving under the influence of alcohol.
The crash had severe physical consequences for Oberst because the
impact partially ejected her from the vehicle. She suffered multiple injuries,
including compound fractures to her left arm, a broken right wrist, a degloved
upper right arm,3 fractured vertebrae in her upper back, a collapsed lung, and a
punctured spleen. Oberst spent fifteen days in the University of Cincinnati
Medical Center being treated for her injuries. She then spent one and one-half
months in a nursing home for wound care and one month in a physical
rehabilitation facility.
On October 18, 2010, Oberst filed a complaint against Mounts in
Boone Circuit Court, alleging Mounts caused her personal injury when he
negligently operated his motor vehicle while under the influence of alcohol. She
2
See Kentucky Revised Statutes (KRS) 189A.005(1) (defining “alcohol concentration”) and
KRS 189A.010(1)(a) (prohibiting the legal operation of a motor vehicle when the driver has an
alcohol concentration of more than 0.08).
3
A “degloving injury” may be defined as an “[a]vulsion of the skin of [a bodily extremity] in
which the part is skeletonized by removal of most or all of the skin and subcutaneous tissue.”
“Degloving injury,” Farlex Partner Medical Dictionary (2020).
-3-
requested relief in the form of compensation for current and future medical
expenses, lost wages, pain and suffering, and punitive damages. Mounts filed a
pro se answer. Nearly one year after her initial filing, Oberst amended her
complaint to add Buffalo Bob’s and Woodie’s as defendants in the suit, alleging
both taverns were negligent in serving alcohol to an “obviously intoxicated patron”
and citing Kentucky’s Dram Shop Act, Kentucky Revised Statutes (KRS) 413.241.
Aside from filing his answer and allowing himself to be deposed, Mounts did not
actively participate in the litigation for several years.4
On September 3, 2015, Oberst moved for summary judgment against
Mounts for liability purposes only, reserving only the issue of damages. On
October 16, 2015, the trial court granted the motion against Mounts in a written
order, while also noting for the record that Oberst had reached a settlement on her
claims against the taverns. The court directed Oberst to move for an evidentiary
hearing on her damages. On May 12, 2016, Mounts moved the trial court to set
aside the October 16, 2015, order. Kentucky Rules of Civil Procedure (CR) 60.02.
The trial court denied his motion.
The record reflects no further action in the case until August 18, 2017,
when Oberst moved the court to set the matter for a bench trial on damages. The
4
Attorney William G. Knoebel entered his appearance for Danny J. Mounts on February 19,
2016.
-4-
trial court, by Order entered September 15, 2017, directed the parties to file pretrial
briefs on the issues of apportionment of liability and comparative fault. Oberst’s
pretrial brief argued against Mounts receiving any set-off for her damages as a
result of payments to her from the taverns, asserting this was not permitted under
the Dram Shop Act.5 She also argued that apportionment of liability between
Mounts and the taverns was not permitted under Jackson v. Tullar, 285 S.W.3d
290, 296-97 (Ky. App. 2007). Finally, Oberst argued that Mounts should not be
permitted to present arguments on the issue of comparative fault because the trial
court had already determined Mounts’ liability in its previous order granting
summary judgment.
On October 31, 2017, the trial court entered an order in which it
agreed that apportionment of liability between Mounts and the taverns was not
appropriate under the Dram Shop Act. Nonetheless, the trial court ruled Mounts
was entitled to a set-off equivalent to the amounts received from the taverns,
because “an injured party typically cannot receive more than one recovery as
compensation for the same harm or element of loss.” Record at 357. The trial
court also noted its previous summary judgment order “was meant as an
adjudication of the cause of the accident, not an adjudication of any comparative
5
In a two sentence argument in Oberst’s pretrial brief, Oberst stated that Mounts was “asserting
the defenses of right of indemnity and/or contribution” as “affirmative defenses [that] were not
raised in his Answer” to the Complaint and were thus waived. Record at 350.
-5-
fault,” and it would be proper for Mounts to present a comparative fault defense
based on whether Oberst was wearing a seat belt at the time of the crash. Record
at 358.6
On August 27, 2018, at the bench trial on damages, the trial court
heard testimony from Oberst and her mother and received deposition evidence
from one of Oberst’s physicians, Dr. James Baker. Oberst introduced photographs
of her injuries and documentation to support her medical expense claim.
According to Oberst’s testimony, she had previously incurred medical expenses
amounting to $414,785.39, and had recently undergone additional surgery to her
shoulder which cost $12,955. Regarding her wages, Oberst testified she previously
received, and continues to receive, social security disability benefits amounting to
slightly less than $1,000 per month, and Social Security Administration rules
allowed her to work and earn approximately $1,000 per month. Oberst testified
she earned approximately that much prior to the crash, but she admitted her work
history was not consistent and that she was not working at the time of the crash.
On October 11, 2018, the trial court entered its judgment. The trial
court ruled Oberst had incurred $427,632.89 in medical expenses, $12,000 in lost
wages, and $250,000 in pain and suffering damages. The trial court declined to
6
At trial, the trial court ruled from the bench that Mounts could not raise the issue of whether
Oberst was wearing a seatbelt at the time of the accident, presumably because Mounts had not
identified an expert witness to testify at trial.
-6-
award punitive damages. In considering the comparative fault of the parties, the
trial court allocated 67 percent of the fault attributable to Mounts and 33 percent
attributable to Oberst and apportioned damages accordingly. Finally, the trial court
reiterated its previous ruling, ordering that Mounts was entitled to a set-off for any
amounts received by Oberst from the taverns who had settled with Oberst prior to
trial. Asserting the award to be inadequate, Oberst subsequently moved the trial
court to grant a new trial, or in the alternative, alter or amend the judgment. The
trial court denied the motion by Order entered January 3, 2019. This appeal
followed.
STANDARD OF REVIEW
As noted, the trial court conducted a bench trial in this action.
Accordingly, our review is based upon the clearly erroneous standard set forth in
CR 52.01. CR 52.01 states that “[f]indings of fact, shall not be set aside unless
clearly erroneous, and due regard shall be given to the opportunity of the trial court
to judge the credibility of the witnesses.” A reversible error arises when there is no
substantial evidence in the record to support the findings of the trial court. M.P.S.
v. Cabinet for Human Resources, 979 S.W.2d 114 (Ky. App. 1998). Evidence is
substantial, when taken alone or in a light of all the evidence, if it has sufficient
probative value to induce conviction in the mind of a reasonable person. Stanford
Health & Rehab. Ctr. v. Brock, 334 S.W.3d 883 (Ky. App. 2010). Our review of
-7-
the trial court’s application of law to the facts is de novo. Carroll v. Meredith, 59
S.W.3d 484, 489 (Ky. App. 2001).
ANALYSIS
Oberst presents four issues on appeal. First, she argues the trial court
erroneously considered comparative fault and apportioned damages to her,
reducing her damages award. Second, Oberst contends the trial court improperly
considered her conduct, including her comparative fault, in declining to award
punitive damages to her. Third, Oberst argues the trial court erroneously ruled
Mounts’ portion of the damages would be subject to a set-off for the amounts she
received from the taverns who settled prior to trial. Fourth, Oberst contends the
trial court’s award of $250,000 for her past, present, and future pain and suffering
is against the weight of the evidence. We will consider each argument as
presented.
For her first issue, Oberst contends the trial court erroneously
considered her comparative fault, which had the effect of reducing her damages.
She asserts the summary judgment order entered on October 16, 2015, precluded
the court from considering comparative fault because the order held that Mounts
was liable for her damages.
As noted previously, the trial court explained in its October 31, 2017,
order that the summary judgment order “was meant as an adjudication of the cause
-8-
of the accident, not an adjudication of any comparative fault,” citing Geyer v.
Mankin, 984 S.W.2d 104 (Ky. App. 1998). Record at 358. In Geyer, this Court
reversed and remanded for a new trial, in part because the trial court’s grant of
partial summary judgment was unclear as to whether it was, in fact, a
determination of liability or if “it merely adjudicate[d] the issue of the cause of the
accident itself as a matter of law.” Geyer, 984 S.W.2d at 108.
Based upon our review of Geyer, we conclude the trial court in the
case sub judice committed a similar error in its order as the trial court did in Geyer:
There is a distinction between an “adjudication of facts”
by a judge or jury and a “judgment.” See 7 Bertelsman
and Philipps, Kentucky Practice, CR 54.01, cmt. 3 at 264
(4th ed. 1984). A judgment adjudicates a claim or claims
in a proceeding (CR 54.01), whereas an adjudication of
facts determines a factual issue. If the trial court
intended the partial summary judgment order to truly be a
judgment on the issue of liability, it would have
necessarily included a determination that the seatbelt
defense was to no avail. If, however, the trial court
intended its partial summary judgment order to
adjudicate only fault in regard to the accident itself, then
it was only an adjudication of facts under CR 56.04 and
not a judgment. See Bertelsman and Philipps, cmt. 3 at
342. As it was termed a “judgment,” we would normally
presume that the partial summary judgment adjudicated
the issue of liability for Geyer’s injuries and that the
issue of the seatbelt defense was removed from the case.
Id. at 107 n.2.
However, we note that the court’s ruling on October 16, 2015, was
styled an “Order,” not a summary judgment, and was limited to an adjudication of
-9-
facts at that time, namely that Mounts was responsible as the driver of the vehicle.
More importantly, the October 16, 2015, Order was not a final order or judgment
as provided for in CR 54.01. In other words, the order was interlocutory, not final,
not appealable, and subject to continuing review or modification by the court
during the course of the proceedings. In the trial court’s subsequent Order entered
on June 9, 2016, the court effectively recognized that KRS 411.182 provided for
the application of comparative fault at the damages hearing, which would be
addressed prior to trial. The court did just that in its October 31, 2017, Order,
entered prior to trial, that provided for comparative fault to be addressed in the
final judgment. This ruling was consistent with the long-standing rule that a trial
court is at all times charged with the proper application of the law. Burton v.
Foster Wheeler Corp., 72 S.W.3d 925, 930 (Ky. 2002).
Unlike the Court in Geyer, the trial court in this case made it clear in
its subsequent orders that this purported “summary judgment” was actually a
partial adjudication of the facts and thus not an actual summary judgment that was
a final order under CR 54.01. Therefore, the trial court did not err in considering
the comparative fault of the parties at the bench trial on damages; see KRS
411.182; Hilen v. Hays, 673 S.W.2d 713 (Ky. 1984).7
7
Oberst has not challenged on appeal the factual findings made by the trial court upon which the
court concluded she had violated her duty of ordinary care that was a substantial factor in
causing her injuries. Thus, we have not addressed that issue in this Opinion.
-10-
For her second issue on appeal, Oberst contends the trial court erred in
declining to award her punitive damages. Oberst argues “there are countless
decisions . . . which not only support but mandate a substantial award of punitive
damages here.” Appellant’s Brief at 17. However, this bald assertion finds no
support in our law. “The jury’s decision as to whether to award punitive damages
remains discretionary because the nature of punitive damages is such that the
decision is always a matter within the jury’s discretion.” Wittmer v. Jones, 864
S.W.2d 885, 890 (Ky. 1993). “It is the general rule of this Commonwealth that
punitive damages are not recoverable as a matter of right and that the award of
such damages rests within the discretion of the jury.” Moore v. Bothe, 479 S.W.2d
634, 635 (Ky. 1972). Here, the trial court, acting as the trier of fact at the bench
trial, declined in its discretion to award punitive damages, and we will not second
guess the trial court’s discretion on this issue.
For her third issue on appeal, Oberst argues the trial court erroneously
ruled Mounts’ portion of the damages would be subject to a set-off for the amounts
she received from the two taverns that settled before trial. Oberst contends Mounts
failed to plead a defense of credit or set-off in his answer as required by CR 8.03.
She also argues the Dram Shop Act, KRS 413.241, precludes apportionment and
set-off of the damages award between Mounts and the taverns who settled with
Oberst.
-11-
We need not consider the first part of Oberst’s argument regarding the
failure to plead set-off as an affirmative defense under CR 8.03, because it appears
Oberst did not make this argument to the trial court prior to or during the trial.
Oberst did not raise the issue until filing her combined postjudgment motion for
new trial under CR 59.01, or alternatively, to alter or amend the judgment under
CR 59.05. Likewise, Oberst’s brief fails to provide a preservation statement in the
“arguments” section of her appellant’s brief, showing where this issue was
preserved below, which is required under CR 76.12(4)(c)(v). The point of the
preservation statement “is not so much to ensure that opposing counsel can find the
point at which the argument is preserved, it is so that we, the reviewing Court, can
be confident the issue was properly presented to the trial court and therefore, is
appropriate for our consideration.” Oakley v. Oakley, 391 S.W.3d 377, 380 (Ky.
App. 2012).
Notwithstanding, this Court has thoroughly scoured the record below
and cannot find that Oberst presented any argument under CR 8.03 to the trial
court regarding the waiver of Mounts’ set-off defense. In the trial court’s order
entered October 31, 2017, the court explicitly stated that Oberst was not entitled to
collect a full award of damages from both the taverns and Mounts, thus, indicating
that Mounts would be entitled to a set-off for the taverns’ settlements in any
judgment rendered for damages against him. Oberst’s pretrial brief filed on
-12-
August 21, 2018, did not reference any waiver argument under CR 8.03 regarding
Mounts’ set-off claim. During the bench trial, Oberst did not raise the CR 8.03
issue, although during a bench conference at the end of the trial, the court noted
that the parties could address the set-off argument in their posttrial briefs. Yet in
Oberst’s posttrial memorandum, she did not even reference the set-off issue nor
present any waiver argument under CR 8.03.
Based on our exhaustive review of the record below, Oberst failed to
bring any issue under CR 8.03 to the trial court’s attention, either prior to or during
the trial. Accordingly, this issue was not properly preserved for appellate review.
See Am. Founders Bank, Inc. v. Moden Invs., LLC, 432 S.W.3d 715, 722-24 (Ky.
App. 2014). Additionally, a party may not invoke CR 59.05 to raise arguments for
the first time and to introduce evidence that should have been presented during the
proceedings before the entry of the judgment. Gullion v. Gullion, 163 S.W.3d 888,
893 (Ky. 2005). Accordingly, we will not consider Oberst’s argument regarding
whether Mounts waived a set-off defense for failure to comply with CR 8.03.
For the next part of her argument on set-off, Oberst contends it was
error for the trial court to allow a set-off of Mounts’ damages based on the amounts
Oberst received from the settlement with the taverns, asserting such a set-off is not
-13-
authorized by the Dram Shop Act.8 KRS 413.241(3) states that “[t]he intoxicated
person shall be primarily liable to injuries suffered by third persons[,]” but KRS
413.241(2) states that dram shops may also be liable “if a reasonable person under
the same or similar circumstances should know that the person served is already
intoxicated at the time of serving.”
In analyzing KRS 413.241, the Supreme Court of Kentucky has held
that an intoxicated person is not in pari delicto with a dram shop that is also liable
in a tort suit. DeStock No. 14, Inc. v. Logsdon, 993 S.W.2d 952, 958 (Ky. 1999).
Instead, the intoxicated person is primarily liable for damages, and the dram shop
is secondarily liable for those damages but with a right of indemnity against the
intoxicated person. Id. This Court considered the effect of DeStock in Jackson,
285 S.W.3d at 296-98, and determined that this secondary liability made it
erroneous to apportion liability between dram shops and the other tortfeasor(s) in
the action. Instead, pursuant to Jackson, the proper course of action is to ask the
factfinder to apportion fault between the intoxicated driver and the passenger; then,
if the factfinder found the intoxicated driver to have some percentage of fault, the
8
In Taylor v. King, 345 S.W.3d 237 (Ky. App. 2010), this Court held that one provision of the
Dram Shop Act, KRS 413.241(1), was unconstitutional to the extent that it established a standard
of proximate cause or prohibited punitive damages against a dram shop. Id. at 244. These
provisions are not directly relevant to our analysis herein.
-14-
factfinder should determine whether the dram shops may be held secondarily liable
under KRS 413.241. Jackson, 285 S.W.3d at 296.
Most significantly, there is nothing in the Dram Shop Act or in the
case law analyzing it which alters long-standing tort principles that preclude a
double recovery by an injured party:
A general goal of compensatory damages in tort cases is
to put the victim in the same position he would have been
prior to the injury or make him whole to the extent that it
is possible to measure his injury in terms of money. As a
result, an injured party typically cannot receive more than
one recovery as compensation for the same harm or
element of loss.
Schwartz v. Hasty, 175 S.W.3d 621, 625 (Ky. App. 2005) (citations omitted). The
collateral source rule is an exception to this principle; however, the trial court
below stated this rule was not applicable, and the parties have not argued on appeal
that it should apply here. Instead, Jackson and DeStock both outline a scheme
whereby an injured party receives only one recovery for his or her injuries from an
intoxicated driver or liable dram shops; in turn, the dram shops may seek
indemnity for their payments from the intoxicated driver who caused those
injuries. DeStock, 993 S.W.2d at 959; Jackson, 285 S.W.3d at 296-97.
Based on these principles, the trial court did not err in finding that any
amounts owed by Mounts should be subject to a set-off for settlement payments
made by the taverns in order to prevent a double recovery. We note here that
-15-
Mounts has not escaped responsibility; he is still the primarily liable party, and
legal precedents permit the taverns to seek indemnity for their payments against
him, up to the limit of his apportioned liability.
In her fourth and final issue on appeal, Oberst contends the trial
court’s award of $250,000 for her past, present, and future pain and suffering is
against the weight of the evidence. “Whether an award represents excessive or
inadequate damages turns on the nature of the underlying evidence.” May v.
Holzknecht, 320 S.W.3d 123, 128 (Ky. App. 2010). However, as previously noted,
in a bench trial, “[f]indings of fact, shall not be set aside unless clearly erroneous,
and due regard shall be given to the opportunity of the trial court to judge the
credibility of the witnesses.” CR 52.01.
Oberst argues the inadequacy of her award by citing other cases where
the plaintiff received a higher amount for pain and suffering. However, “[t]he
adequacy and inadequacy of damages cannot be measured properly from
adjudicated cases, nor can any general rule on the subject be laid down.” Koch v.
Stone, 332 S.W.2d 529, 532 (Ky. 1960). In addition, pain and suffering damages
are not required in every case, let alone mandated at a particular minimum
threshold. “[T]he law in Kentucky . . . does not require a jury to award damages
for pain and suffering in every case in which it awards medical expenses.” Bayless
v. Boyer, 180 S.W.3d 439, 444 (Ky. 2005) (quoting Miller v. Swift, 42 S.W.3d 599,
-16-
601 (Ky. 2001)). In this case, the trial court was the trier of fact, and there is no
dispute that Oberst suffered substantial pain and suffering. However, we can find
no error in the trial court’s findings nor its application of the law to those findings
in its award of damages. Thus, it would not be proper for this Court to substitute
its judgment for that of the trial court on this issue.
CONCLUSION
For the foregoing reasons, we affirm the judgment of the Boone
Circuit Court.
GOODWINE, JUDGE, CONCURS.
THOMPSON, K., CONCURS IN RESULT ONLY.
BRIEF FOR APPELLANT: BRIEF FOR APPELLEE:
Gregory W. McDowell William G. Knoebel
Florence, Kentucky Florence, Kentucky
-17-