Andrea Sardis v. Overhead Door Corporation

                                        PUBLISHED

                           UNITED STATES COURT OF APPEALS
                               FOR THE FOURTH CIRCUIT


                                        No. 20-1411


ANDREA SARDIS, As Administrator of the Estate of Evangelos Sardis, Deceased,

               Plaintiff – Appellee,

v.

OVERHEAD DOOR CORPORATION,

               Defendant – Appellant.

------------------------------

PRODUCT LIABILITY ADVISORY COUNCIL, INC.,

               Amicus Supporting Appellant.



Appeal from the United States District Court for the Eastern District of Virginia, at
Richmond. John A. Gibney, Jr., District Judge. (3:17-cv-00818-JAG)


Argued: March 11, 2021                                     Decided: August 20, 2021


Before GREGORY, Chief Judge, AGEE, and DIAZ, Circuit Judges.


Reversed and remanded with instructions by published opinion. Judge Agee wrote the
opinion, in which Chief Judge Gregory and Judge Diaz joined.
ARGUED: Sarah Virginia Bondurant Price, MCGUIREWOODS LLP, Richmond,
Virginia, for Appellant. L. Steven Emmert, SYKES, BOURDON, AHERN & LEVY, PC,
Virginia Beach, Virginia, for Appellee.       ON BRIEF:       Michael W. Stark,
MCGUIREWOODS LLP, Richmond, Virginia; Martin A. Conn, Matthew J. Hundley, Lisa
M. McMurdo, MORAN REEVES & CONN PC, Richmond, Virginia, for Appellant. Peter
C. Grenier, GRENIER LAW GROUP PLLC, Washington, D.C.; Andrew G. Slutkin, Ethan
Nochumowitz, SILVERMAN THOMPSON SLUTKIN & WHITE, Baltimore, Maryland,
for Appellee. Robert L. Wise, Jason R. Hodge, Richmond, Virginia, Susan E. Burnett,
BOWMAN AND BROOKE LLP, Austin, Texas, for Amicus Curiae.




                                        2
AGEE, Circuit Judge:

       Federal Rule of Evidence 702 appoints trial judges as “gatekeepers of expert

testimony” to protect the judicial process from “the potential pitfalls of junk science.”

United States v. Bonner, 648 F.3d 209, 215 (4th Cir. 2011). If a trial court abdicates that

duty by opening the gate indiscriminately to any proffered expert witness––particularly

one with whom it recognizes “legitimate concerns,” J.A. 287––it risks exposing jurors to

“dubious scientific testimony” that can ultimately “sway[]” their verdict, Nease v. Ford

Motor Co., 848 F.3d 219, 231 (4th Cir. 2017) (quoting In re Zurn Pex Plumbing Prods.

Liab. Litig., 644 F.3d 604, 613 (8th Cir. 2011)). That risk is notably amplified in products

liability cases, for “expert witnesses necessarily may play a significant part” in establishing

or refuting liability. Chase v. Gen. Motors Corp., 856 F.2d 17, 20 (4th Cir. 1988).

       Appellee Andrea Sardis, in her capacity as the Administrator of the Estate of her

late husband, Evangelos Sardis (“the Estate”), asserted various products liability claims

against Appellant Overhead Door Corporation (“ODC”) relating to Mr. Sardis’ tragic death

in a work-related accident in June 2016. But the only probative evidence supporting the

Estate’s claims came from two expert witnesses, neither of whom offered relevant or

reliable opinions. Nonetheless, the district court permitted the jurors to hear their

testimony, finding that cross-examination was the proper, and only, tool to vet any

relevance or reliability factors. On the basis of that testimony, the jury awarded the Estate

a multi-million-dollar verdict.

       That verdict is the result of the district court’s abuse of discretion in admitting the

Estate’s expert testimony. Without it, the Estate offered insufficient admissible evidence

                                              3
as a matter of law to prevail on any of the four claims submitted to the jury. We therefore

reverse the judgment in this case, and remand with instructions that judgment be entered

in favor of ODC as to each of the Estate’s claims.



                                            I.

                                            A.

       ODC designs and manufactures garage doors and the metal hoods those doors are

installed in, and then sells these products through a network of independent distributors.

ODC also designs and manufactures the packaging used for shipping these products. The

packaging––not the garage doors or hoods––is the focus of this case.

       For thirty years, until 2014, ODC shipped its garage door hoods in rectangular

prism-shaped containers. The entire container was made of a double-wall corrugated

material, and the two “ends” of the container (the two square ends to which all four of the

rectangular “sides” connected) contained handhold “punchouts” in the material. ODC

intended for workers to use, and workers in fact used, these handholds to push and pull the

containers as necessary for storage and transit. ODC never received a report of a worker

ripping a handhold, but it did receive complaints that the corrugated material would

collapse during transit, damaging the hoods inside.

       In response to these complaints, ODC redesigned its garage door hood containers in

December 2014. It kept the same rectangular prism shape, but made two important

modifications. First, it replaced the double-wall corrugated material on the sides with

triple-wall corrugated material. Second, it replaced the double-wall corrugated material on

                                            4
the ends with wood slats. Staples connected each of the four triple-wall corrugated sides to

two vertical pieces of wood on either “end.” The square “ends” were comprised of several

horizontal pieces of wood that were nailed into the two vertical wood slats. ODC

incorporated the “handhold” design from its old container design by omitting one

horizontal wood piece on each end. A photograph of an exemplar container, J.A. 1243, is

reproduced below.




       Prior to using this new container design for shipping its goods, ODC performed

some field testing. According to Bradley Knable, ODC’s corporate designee, the testing

included workers pushing and pulling the containers using those handholds, although there

was no specific test of the maximum strength of the new handholds. The new design overall

performed to ODC’s satisfaction. ODC then shipped garage door hoods in these new

containers to select customers. ODC asked for feedback on the containers, and received no

complaints about the new container or its handholds.




                                             5
                                             B.

       Mr. Sardis began working for Washington Overhead Door, Inc. (“WOD”), an ODC

distributor, in June 2016. On June 6, 2016, he and his training supervisor, Keith Lawrence,

were asked to transport an ODC garage door hood to a work site. The hood was shipped in

a post-2014 ODC container (hereinafter “the Container”), which was loaded onto a ladder

rack in the bed of a WOD service truck that Lawrence operated. At the work site, Lawrence

tried to remove the Container from the truck with a forklift, but the Container became

unbalanced on the forklift’s tines, making it unsafe to unload. Mr. Sardis then climbed onto

the ladder rack and tried to adjust the Container on the forklift tines by pulling on one of

its handholds. Lawrence recalled seeing Mr. Sardis standing in a “C position,” in which his

hands were directly over his feet, and his body was curved in a “C”-shape. J.A. 665–66.

When Mr. Sardis pulled, the wood slat constituting the handhold broke off, causing him to

fall off the ladder rack and hit his head on the pavement nine feet below. He succumbed to

his injuries two weeks later. The Container was photographed immediately after the

accident, but it was not preserved, to the fault of neither party. Thus, neither party could

test or otherwise examine the Container involved in Mr. Sardis’ accident. 1



       1
         During discovery, the Estate requested that ODC produce at least three containers
identical to the one involved in Mr. Sardis’ accident. ODC responded that it did not have
any such container in its possession because it only manufactures them on-demand, but
offered to construct three replicas of the Container. The Estate rejected this offer, claiming
it “would have no way of knowing whether ODC made subtle changes to its design
intended to strengthen the crates and/or the handholds, rendering any such testing wholly
unreliable.” Pl.’s Opp. to Def.’s Mot. to Exclude Dr. Singh at 24, Sardis v. Overhead Door
Corp., No. 3:17-cv-00818-JAG (E.D. Va. filed Nov. 15, 2018), ECF No. 75.

                                              6
                                              C.

       After Mr. Sardis’ death, the Estate sued ODC in federal court, invoking the district

court’s diversity jurisdiction. 2 The Estate asserted four causes of action under Virginia

products liability law: (1) a general negligence claim; (2) a design defect claim; (3) a breach

of implied warranty claim; and (4) a failure to warn claim. 3 Essentially, the Estate alleged

that ODC was negligent in designing the Container’s handholds, and that this defective

design caused Mr. Sardis’ injuries. Alternatively, the Estate alleged that ODC had a duty

to warn foreseeable users of the Container to not rely on the handholds for pulling it, and

that had Mr. Sardis been warned, he would not have been injured. The Estate offered Sher

Paul Singh, Ph.D., as its sole expert for the design defect claim; and Michael S. Wogalter,

Ph.D., as the sole expert for the failure to warn claim.

       Dr. Singh, a packaging design engineer, opined that the Container should have been

designed according to what he claimed was the relevant industry standard, American

Society of Testing and Materials Standard #D6039 (“ASTM D6039”). He opined that the

Container failed to satisfy this standard in two ways: (1) the handholds should not have

been included in the design; and (2) the Container should have been designed with end

“cleats,” or pieces of lumber or plywood vertically nailed onto the wood end pieces on the


       2
        The district court properly had diversity jurisdiction over this case. Mr. Sardis was
domiciled in Virginia, and so is his Estate; ODC maintains its principal place of business
in Texas; and the Estate’s Complaint sought damages well in excess of $75,000. See 28
U.S.C. § 1332(a)(1).

       The Estate’s Complaint asserted a fifth cause of action based on an alleged
       3

manufacturing defect, but it abandoned this claim before trial.

                                              7
outside of the Container. Dr. Singh also testified that ODC breached industry standards by

failing to test the Container prior to placing it in the stream of commerce. Finally, without

performing any testing or citing to any published literature, he opined that these failures

proximately caused Mr. Sardis’ death.

       The Estate also offered the expert testimony of Dr. Wogalter for its failure to warn

claim. Dr. Wogalter described himself as an expert on “human factors,” which he said was

“a discipline of study that deals with the design of products and systems based on people’s

abilities and limitations to promote productivity, satisfaction, and safety.” J.A. 96, 555. He

offered three opinions: (1) ODC should have done a “hazard analysis” (which entails, inter

alia, field and laboratory testing and soliciting feedback from consumers) to ascertain if

its new handhold design created new dangers that would require warnings; (2) the lack of

warnings about the hazards of pulling on the wooden handholds made it unreasonably

dangerous; and (3) ODC’s failure to perform a hazard analysis and to warn consumers not

to pull on the Container’s handholds proximately caused Mr. Sardis’ death.

       Before trial, ODC filed a motion in limine to exclude both experts’ testimony as

irrelevant and unreliable. See Daubert v. Merrell Dow Pharms., 509 U.S. 579 (1993). The

district court denied the motion as to both experts in a cursory fashion. Making no

relevancy determinations, it held only that ODC’s reliability concerns lacked merit because

“‘[a] lack of testing . . . affects the weight of the evidence,’ not its admissibility.” E.g., J.A.

289 (citation omitted). Instead, the district court opined that ODC could address its

concerns through “[v]igorous cross-examination, presentation of contrary evidence, and

careful instruction on the burden of proof.” Id. (alteration in original) (citation omitted).

                                                8
                                              D.

       After the jury rendered a $4.84 million verdict in the Estate’s favor on all four claims

for relief, ODC filed a renewed motion for judgment as a matter of law under Federal Rule

of Civil Procedure 50(b). ODC reasserted that both Drs. Singh and Wogalter provided

irrelevant and unreliable opinions, and that the district court should have stricken their

testimony at trial. In ODC’s view, with or without their testimony, the Estate could not

prevail on its claims as a matter of law.

       Beginning with Dr. Singh and the Estate’s design defect claim, the district court

rejected ODC’s renewed Daubert challenges to Dr. Singh’s testimony as only “‘affect[ing]

the weight of the evidence,’ not its admissibility.” J.A. 1179 (citation omitted); J.A. 1182.

On the merits of the design defect claim, the court concluded that Dr. Singh provided

sufficient testimony to show that ASTM D6039 was the applicable industry standard for

the Container’s design, and that “the [C]ontainer fell short of that standard’s

specifications.” J.A. 1181. It further found that despite “some flaws” in Dr. Singh’s

proximate causation opinion, his testimony “gave the jury sufficient evidence to conclude

that the container’s defective design proximately caused [Mr.] Sardis’ death.” J.A. 1182.

       ODC also argued that Dr. Wogalter’s testimony was inadmissible under Daubert

because his opinions all relied on the irrelevant point that ODC should have known of the

dangers that its handhold design posed. According to ODC, in order to prevail on a failure

to warn claim, Virginia law required ODC to have reason to know of the dangers, but Dr.

Wogalter provided no such testimony addressing that standard.



                                              9
       The district court made no explicit Daubert findings as to Dr. Wogalter, concluding

only that there was sufficient evidence to support the jury’s failure to warn verdict. Citing

Mr. Knable’s testimony that ODC did not “ever consider the potential dangers that its

packaging or crates can pose to others,” and Dr. Wogalter’s testimony that ODC had to

“solicit feedback” from users of the Container about the handhold’s dangers, the court

found that a reasonable jury could conclude that ODC “violated its ‘general duty to make

reasonable inferences from relevant and reasonably available facts.’” J.A. 1185 (citation

omitted). This testimony, the court explained, sufficiently supported the finding that ODC

“had a ‘reason to know’ of the [C]ontainer’s dangers.” J.A. 1185–86. The court did not,

however, address the issue of proximate causation.

       ODC lastly challenged the sufficiency of the evidence supporting the jury’s verdicts

on the other two claims for relief, the general negligence claim and the breach of the

implied warranty of merchantability claim. The district court rejected both arguments,

however, deeming the evidence sufficient to support both verdicts. ODC thereafter timely

filed a notice of appeal, and we have jurisdiction pursuant to 28 U.S.C. § 1291.



                                             II.

       Rule 50(b) permits a party to bring a renewed motion for judgment as a matter of

law after the jury has rendered its verdict. If that motion is denied, the moving party is

entitled to assert those same arguments on appeal, Fed. R. Civ. P. 50(e), and our subsequent

review is de novo, Sloas v. CSX Transp., Inc., 616 F.3d 380, 392 (4th Cir. 2010). In our

analysis, we must view the evidence in the light most favorable to the nonmoving party,

                                             10
id., without weighing it or making any credibility determinations, Chaudhry v. Gallerizzo,

174 F.3d 394, 404–05 (4th Cir. 1999). Our task is to determine “whether there was a legally

sufficient evidentiary basis for a reasonable jury” to render the verdict that it did. ABT Bldg.

Prods. Corp. v. Nat’l Union Fire Ins. Co. of Pittsburgh, 472 F.3d 99, 113 (4th Cir. 2006)

(emphasis added). This requires us to first excise any evidence that was erroneously

admitted during trial, because “[i]nadmissible evidence contributes nothing to a ‘legally

sufficient evidentiary basis.’” Weisgram v. Marley Co., 528 U.S. 440, 453–56 (2000). If

the district court erred in denying judgment as a matter of law, then we have the discretion

to (1) “order a new trial,” (2) “direct the trial court to determine whether a new trial should

be granted,” or (3) “direct the entry of judgment” in the moving party’s favor. Fed. R. Civ.

P. 50(e).



                                              III.

       On appeal, ODC asserts that the district court reversibly erred in admitting the

expert testimony of Drs. Singh and Wogalter under Federal Rule of Evidence 702. It argues

that the district court first erred by delegating the determination of expert witness relevance

and reliability to the jury without performing any Daubert analysis. On the merits, ODC

contends that both experts’ opinions were irrelevant because Dr. Singh offered no relevant

industry standard, and Dr. Wogalter’s testimony was incompatible with Virginia’s failure

to warn jurisprudence. Further, ODC posits that both experts’ failure to test or otherwise

authenticate their proximate causation opinions rendered them unreliable. Since the



                                              11
experts’ testimony was inadmissible, according to ODC, the Estate cannot establish any

design defect or reason for ODC to have known of the Container’s alleged dangers.

       The Estate counters that the district court properly allowed the jury to consider

ODC’s challenges to Drs. Singh’s and Wogalter’s testimony. And even if those experts’

testimony was inadmissible, the Estate maintains that the other admissible evidence at trial

sufficiently supported the jury’s verdict on each claim for relief.

       We agree with ODC. The district court erred at the motion in limine stage when it

improperly abdicated its critical gatekeeping role to the jury and admitted Drs. Singh’s and

Wogalter’s expert testimony without engaging in the required Rule 702 analysis. That error

was harmful. Had the district court faithfully executed its Daubert responsibilities before

or after the jury’s verdict, our precedent would have compelled it to exclude both experts’

testimony. And without that expert testimony, the Estate failed to meet its evidentiary

burden on each cause of action submitted to the jury.

                                               A.

       Before addressing the merits of the arguments on appeal, it is helpful to provide an

overview of Virginia products liability law.

       “Virginia has not adopted a strict liability regime for products liability.” Evans v.

Nacco Materials Handling Grp., Inc., 810 S.E.2d 462, 469 (Va. 2018). Instead, plaintiffs

may pursue a products liability remedy “under a theory of implied warranty of

merchantability or under a theory of negligence.” Id. To prevail on either theory, a plaintiff

must prove “(1) that the goods were unreasonably dangerous either for the use to which

they would ordinarily be put or for some other reasonably foreseeable purpose, and (2) that

                                               12
the unreasonably dangerous condition existed when the goods left the defendant’s hands.”

Id. (quoting Featherall v. Firestone Tire & Rubber Co., 252 S.E.2d 358, 367 (Va. 1979)).

A product is “unreasonably dangerous” if it is defectively manufactured, defectively

designed, or “unaccompanied by adequate warnings concerning its hazardous properties.”

Id. (quoting Morgen Indus., Inc. v. Vaughan, 471 S.E.2d 489, 492 (Va. 1996)).

       To prevail on a design defect claim, a plaintiff must show that the manufacturer

“owes a legally recognized duty to design” a product in a certain way to ensure that the

product “is reasonably safe for the purpose for which it is intended.” Holiday Motor Corp.

v. Walters, 790 S.E.2d 447, 454–55 (Va. 2016). Whether such a duty exists is a question

of law for the court, not the jury, id. at 454, and is informed by three kinds of evidence: (1)

governmental safety standards; (2) industry practices; and (3) reasonable consumer

expectations. Evans, 810 S.E.2d at 469–70.

       If a plaintiff successfully establishes a duty to construct a product in a particular

manner, the manufacturer breaches that duty if the product does not conform to that

standard. Holiday Motor, 790 S.E.2d at 455 & n.14; see also Evans, 810 S.E.2d at 469–70.

Whether the product failed to conform to the established standard is a fact question for the

jury to resolve. See Morgen Indus., 471 S.E.2d at 492.

       Distinctly, failure to warn claims recognize that “[a] product may . . . suffer from

no design defect, but nevertheless require a warning to consumers about a hidden danger.”

Evans, 810 S.E.2d at 472. To prevail on such a claim, a plaintiff must prove that the

manufacturer:



                                              13
       (a)    knows or has reason to know that the [product] is or is likely to be
              dangerous for the use for which it is supplied, and

       (b)    has no reason to believe that those for whose use the [product] is
              supplied will realize its dangerous condition, and

       (c)    fails to exercise reasonable care to inform them of its dangerous
              condition or of the facts which make it likely to be dangerous.

Funkhouser v. Ford Motor Co., 736 S.E.2d 309, 313 (Va. 2013) (quoting Featherall, 252

S.E.2d at 366).

                                            B.

       We begin with ODC’s argument that the district court abused its discretion in

admitting Drs. Singh’s and Wogalter’s expert testimony. We review a district court’s

decision to admit expert testimony for an abuse of discretion. McKiver v. Murphy-Brown,

LLC, 980 F.3d 937, 958 (4th Cir. 2020). And in conducting our Rule 50(b) analysis, we

“must first excise inadmissible evidence,” as “such evidence ‘contributes nothing to a

legally sufficient evidentiary basis.’” Hodges v. Mack Trucks Inc., 474 F.3d 188, 193 (5th

Cir. 2006) (quoting Weisgram, 528 U.S. at 454).

       Rule 702 permits expert testimony if that testimony is (1) helpful to the jury in

understanding the evidence or determining a fact at issue, (2) “based on sufficient facts or

data,” (3) “the product of reliable principles and methods,” and (4) the product of a

“reliabl[e] appli[cation] of th[ose] principles and methods to the facts of the case.” Rule

702 thus “imposes a special gatekeeping obligation on the trial judge” to “ensur[e] that an

expert’s testimony both rests on a reliable foundation and is relevant to the task at hand.”

Nease, 848 F.3d at 229–30 (quoting Daubert, 509 U.S. at 597).


                                            14
       An expert’s opinion is relevant if it has “a valid scientific connection to the pertinent

inquiry.” Belville v. Ford Motor Co., 919 F.3d 224, 232 (4th Cir. 2019) (quoting Daubert,

509 U.S. at 592). This ensures that the expert “helps ‘the trier of fact to understand the

evidence or to determine a fact in issue.’” Nease, 848 F.3d at 229 (citation omitted). Simply

put, if an opinion is not relevant to a fact at issue, Daubert requires that it be excluded.

       But even if relevant, an opinion must also be sufficiently reliable. Reliability is a

“flexible” inquiry that focuses on “the principles and methodology” employed by the

expert. Daubert, 509 U.S. at 594–95. Specifically, district courts must ensure that an

expert’s opinion is “based on scientific, technical, or other specialized knowledge and not

on belief or speculation.” Oglesby v. Gen. Motors Corp., 190 F.3d 244, 250 (4th Cir. 1999).

And to the extent an expert makes inferences based on the facts presented to him, the court

must ensure that those inferences were “derived using scientific or other valid methods.”

Id.

       Daubert provides four, non-exhaustive “guideposts” to aid in the required reliability

analysis: (1) whether the expert’s theory or technique “can be (and has been) tested”; (2)

“whether the theory or technique has been subjected to peer review and publication”; (3)

“the known or potential rate of error” inherent in the expert’s theory or technique; and (4)

whether the expert’s methodology is generally accepted in his field of expertise. Nease,

848 F.3d at 229 (quoting Daubert, 509 U.S. at 593–94). But this list “neither necessarily

nor exclusively applies to all experts or in every case,” as the relevance of some factors can

“depend[] on the nature of the issue, the expert’s particular expertise, and the subject of his

testimony.” Kumho Tire Co. v. Carmichael, 526 U.S. 137, 141, 150 (1999) (citation

                                              15
omitted). Accordingly, trial courts are typically given “broad latitude” to determine which

of these factors (or some other unspecified factors) are “reasonable measures of reliability

in a particular case.” Nease, 848 F.3d at 229 (quoting Kumho Tire, 526 U.S. at 153). But

that broad discretion does not allow a district court to delegate the issue to the jury.

       As we explain below, the district court abused its discretion initially when it failed

to perform any Daubert analysis and ruled that the issues of relevance and reliability

impacted only the weight of the experts’ testimony, not their admissibility. That error was

harmful for two independent reasons. First, without Drs. Singh’s and Wogalter’s

testimony, the Estate could not have prevailed on any of its claims as a matter of law. And

second, assuming that the court had considered the merits of ODC’s Daubert challenges in

ruling on ODC’s post-trial Rule 50(b) motion, it abused its discretion in refusing to strike

Drs. Singh’s and Wogalter’s testimony for both offered irrelevant and unreliable opinions.

                                              1.

                                              a.

       We begin with ODC’s argument that the district court failed to perform its

gatekeeping function as to both experts.

       After the Supreme Court’s seminal decisions in Daubert and Kumho Tire, Rule 702

was amended specifically to “affirm[] the trial court’s role as gatekeeper.” Fed. R. Evid.

702 advisory committee’s note to 2000 amendments. So when a party challenges an

opposing expert’s testimony as irrelevant, the court must satisfy itself that the proffered

testimony is relevant to the issue at hand, for that is “a precondition to admissibility.”

Daubert, 509 U.S. at 592 (emphasis added). And if that expert’s proffered evidence is

                                              16
further alleged to be unreliable, then “the trial judge must determine whether the testimony

has ‘a reliable basis in the knowledge and experience of the relevant discipline.’” Kumho

Tire, 526 U.S. at 149 (alteration omitted) (quoting Daubert, 509 U.S. at 592). While district

courts have “broad discretion” in analyzing reliability, “such discretion does not include

the decision ‘to abandon the gatekeeping function.’” Nease, 848 F.3d at 230 (quoting

Kumho Tire, 526 U.S. at 158–59 (Scalia, J., concurring)). “Rather, it is discretion to choose

among reasonable means of excluding expertise that is fausse and science that is junky.”

Kumho Tire, 526 U.S. at 159 (Scalia, J., concurring). Thus, a district court abuses its

discretion if it fails to ensure that a proffered expert opinion is “sufficiently relevant and

reliable when it is submitted to the jury.” Nease, 848 F.3d at 231.

       The district court’s ruling on ODC’s motion in limine cursorily dismissed each of

ODC’s reliability and relevance arguments as only going to weight, not admissibility.

Although the court recognized “legitimate concerns” with Dr. Wogalter’s proffered

testimony, it nonetheless deemed those concerns solely a subject for cross-examination.

J.A. 287–88 (emphasis added). Despite ODC’s request, the district court failed to undertake

any Daubert analysis. Just as in Nease, “[t]he court did not use Daubert’s guideposts or

any other factors to assess the reliability of [Drs. Singh’s and Wogalter’s] testimony, and

the court did not make any reliability findings.” 848 F.3d at 230. Instead, it reflexively

“[found] that [ODC]’s arguments go to the weight the jury should afford [Dr. Singh’s]

testimony, not its admissibility.” Id. at 230–31 (first alteration in original). By doing so,

the court “abandoned its gatekeeping function,” thereby abusing its discretion. Id. at 230.



                                             17
       The court similarly erred in ruling on ODC’s post-trial Rule 50(b) motion. As to Dr.

Singh, the district court doubled down, again finding that ODC’s challenges went to the

weight of the testimony, not admissibility. It pointed out that ODC “vigorously cross-

examined Dr. Singh” on his failure to test his theories, but “the jury apparently found Dr.

Singh’s opinions credible.” J.A. 1180, 1182. But credibility is entirely distinct from

reliability and relevancy, which are preconditions to the admissibility of expert testimony.

Nease, 848 F.3d at 229. While cross-examination may be a proper tool to determine which

of two competing experts’ theories more credibly explains an event, even a “‘thorough and

extensive examination’ does not ensure the reliability” or relevance “of [an] expert’s

testimony.” Id. at 231 (citation omitted). And while the court’s opinion on the failure to

warn claim considered Dr. Wogalter’s testimony as part of the evidentiary basis supporting

the jury’s verdict, it never addressed ODC’s challenges to Dr. Wogalter’s proximate

causation opinions, and never made any direct relevance or reliability rulings. Thus, as to

both experts, the district court improperly “delegate[d] [its] gatekeeping responsibility to

the jury,” and thereby abused its discretion. Id.

       At oral argument, the Estate posited that to the extent the district court did not make

explicit its relevance and reliability findings, those were implicit in the ultimate ruling that

both experts could testify. That is plainly insufficient. Where the admissibility of expert

testimony is specifically questioned, Rule 702 and Daubert require that the district court

make explicit findings, whether by written opinion or orally on the record, as to the

challenged preconditions to admissibility. United States v. Ruvalcaba-Garcia, 923 F.3d

1183, 1190 (9th Cir. 2019) (“[T]he district court’s ruling at most suggests an implicit

                                              18
finding of reliability, which is not sufficient. To satisfy its gatekeeping duty under Daubert,

the court must make an explicit reliability finding.” (citations and internal quotation marks

omitted)); Carlson v. Bioremedi Therapeutic Sys., Inc., 822 F.3d 194, 201 (5th Cir. 2016)

(“At a minimum, a district court must create a record of its Daubert inquiry and articulate

its basis for admitting expert testimony.” (alterations, citation, and internal quotation marks

omitted)); Gayton v. McCoy, 593 F.3d 610, 616 (7th Cir. 2010) (“[T]he court must provide

more than just conclusory statements of admissibility or inadmissibility to show that it

adequately performed its gatekeeping function.”).

       The district court did none of this, despite voicing its concerns with both experts

during trial. See, e.g., J.A. 501, 504 (pointing out that Dr. Singh’s reliance on ASTM D6039

might be “comparing apples and oranges,” but nonetheless deciding to “leave [the parties]

to fight that out” in front of the jury); J.A. 573–74 (demanding that Dr. Wogalter provide

“more detail” into the hazard analysis process “so that we can figure out whether there is a

likelihood of good results,” but then discovering that there is no “existing literature” on the

subject, and no analogous example of a hazard analysis performed on a similar container).

Without the explicit findings required under Daubert, “it is impossible on appeal to

determine whether the district court carefully and meticulously reviewed the proffered

evidence or simply made an off-the-cuff decision to admit the expert testimony.” Smith v.

Jenkins, 732 F.3d 51, 64 (1st Cir. 2013) (alteration and citation omitted). Accordingly, we

hold that the district court failed to satisfy Rule 702’s gatekeeping requirement and that

failure was an abuse of discretion.



                                              19
       We conclude with one final observation. Our insistence on district courts’

compliance with Rule 702’s plain gatekeeping requirement stems not from an arbitrary

adherence to a procedural formality. Rather, because Rule 702 grants experts “wide latitude

to offer opinions, including those that are not based on firsthand knowledge or

observation,” “[e]xpert evidence can be both powerful and quite misleading.” Daubert, 509

U.S. at 592, 595 (citations and internal quotation marks omitted). As such, “the importance

of [the] gatekeeping function cannot be overstated.” United States v. Barton, 909 F.3d

1323, 1331 (11th Cir. 2018) (citation and internal quotation marks omitted).

       That much is confirmed by the Advisory Committee on Evidence Rules’ current

proposal to amend Rule 702. On April 30, 2021, the Committee unanimously approved a

proposal to amend Rule 702, part of which is motivated by its observation that in “a number

of federal cases . . . judges did not apply the preponderance standard of admissibility to

[Rule 702’s] requirements of sufficiency of basis and reliable application of principles and

methods, instead holding that such issues were ones of weight for the jury.” Advisory

Comm. on Evidence Rules, Agenda for Committee Meeting 17 (Apr. 30, 2021) [saved as

ECF opinion attachment]. In order to address this “pervasive problem,” id. at 18, both of

the current draft amendments to Rule 702 would contain the following language in the

advisory committee’s notes:

       [U]nfortunately many courts have held that the critical questions of the
       sufficiency of an expert’s basis [for his testimony], and the application of the
       expert’s methodology, are generally questions of weight and not
       admissibility. These rulings are an incorrect application of Rules 702 and
       104(a) and are rejected by this amendment.



                                             20
Id. at 105, 107. That clearly echoes the existing law on the issue. See, e.g., Daubert, 509

U.S. at 589 (“[U]nder the Rules the trial judge must ensure that any and all scientific

testimony or evidence admitted is not only relevant, but reliable.”); Kumho Tire, 526 U.S.

at 147 (extending Daubert to “all expert testimony”); Fed. R. Evid. 702 advisory

committee’s note to 2000 amendments (“The trial court’s gatekeeping function applies to

testimony by any expert.”). Consistent with that existing law––and in accordance with the

Committee’s pending rule––we confirm once again the indispensable nature of district

courts’ Rule 702 gatekeeping function in all cases in which expert testimony is challenged

on relevance and/or reliability grounds.

                                            b.

       As with any evidentiary error, we review a district court’s abdication of its

gatekeeping role for harmless error and require a new trial “only when the admission of

evidence affected the substantial rights of a party.” Wickersham v. Ford Motor Co., 997

F.3d 526, 531 (4th Cir. 2021). That is, if we can say “with fair assurance, after pondering

all that happened without stripping the erroneous action from the whole, that the judgment

was not substantially swayed by the error,” then we must affirm. Taylor v. Va. Union Univ.,

193 F.3d 219, 235 (4th Cir. 1999) (en banc) (alteration omitted) (quoting United States v.

Heater, 63 F.3d 311, 325 (4th Cir. 1995)), abrogated on other grounds by Desert Palace,

Inc. v. Costa, 539 U.S. 90 (2003). On the record before us, we cannot say that the district

court’s abdication of its gatekeeping role was harmless.

       In the ordinary run of cases, we deem the erroneous admission of expert testimony

harmless if after excising the erroneously admitted expert testimony there remains

                                            21
sufficient admissible evidence to uphold the jury’s verdict. See Wickersham, 997 F.3d at

531–32 (deeming the admission of expert testimony harmless error because of the

admission of similar testimony from other expert and non-expert witnesses). But that is not

the case here. As we explain in greater detail in Part IV, infra, Drs. Singh and Wogalter

were the only experts to offer the evidence necessary to establish the Estate’s causes of

action. We therefore cannot say that the district court’s error here was harmless in this

regard.

       We had no cause to address in Nease the precise parameters of how a district court’s

abdication of its gatekeeping function becomes harmful error. We do so now and look to

our sister circuits for guidance. That review uncovers two different approaches to the

harmless error inquiry. We need not decide which is the “proper” one to follow (assuming

there is one), because the district court’s error here is harmful under either path.

       First, some courts focus solely on whether the erroneously admitted expert

testimony swayed the jury’s verdict. See, e.g., Carlson, 822 F.3d at 202; UGI Sunbury LLC

v. A Permanent Easement for 1.7575 Acres, 949 F.3d 825, 834–36 (3d Cir. 2020); United

States v. Valencia-Lopez, 971 F.3d 891, 902 (9th Cir. 2020). The Fifth Circuit’s decision

in Carlson is the most instructive as that court similarly considered a district court’s

abdication of its Daubert gatekeeping function in a products liability case. 822 F.3d at 200–

01. Specifically, “the district court disregarded its gatekeeping function to determine the

admissibility of evidence outside of the presence of the jury” by conclusorily deeming the

testimony of the defendant’s expert witness, Dr. Durrett, admissible and instructing the



                                              22
jury that “[w]hatever weight you give to this witness’s testimony, just like every witness,

that’s strictly up to you.” Id. at 201.

       Without considering the merits of the plaintiff’s underlying Daubert challenge, the

Fifth Circuit held that the district court’s failure to fulfill its gatekeeping requirement was

not harmless. Id. at 202. It pointed out that after the close of the plaintiff’s case-in-chief,

the plaintiff defeated the defendant’s motion for judgment as a matter of law, meaning that

there was “a legally sufficient evidentiary basis to find for” the plaintiff. Id. (citation

omitted). But after the defendant called its only witness, the challenged expert witness, Dr.

Durrett, the jury rendered a verdict for the defendant. Id. Because Dr. Durrett’s testimony

was the only evidence that could have supported the jury’s verdict for the defendant, the

court reasoned, “it is not credible to categorize the admission of Dr. Durrett’s testimony as

harmless.” Id.; see also UGI Sunbury LLC, 949 F.3d at 834–36 (holding that the district

court’s abdication of its gatekeeping role during a bench trial was harmful because the

court ultimately relied on that expert testimony in awarding damages to the plaintiff);

Valencia-Lopez, 971 F.3d at 902 (holding that the district court’s failure to subject the

Government’s challenged expert witness to any Daubert scrutiny was harmful because that

expert’s testimony “went ‘to the heart’ of the most important issue in the case,” the viability

of the defendant’s duress defense, and it further undercut the credibility of both the

defendant and his own retained expert).

       Carlson is virtually indistinguishable from the case before us. Again, as we explain

in Part IV, infra, all of the Estate’s claims fail as a matter of law without Drs. Singh’s and

Wogalter’s testimony, so their testimony necessarily must have “substantially swayed” the

                                              23
jury’s verdict for the Estate. See Taylor, 193 F.3d at 235. In these circumstances, then, “it

is not credible to categorize the admission of [their] testimony as harmless.” Carlson, 822

F.3d at 202. Thus, under this approach, the district court’s Daubert failure is harmful error

and would, at minimum, require us to reverse its Rule 50(b) decision.

       Other circuits allow for a more particular harmlessness review, permitting a

reviewing court to make substantive findings of relevance and reliability if the record on

appeal is sufficiently developed. See Estate of Barabin v. AstenJohnson, Inc., 740 F.3d

457, 467 (9th Cir. 2014) (en banc), overruled on other grounds by United States v. Bacon,

979 F.3d 766, 770 (9th Cir. 2020) (en banc); accord StorageCraft Tech. Corp. v. Kirby,

744 F.3d 1183, 1190–91 (10th Cir. 2014). In an opinion authored by then-Judge Gorsuch,

the Tenth Circuit endorsed this approach because if the expert’s testimony turned out to be

admissible on the merits, “it would be pointless to require a new trial at which the very

same evidence can and will be presented again.” StorageCraft, 744 F.3d at 1191.

Alternatively, that inquiry may reveal that the challenged expert’s testimony was

inadmissible, and “if such a finding leaves insufficient evidence, the court ‘may direct entry

of judgment as a matter of law.’” Bacon, 979 F.3d at 769 (quoting Barabin, 740 F.3d at

467); see Fed. R. Civ. P. 50(e). If the record is insufficient for the reviewing court to make

those findings, however, it is left to the panel’s discretion to determine how to remedy the

error. Bacon, 979 F.3d at 769–70.

       Applying this approach and given the extensive examination undertaken of Drs.

Singh and Wogalter during trial, we find that the record allows us to adequately review the

merits of ODC’s Daubert challenges. And as explained below, that review demonstrates

                                             24
that the district court erred in failing to strike Drs. Singh’s and Wogalter’s testimony

because both experts offered irrelevant and unreliable testimony.

       Therefore, under either approach, the district court’s Daubert gatekeeping error was

not harmless.

                                             2.

       We now turn our attention to the merits of ODC’s Daubert challenges beginning

with Dr. Singh’s expert testimony. Before addressing the application of the relevance and

reliability requirements, we pause briefly to provide additional background on his

substantive testimony.

                                             a.

       As noted, Dr. Singh offered several opinions during his testimony. He first testified

that the Container was required to comply with the design standards set forth in ASTM

D6039. The Container’s design breached those standards, he opined, because it had

handholds, and because there were no end cleats on the outside of the Container to reinforce

the handholds. He further opined that ODC breached industry standards that required it to

test the Container design prior to placing the Container in the stream of commerce. Finally,

he stated that all of these shortcomings proximately caused Mr. Sardis’ death.

       As to the first opinion, regarding the governing standard, Dr. Singh explained that

the ASTM promulgates a wide variety of design standards that govern both the domestic

and international packaging industries. ASTM D6039 is entitled, “Standard Specification

for Open and Covered Wood Crates.” J.A. 154. It “covers five types and two styles of open

and one type, and one style of covered wood crates designed for net loads not exceeding

                                            25
4000 lb.” J.A. 154 (ASTM D6039 § 1.1). It defines a “crate” as “a container with structural

framework fastened together to form a rigid structure enclosure, typically having an open

construction concept with little or no panel support.” J.A. 155 (ASTM D6039 § 3.2.4).

       Dr. Singh opined that ODC’s Container qualified as a “Type II, Style A” crate under

ASTM D6039, with dimensions up to twelve-feet by four-feet by two-feet and holding up

to one thousand pounds. See J.A. 155 tbl. 1. As relevant here, ASTM D6039 requires that

those crates “shall” be built with the materials “as specified” in the standard; that both the

ends and sides of the crate “shall be [made] of lumber or cleated-plywood”; and that “for

gross weights exceeding 200 lb . . . exterior side cleats shall be used to facilitate fork truck

handling of crates.” J.A. 156, 160–61 (ASTM D6039 §§ 6.1, 7.7.1, 7.7.4). The standard,

however, does not specify if handholds can be built into a Type II, Style A crate.

       At trial, Dr. Singh was questioned at length regarding whether ASTM D6039 was

in fact the governing industry standard for the Container’s design. During his direct

examination, Dr. Singh maintained that ASTM D6039 provided the applicable industry

standard for the Container’s design, despite its sides being made of triple-wall corrugated

material, because the Container’s wood ends provided the necessary “structural

framework” to hold it together and “support[] the load of the product.” J.A. 453–54. On

cross-examination, ODC’s counsel noted that sections 7.7.2 and 7.7.3 of ASTM D6039

required that the sides and the top members of a crate “shall” be made of lumber or pleated

plywood, too. See J.A. 160–61. When asked if this could mean that the Container “just

isn’t a wood crate,” Dr. Singh responded, “That is possible, yes, sir.” J.A. 523. The district

court then inquired further:

                                              26
      THE COURT:            [C]ould you use a container that had a wooden end and
                            the rest of it was made of cardboard?

      DR. SINGH:            You can, but you still have to test it.

      THE COURT:            Well, okay. Would that [container] be governed by this
                            ASTM 6039?

       DR. SINGH:           It wouldn’t be governed by 6039, but there would be
                            other testing standards that would apply. . . .

       THE COURT:           So it would be [alright] to [build a box with cardboard
                            sides and wooden ends] then?

       DR. SINGH:           It would be [alright] to do that as long as you test it with
                            ASTM standards.

J.A. 539–40 (emphasis added).

       This final point that Dr. Singh raised––that ASTM D6039 actually did not apply to

the Container but “there would be other testing standards that would apply,” J.A. 539––

referred to what he characterized as another governing industry standard. Indeed, ASTM

D6039 itself specifies that manufacturers may use other construction methods, so long as

“the resulting packaging systems [are] of equal or better performance,” J.A. 154 (ASTM

D6039 § 1.4), and (according to Dr. Singh) the procedure otherwise complies with ASTM

D4169. But ASTM D4169 is not in the record. Most importantly, Dr. Singh never

explained what sort of testing procedures ASTM D4169, or any other ASTM standards, if

any, applied to the Container. And there was no testimony from Dr. Singh or anyone else

as to any testing or scientific literature review done for compliance with the unidentified

standards.

       Despite his testimony that the Container as constructed “wouldn’t be governed by

[ASTM] [D]6039,” J.A. 539, he nonetheless opined that the Container breached ASTM

                                             27
D6039’s requirements in two ways: (1) the handhold should not have been included in the

design; and (2) the Container should have been designed with end cleats nailed vertically

on the wood end pieces on the outside of the Container. ODC questioned his opinion

regarding the handholds at length during cross-examination, asking him whether ASTM

D6039 considered that a crate would have handholds built into it. Dr. Singh confirmed that

ASTM D6039 said nothing about handholds––meaning that it did not preclude

manufacturers from including them. As such, “[t]here is . . . nothing in [ASTM D6039]

that refers to a [required] strength for pulling or pushing” a crate via a handhold. J.A. 525.

When asked what, if any, handhold testing standards the ASTM generally required, Dr.

Singh explained that they were “[i]n the ASTM book. I don’t remember that standard

number off the top of my head. . . . You can search it on Google.” J.A. 542–43. And to

determine how much more strength an end cleat would have added to a handhold, Dr. Singh

acknowledged that “[y]ou would have to do some testing.” J.A. 526. He performed none

and referenced none from any other source. And neither did any other witness.

       Finally, Dr. Singh concluded that ODC’s failure to make the Container according

to ASTM D6039’s specifications, and to test the Container prior to using it to ship goods,

proximately caused Mr. Sardis’ death. Specifically, he opined only that if end cleats were

present on the outside of the Container, the slat that Mr. Sardis pulled on “would have held

more than not being present.” J.A. 546. But again, Dr. Singh did not cite to any tests that

he performed on an exemplar Container or a computer-generated model, or to any other

objective analysis, to reach this conclusion.



                                                28
                                              b.

       Below and on appeal, ODC argues that Dr. Singh’s opinions were irrelevant,

because his testimony insufficiently established that ASTM D6039 was a relevant industry

standard that applied to the Container. It points out that the Container is not a wooden crate,

which is what ASTM D6039 governs. Although both ASTM D6039 crates and the

Container have wooden ends, ODC asserts that the similarities end there, making ASTM

D6039 an “apples-to-oranges” comparison. Opening Br. 21.

       The Estate counters that the differences that ODC cites between the Container and

the requirements of ASTM D6039 “prove ODC’s failure to comply with the industry

standard.” Response Br. 15. It construes Dr. Singh’s testimony as supporting the

proposition that the Container’s triple-wall corrugated material, when connected to the

wood ends, provided the structural framework necessary to bring it within ASTM D6039’s

purview. Thus, the Estate contends, the jury was entitled to credit Dr. Singh’s opinion that

ASTM D6039 governs. We find several significant flaws in the Estate’s position.

       As an initial matter, whether ASTM D6039 imposed particular duties on ODC to

construct the Container in a certain manner should have never been delegated to the jury.

Virginia products liability law is clear that the question of whether a manufacturer has a

duty to design a product in a certain manner is a question of law for the court. Holiday

Motor, 790 S.E.2d at 454 (“Judges rather than juries determine whether the defendant was

under a duty of care at all and if so what standard of care applied.” (quoting 1 Dan B. Dobbs

et al., The Law of Torts § 164 (2d ed. 2011)). The district court thus should have made this

determination, not the jury. Its failure to do so was error.

                                              29
       Next, assuming that the court had deemed ASTM D6039 as the governing industry

standard, that finding itself would constitute reversible legal error. Dr. Singh admitted

during his testimony that a container made of “cardboard”––which the district court was

using as shorthand for triple-wall corrugated material––“wouldn’t be governed by [ASTM]

[D]6039,” because “[t]riple-wall corrugated [material] is not considered wood.” J.A. 538–

39 (emphasis added). That admission distinguishes ASTM D6039’s requirement that a

crate’s sides and ends “shall” be made of lumber or pleated plywood. See J.A. 156, 160

(ASTM D6039 §§ 6.1, 7.7.1–.2). Thus, based on Dr. Singh’s own testimony, ASTM D6039

could not be a governing standard for the Container. Yet he relied on it as the relevant

benchmark, and the district court erroneously permitted him to do so before the jury.

       The district court recognized as much during a sidebar with counsel. It noted that

the Container’s mostly cardboard design lacked the interconnected interior wooden

members shown in the diagramed models in ASTM D6039 and observed, “It may be this

was the wrong design to use for this [Container]. But comparing [the Container] to [ASTM

D6039] is comparing apples and oranges.” J.A. 501 (emphasis added). Despite these

obvious flaws in Dr. Singh’s testimony, the court decided to “leave [it to the parties] to

fight that out” in front of the jury. J.A. 504. That decision violated both Rule 702’s

gatekeeping requirement and its foundational principles of relevancy. A design standard

that “does not even apply to” the product at issue categorically “lacks ‘a valid scientific

connection to the pertinent inquiry.’” Nease, 848 F.3d at 232–33 (quoting Daubert, 509

U.S. at 592). It is, in simpler words, the touchstone of irrelevancy under Daubert.



                                            30
       The same logic applies to Dr. Singh’s testimony regarding the propriety of the

Container’s handholds. While initially testifying that ASTM D6039 barred manufacturers

from putting handholds on crates, Dr. Singh later admitted that ASTM D6039 said nothing

one way or the other about handholds:

       ODC’S COUNSEL:                   I want to be clear, I am not trying to play
                                        semantics, there is nothing in ASTM D 6039
                                        for any of the styles or types . . . of crates in
                                        there that has anything [to] do with manual
                                        handles, or hand holds by any other name,
                                        anywhere in the standard; right?

       DR. SINGH:                       Nothing referred to handles or hand holds in
                                        [ASTM] D 6039.

       ODC’S COUNSEL:                   In fact [ASTM] D 6039 doesn’t even
                                        contemplate an option for a hand hold in an
                                        all-wood crate?

       DR. SINGH:                       That is correct.

J.A. 524. An industry standard that says nothing about the propriety of handholds––and

ergo, nothing about how those handholds should be tested (if they need to be tested at all)

––is not relevant to the Estate’s claims or helpful to the jury’s breach determination.

       Lastly, at first blush, Dr. Singh’s testimony that the ASTM requires manufacturers

to test a product that deviates from ASTM D6039’s requirements appears relevant. But in

reality, Dr. Singh never explained what those testing standards are or if they even exist.

Instead, Dr. Singh pointed the district court and the jury to “Google” for standards he could

not identify. J.A. 542–43. No other witness offered testimony on these unidentified

standards. That is patently insufficient to establish a duty to test a product in a certain way

and a breach of that duty. The expert must be able to identify and explain those industry

                                              31
testing standards and why the product in question met or failed that test. Without such

evidence, the jury here could not properly ascertain whether ODC breached an unidentified

industry standard and was forced to speculate a guess because all that the jury had to verify

that the industry requires testing is Dr. Singh’s vague ipse dixit. That cannot satisfy Rule

702. 4 See Gen. Elec. Co. v. Joiner, 522 U.S. 136, 146 (1997) (“[N]othing in either Daubert

or the Federal Rules of Evidence requires a district court to admit opinion evidence that is

connected to existing data only by the ipse dixit of the expert.”); Daubert, 509 U.S. at 590

(“‘[K]nowledge’ connotes more than subjective belief or unsupported speculation.”); see

also Fed. R. Evid. 702 advisory committee’s note to 2000 amendments (“The trial court’s

gatekeeping function requires more than simply ‘taking the expert’s word for it.’”).

       In sum, the district court committed legal error in failing to strike Dr. Singh’s

testimony under Daubert as irrelevant, because his testimony failed to establish an industry

standard governing the Container, much less a breach of that alleged standard.

                                             c.

       ODC also challenged Dr. Singh’s opinion on proximate causation as unreliable,

arguing that under our decision in Nease, Dr. Singh’s failure to test any exemplar or

representative Container rendered his opinion unreliable. According to ODC, even if


       4
           The Estate also points to Dr. Singh’s reliance on Chapter Four of the Handbook of
Paper and Wood Packaging Technology as a relevant industry standard. That treatise
provides that placing cleats on the inside of a wooden crate (which the Container here did)
“reduces the carrying capacity to less than 200 pounds.” J.A. 475. Dr. Singh never
explained, however, how a reduction in carrying capacity would reduce the strength of
handholds on the outside of a container. So even assuming that this is an industry standard,
it is irrelevant to the handhold discussion.

                                             32
ASTM D6039 gave some insight into how much pull resistance handholds would have

with end cleats on the outside, “it would not help [the Estate] here, since Dr. Singh did not

do any kind of analysis to see how much force Mr. Sardis actually applied on the Container

or how much force a container with exterior end cleats would have held.” Opening Br. 50.

       The Estate attempts to distinguish Nease by arguing that the expert there “sought to

extrapolate data relating to one model of truck to another model,” while here Dr. Singh

testified as to “a product’s demonstrated failure to meet established safety standards.”

Response Br. 28. Thus, the Estate contends, given Dr. Singh’s extensive credentials and

“unchallenged expertise,” his testimony satisfied Daubert and Rule 702. Id. On this point,

too, ODC’s argument finds stronger support in our precedent. 5

       At trial, Dr. Singh testified only in a summary fashion that the lack of vertical end

cleats on the Container’s wooden ends, and ODC’s failure to test the handholds prior to

placing the Container in the stream of commerce, proximately caused Mr. Sardis’ death.

His only explanation of the former proposition was to opine that end cleats “would have

held [the handhold slat] more than not being present.” J.A. 546.

       For an expert opinion to be reliable, it must be “based on scientific, technical, or

other specialized knowledge and not on belief or speculation.” Nease, 848 F.3d at 229



       5
          During oral argument, the Estate asserted that ODC waived any challenge to Dr.
Singh’s proximate causation opinion by failing to object to it when Dr. Singh offered it at
trial. See also Response Br. 17. We disagree. ODC properly preserved this issue for appeal
by filing a motion in limine specifically requesting, inter alia, that the district court exclude
Dr. Singh’s proximate causation opinion at trial under Daubert, which the district court
denied. See United States v. Williams, 81 F.3d 1321, 1325 (4th Cir. 1996).

                                               33
(citation omitted). “One especially important factor for guiding a court in its reliability

determination is whether a given theory has been tested.” Id. at 231. While a lack of testing

is not dispositive, id. at 232, we have nonetheless recognized that “a plaintiff may not

prevail in a products liability case by relying on the opinion of an expert unsupported by

any evidence such as test data or relevant literature in the field,” Oglesby, 190 F.3d at 249

(citation omitted). Thus, in cases such as this one, whether the proffered expert’s theory

has been, or can be, tested or otherwise proved objectively will ordinarily be a “key

question to be answered” in the judge’s reliability analysis. Daubert, 509 U.S. at 593.

       Dr. Singh’s opinions, as far as they go, are “scientific” in nature. See Fed. R. Evid.

702; Daubert, 509 U.S. at 590. They “raise basic, testable engineering concepts governing

how an object will perform when subjected to certain forces.” Brief for Prod. Liab.

Advisory Council, Inc. as Amicus Curiae Supporting Appellant 14. So “[t]esting was of

critical importance in this case,” Nease, 848 F.3d at 231, in order to ensure that Dr. Singh’s

opinion was based on scientific knowledge. After all, “to qualify as ‘scientific knowledge,’

an inference or assertion must be derived by the scientific method.” Daubert, 509 U.S. at

590. Dr. Singh admitted as much, testifying that to determine how strong the Container’s

handhold was or how much more strength vertical end cleats would provide, “[y]ou would

have to do some testing.” J.A. 526.

       Dr. Singh, “however, conducted no testing whatsoever to arrive at his opinion.”

Nease, 848 F.3d at 232. Despite the actual Container at issue being unavailable, Dr. Singh

made no efforts to create a computer-generated or physical model of the Container, and the

Estate turned down ODC’s offer to construct three exemplars of the Container. Without

                                             34
such testing, Dr. Singh could not competently respond to several questions that required

answers in order to reliably arrive at his ultimate proximate causation opinions. Regarding

the failure to test the handhold, Dr. Singh did not describe (a) what sort of pull-strength

resistance the packaging industry requires handholds to withstand, and (b) whether the

Container’s handholds met those pull-strength resistance requirements. After all, a failure

to test could not have proximately caused Mr. Sardis’ death if the Container’s handholds

would have satisfied the industry’s standards. And regarding the alleged need for end

cleats, several more questions remain unanswered: (a) Since ASTM D6039 does not speak

to handholds, were end cleats necessary to bring the Container’s handholds within the

industry standard for pull-strength resistance?; (b) If so, would end cleats have in fact given

the Container’s handholds the required pull-strength resistance?; and (c) Perhaps most

importantly, had ODC included end cleats on the Container’s wooden ends, would the

amount of force Mr. Sardis used to pull on the Container’s handhold still have exceeded

the handhold’s increased pull-strength resistance? It is certainly possible that Mr. Sardis

pulled with such force that “industry standard” end cleats would not have prevented the

handhold from breaking. Dr. Singh made no effort to consider any of these relevant factors

and neither did any of the Estate’s other witnesses.

       Just as in Nease, “[Dr. Singh’s] failure to test his hypothes[es] renders his opinions

on the cause of [Mr. Sardis’] accident unreliable.” 848 F.3d at 232. While his “theory is

plausible and ‘may even be right, it is no more than a hypothesis, and it thus is not

knowledge, nor is it based upon sufficient facts or data or the product of reliable principles

and methods applied reliably to the facts of the case.’” Id. (alterations and citation omitted).

                                              35
The other Daubert guideposts for reliability confirm this point. Dr. Singh employed no

identified methodology to reach his conclusion about the handhold slat breaking in this

case, or his conclusion that testing the handhold would have established its noncompliance

with the alleged industry standards, so “it would hardly be possible to solicit peer review.”

Id. Nor would it be possible for another expert to recreate and test Dr. Singh’s theories for

the potential rate of error. Id. His opinions are therefore unreliable.

       The Estate and the district court appear to rely solely on ASTM D6039 as remedying

these defects. The district court first found that Dr. Singh’s opinions were admissible

despite his lack of testing because “where an expert is otherwise qualified to testify, a lack

of testing or failure to identify industry standards affects the weight of the evidence.” J.A.

1179 (quoting Bilenky v. Ryobi Ltd., No. 2:13cv345, 2014 WL 7530365, at *4 (E.D. Va.

Dec. 5, 2014)); accord J.A. 289. Second, the court pointed out, Dr. Singh relied on an

industry standard, ASTM D6039, distinguishing his opinions from those in Nease. Both

points are unpersuasive.

       First, the district court’s reliance on Bilenky, an unpublished decision, is misplaced.

Unlike Bilenky and the district court here, we do not read Alevromagiros v. Hechinger Co.,

993 F.2d 417 (4th Cir. 1993), to stand for the proposition that a lack of testing and/or a

failure to identify industry standards can never render an expert’s testimony inadmissible

at the Daubert gate. In fact, Alevromagiros never considered a Rule 702 challenge; it

merely considered whether the expert testimony admitted at trial sufficiently proved a

design defect under Virginia law. See 993 F.2d at 420–21. And even if Alevromagiros

stood for the rule that Bilenky and the district court here attributed to it, we would reject it.

                                               36
Alevromagiros preceded the Supreme Court’s decision in Daubert, the latter of which made

clear that testing and a failure to cite industry standards can impact an expert opinion’s

reliability, one of the two preconditions for admissibility. Had the district court assured

itself that Dr. Singh’s opinions were reliable at the Daubert gate, then a lack of testing

and/or a failure to identify industry standards might have only impacted the weight of his

testimony. That was not the case here, as the district court failed to make those threshold

relevancy and reliability determinations.

       Second, Dr. Singh’s reliance on ASTM D6039 cannot, as the district court appeared

to intimate, serve as a proxy for testing. Setting aside the fact that ASTM D6039 is an

irrelevant standard––which by itself is fatal to this argument––Dr. Singh admitted during

trial that “we can’t find out . . . how much strength an end cleat has to keep slats from

pulling out” by looking only at ASTM D6039. J.A. 526. Instead, “[y]ou would have to do

some testing.” Id. (emphasis added). Nor does ASTM D6039 “refer[] to a [handhold]

strength for pulling or pushing” generally. J.A. 525. So assuming that an industry standard

could serve as a “proxy” for testing, see Nease, 848 F.3d at 233, ASTM D6039 is not such

a standard by Dr. Singh’s own admission.

       All of this to say: even if an expert provides relevant testimony as to how an

allegedly defective product breached a governing industry standard (which Dr. Singh did

not do here), that says nothing about whether the expert reliably opined that said breach

caused a plaintiff’s harm. There must be some objective basis to satisfy the district court

that the conclusion reached was the product of reliable principles and methods. “Without

testing, supporting literature in the pertinent field, peer reviewed publications[,] or some

                                            37
basis to assess the level of reliability, expert opinion testimony can easily, but improperly,

devolve into nothing more than proclaiming an opinion is true ‘because I say so.’” Small

v. WellDyne, Inc., 927 F.3d 169, 177 (4th Cir. 2019). That is precisely what occurred here

with Dr. Singh. The district court thus abused its discretion by allowing the jury to receive

Dr. Singh’s ipse dixit opinion. See Joiner, 522 U.S. at 146.

                                              3.

       We now turn to ODC’s relevance and reliability challenges to Dr. Wogalter’s

testimony, pausing first to provide a brief overview of the substance of his testimony.

                                              a.

       Dr. Wogalter was the Estate’s only expert to testify in support of its failure to warn

claim. He described himself as an expert on “human factors,” which he described as “a

discipline of study that deals with the design of products and systems based on people’s

abilities and limitations to promote productivity, satisfaction, and safety.” J.A. 96, 555.

       First, Dr. Wogalter testified that manufacturers have a duty to conduct a “hazard

analysis” of a product, which entails considering how a product will be used at “all different

stages” of its “life cycle.” J.A. 562. He opined that a proper hazard analysis entails

“solicit[ing] feedback,” instead of “just wait[ing]” to hear of problems. J.A. 564. The

district court questioned Dr. Wogalter about how ODC would have discovered that the

handhold was dangerous, because his testimony “[was] kind of vague.” J.A. 573. Dr.

Wogalter responded that ODC would have discovered this by performing additional, but

unidentified, testing, as well as “go[ing] out and talk[ing] to people” to see “how they use

[the Container],” see “how they move [it] around,” and “try to figure out what is going to

                                             38
happen to [the handhold] out in the field.” J.A. 577. Had they done this and further testing,

he testified that ODC “would have found problems that the slat could come off from pulling

on it.” J.A. 569. He admitted, however, that there is no existing literature on how to test

human factors “that [he] know[s] of,” because “it is a general technique that cuts across

products.” J.A. 574. And, he conceded that he never engaged in his own hazard analysis of

any facsimile of the Container or anything comparable to it.

       Second, given the handhold’s alleged dangers, Dr. Wogalter opined that some

warning system was necessary. He described the general types of information that are

typically contained in generic warnings, how those warnings are fashioned onto packaging,

and to whom that information is distributed. However, Dr. Wogalter did not proffer what

specific warnings should have been placed on the Container.

       Third, despite not having opined as to what particular warnings should have been

placed on the Container, Dr. Wogalter concluded that the failure to conduct a hazard

analysis, and to include any warnings, proximately caused Mr. Sardis’ death. He stated that

“there is plenty of research that . . . warnings are effective, and that certainly it is better

than no warning,” but never explained what that research was, or why Mr. Sardis would

have heeded those warnings. J.A. 585.

                                              b.

       ODC first argued in its motion in limine, and again in its post-trial Rule 50(b)

motion, that Dr. Wogalter’s testimony was contrary to the Virginia standard for failure to

warn claims. Reiterating those arguments on appeal, ODC asserts that Dr. Wogalter’s

testimony was premised on what ODC should have done to discover any potential dangers

                                              39
associated with the Container’s handholds. But ODC posits that settled Virginia law only

imposes liability upon a manufacturer if it had a reason to know of the danger. For that

reason, ODC argued, Dr. Wogalter’s testimony on an alleged duty to warn was irrelevant.

       The Estate and the district court adopted the view that Virginia’s duty to warn case

law focuses on the notion “that the manufacturer should have superior knowledge of his

product.” Response Br. 29 (citation omitted). And Dr. Wogalter testified that ODC failed

to maintain such superior knowledge by “bury[ing] its head in the sand” and failing to

consider any potential dangers. Id. (quoting J.A. 1185). But this logic rests on a flawed

application of Virginia’s failure to warn jurisprudence. The proper application, which ODC

presents, compels the conclusion that Dr. Wogalter’s testimony was irrelevant.

       Part of a plaintiff’s burden in failure to warn cases under Virginia law is to show

that the manufacturer “knows or has reason to know that the [product] is or is likely to be

dangerous for the use for which it is supplied.” Featherall, 252 S.E.2d at 366 (quoting

Restatement (Second) of Torts § 388 (Am. Law Inst. 1965)). The Supreme Court of

Virginia has spoken at length about this standard, emphasizing that “[t]here is a significant

legal difference between the phrases reason to know and should know”:

       The words “reason to know” . . . denote the fact that the actor has information
       from which a person of reasonable intelligence or of the superior intelligence
       of the actor would infer that the fact in question exists, or that such person
       would govern his conduct upon the assumption that such fact exists.

       The words “should know” . . . denote the fact that a person of reasonable
       prudence and intelligence or of the superior intelligence of the actor would
       ascertain the fact in question in the performance of his duty to another, or
       would govern his conduct upon the assumption that such fact exists.



                                             40
Owens-Corning Fiberglass Corp. v. Watson, 413 S.E.2d 630, 634–35 (Va. 1992)

(enumeration omitted) (quoting Restatement (Second) of Torts § 12). In other words,

“‘reason to know’ implies no duty of knowledge,” but “‘should know’ implies that the

actor owes another the duty of ascertaining the fact in question[] . . . and that he would

ascertain the existence thereof in the proper performance of that duty.” Id. at 635 (quoting

Restatement (Second) of Torts § 12 cmt. a).

        Dr. Wogalter’s testimony is incompatible with the governing Virginia “reason to

know” standard. As Watson shows, Dr. Wogalter’s testimony needed to focus on whether

the field testing ODC performed, and the other institutional knowledge within ODC’s

purview, like the feedback from its customers about containers, had caused ODC to learn—

or otherwise gave them reason to know—that the wooden handholds would fail when

pulled with a certain level of force. Id. at 634–35 (holding that the trial court’s instructions

that a defendant had “a duty to ascertain and ‘keep informed’ of scientific facts” “imposed

an inappropriate standard” under Virginia law, but nonetheless upholding the verdict

because the defendant failed to object to the instructions, so they became the law of the

case); see also Torkie-Tork v. Wyeth, 757 F. Supp. 2d 567, 572–73 (E.D. Va. 2010)

(excluding expert testimony that a company should have tested its pharmaceutical drug

more, because the duty to warn in Virginia is only based on “those dangers which [the

defendant] knew or had reason to know existed based on the science available at the time

the product left [its] hands”).

       But that is not the testimony that Dr. Wogalter provided. He did not explain how or

why, based on the facts reasonably available to ODC, its “superior knowledge” would have

                                              41
caused it to infer that the Container’s handhold had any inherent danger. See Watson, 413

S.E.2d at 634. Instead, he merely speculated as to how ODC should have gone about

discovering if such a condition was present. Specifically, his testimony regarding the need

to conduct a hazard analysis was premised on ODC’s alleged need to ascertain whether

the Container’s handholds would break when pulled on in the field. See, e.g., J.A. 561

(“Hazard analysis, at least the goal of it, is to determine what hazards are potential with the

product.”). And his ultimate opinion was that if ODC had performed a hazard analysis

(which Dr. Wogalter failed to describe), “[it] would have found problems that the

[handhold] slat could come off from pulling on it.” J.A. 569 (emphasis added). Stated

differently, Dr. Wogalter testified about what ODC should have known. That genre of

testimony is incompatible with Virginia law, see Watson, 413 S.E.2d at 634–35, and should

have been excluded as irrelevant, see Daubert, 509 U.S. at 591 (“Expert testimony which

does not relate to any issue in the case is not relevant and, ergo, non-helpful.” (citation

omitted)). 6




       6
          Had Dr. Wogalter grounded his testimony in an industry standard (which,
assuming it exists, he never identified) governing the testing of container handholds, then
his theory may have relevance because that could show inadequacies in ODC’s field testing
of the Container design and how it failed to maintain superior knowledge of its product.
But Dr. Wogalter never once pointed to an industry standard governing the testing of
handholds. In fact, he admitted that there is no existing literature on how to test human
factors generally. Without that foundation, his testimony is nothing more than his mere
ipse dixit, his speculative guess, about what ODC should have done in hindsight. Thus, we
need not consider whether Virginia law would contemplate a manufacturer being held
liable for a failure to warn under a “bury its head in the sand” line of reasoning.

                                              42
                                              c.

       Assuming arguendo that Dr. Wogalter’s hazard analysis testimony was relevant, we

would nonetheless conclude that the district court abused its discretion in finding his

ultimate conclusions reliable.

       None of the Daubert hallmarks of reliability––testing, peer review, literature, rate

of error, or general acceptance––are present in Dr. Wogalter’s testimony that an undefined

hazard analysis would have uncovered the alleged dangers in the Container’s design. First,

as to testing, Dr. Wogalter admitted that he did not develop a hazard analysis protocol that

would be proper for the Container in this case. He admitted that he did not perform a hazard

analysis of an exemplar Container or any computer modeled facsimile. He could not recite

a hazard analysis he or anyone else performed in an analogous context that would apply to

the Container. And he admitted that he “[was] not familiar with all the ways that [the

Container] is even handled,” because, in his words, “I don’t have access to stuff that you

[ODC’s counsel] are saying I should have.” J.A. 595. Just as in Nease, Dr. Wogalter

“presented a hypothesis only,” but “failed to validate it with testing” or any other objective

comparison, which “renders his opinions . . . unreliable.” 848 F.3d at 232.

       Again, the other Daubert reliability guideposts confirm this point. Dr. Wogalter

utilized no specified methodology, so his theories could not have been subject to peer

review. In fact, he conceded that there is no existing literature on how to test human factors

“that [he] know[s] of.” J.A. 574. He also confirmed that it is not general knowledge that

part of a hazard analysis for garage door hood containers is “a pulling test” to determine

pull-strength resistance. J.A. 571–72. Nor could Dr. Wogalter describe any other prior case

                                             43
in which he, or any other expert, conducted a hazard analysis on a similar container that

also involved an allegedly defective handhold. Nowhere in his testimony did he offer any

facts, test data, or peer-reviewed literature for reaching his conclusion. 7 Thus, it was

impossible for the district court, and impossible for us on appeal, to ascertain the potential

rate of error in Dr. Wogalter’s hazard analysis approach and whether hazard analyses are

widely accepted in the field of “human factors.”

       The district court recognized as much when it engaged in its own extensive

questioning of Dr. Wogalter. It attempted to pinpoint a basis for Dr. Wogalter’s proposed

hazard analysis because, in the court’s own words,

       you [Dr. Wogalter] haven’t even given us an example of this happening in
       the real world other than your thought that this is something that they ought
       to have done. What you have given us is kind of vague. . . . So I sort of would
       like to know how this process works in a little more detail so that we can
       figure out whether there is a likelihood of good results. I haven’t heard that.
       Maybe I am just missing something.

J.A. 573 (emphasis added). The district court, in fact, was not missing anything. Dr.

Wogalter simply offered only his ipse dixit in support of his opinions. This is the hallmark

of an unreliable opinion. See, e.g., Oglesby, 190 F.3d at 250. It was therefore an abuse of

discretion to allow the jury to hear this testimony. See Nease, 848 F.3d at 232.




       7
         Dr. Wogalter also cited Dr. Singh’s testimony, explaining that ODC’s hazard
analysis was insufficient because it failed to conduct “a pulling test.” J.A. 571–72. But as
noted above, Dr. Singh’s testimony failed to reliably demonstrate how this would have
shown that the Container was defectively designed. Dr. Wogalter’s inability to explain this
point only confirms the unreliability of this portion of his testimony.

                                             44
       The same deficits are present in his conclusions regarding the need for warnings.

He testified that to abate the hazards inherent in the Container’s handholds, ODC had to

give “appropriate warnings . . . whatever they might be. And there is a whole literature on

how to make proper warnings[.]” J.A. 577. But, he admitted, he did not “determine[] the

exact language” that should have been included in the warnings. J.A. 583. He nonetheless

opined that the lack of an unspecified warning proximately caused Mr. Sardis’ death. He

pointed to no peer-reviewed literature, test data, or any other facts to support his claim that

an unspecified warning placed on the Container would have been heeded by Mr. Sardis.

Again, all that supported Dr. Wogalter’s opinions was his own ipse dixit. Thus, just as with

Dr. Singh, it was an abuse of discretion to admit this testimony into evidence. See Nease,

848 F.3d at 232; Oglesby, 190 F.3d at 250. The jury should not have been permitted to hear

any of Dr. Wogalter’s unverified and ipse dixit opinions.

                                           ****

       Because Drs. Singh and Wogalter provided irrelevant and unreliable testimony as a

matter of law, we hold that the district court necessarily committed harmful error when it

abdicated its critical Daubert gatekeeping function both at the motion in limine and Rule

50(b) stages. With that inadmissible expert testimony excised from our own consideration,

we turn our attention to whether the remaining admissible evidence could support the jury’s

verdict.




                                              45
                                             IV.

       Even without Drs. Singh’s and Wogalter’s testimony, the Estate contends that ODC

is not entitled to judgment as a matter of law. It asserts that the lay witness testimony

offered at trial, largely from ODC’s corporate designee, was sufficient to establish both

that the Container was defectively designed, and that ODC breached its duty to warn

consumers of the dangers inherent in the Container’s handholds. Both contentions fail.

                                              A.

       The Estate first argues that it sufficiently demonstrated that the Container was

defectively designed through the consumer expectations test. It points to the testimony of

ODC’s corporate designee, Mr. Knable, who “agree[d]” that users “can reasonably expect

that if they pull on [the Container’s handhold] that it will hold up[.]” J.A. 1372. Taking this

statement in the light most favorable to the Estate still does not establish a design defect.

       Under Virginia law, a design defect can be shown if a product fails to conform with

“reasonable consumer expectations”––“those expectations [that] reveal how society

‘balances known risks and dangers [inherent in a product design] against the feasibility and

practicability of applying any given technology’ to enhance product safety.” Redman v.

John D. Brush & Co., 111 F.3d 1174, 1181 (4th Cir. 1997) (second alteration in original)

(citation omitted). Consumer expectations can be shown by direct evidence, “published

literature” (which includes sources like “marketing, advertising, presentation, promotional

materials, product manuals, and instruction booklets”), and “industry practices recognizing

a safety standard that reasonable consumers expected.” Evans, 810 S.E.2d at 470. The

necessary focus on reasonable consumer expectations means that “wholly subjective

                                              46
expectations are insufficient to establish the degree of protection reasonable consumers

expect from a product.” Id. (citing Redman, 111 F.3d at 1181).

       Our Redman decision is instructive. There, the plaintiff sought to establish that a

safe marketed as “burglar-deterrent” was defectively designed, because a reasonable

consumer “would have expected the particular safe [the plaintiff] purchased to provide

more burglary protection than it did.” 111 F.3d at 1181. We held that the plaintiff’s

evidence––which consisted only of his own self-serving statements that the safe was

“marketed as ‘burglar-deterrent’” and “would provide ‘a degree of protection against

burglary’”––was insufficient to establish what a reasonable consumer expected of the safe.

Id. Besides the subjective nature of this evidence, we faulted the plaintiff for failing to

“establish how much burglary protection reasonable consumers would expect from a

burglar-deterrent safe.” Id. (emphasis added).

       Similarly, here, Mr. Knable’s statement fails to establish a reasonable consumer’s

expectations as to how much pull-strength resistance would apply to the Container’s

handhold. Any consumer (i.e., an ODC distributor’s employee handling a Container) would

expect the handhold to “hold up” when pulled. But just as in Redman, the Estate was

required, but failed, to “establish how much [pull-strength resistance] reasonable

consumers would expect.” Id. (emphasis added). Moreover, the Estate provided no

admissible evidence on the issue of proximate causation. It failed to demonstrate (1) that

the force that Mr. Sardis used in pulling on the Container’s handhold fell within a

consumer’s expected metric, or (2) that with the proposed modification (end cleats), the

Container’s handhold here would not have failed based on the force used. The fact that a

                                            47
handhold may have failed on one occasion does not establish reasonable consumer

expectations. In short, apart from the metaphysical speculation of a handhold that sustains

an unidentified quantum force, the Estate offered no evidence to quantify any expectation

of force resistance.

       Accordingly, without Dr. Singh’s inadmissible expert testimony, the Estate failed

to meet its burden of proof on its design defect claim.

                                             B.

       Next, the Estate asserts that its failure to warn claim survives without Dr. Wogalter’s

expert testimony. In support, it points to four alleged admissions that ODC made during

trial: (1) that ODC has an “obligation to [e]nsure that its products that it designs and

manufactures comply with industry standards,” J.A. 794–95; (2) that industry standards

exist “[t]o protect people,” J.A. 1298; (3) that “ODC shouldn’t sell or distribute a product

that does not comply with applicable industry standards,” J.A. 1298–99; and (4) that “one

of the ways people can be injured or killed is if [ODC] sells or distributes a product that

does not comply with applicable industry standards,” J.A. 1299. This testimony, the Estate

posits, “provided ample grounds for the jury to conclude that the company had reason to

know of the [Container’s] potential dangers.” Response Br. 23. Even when reading these

statements in the light most favorable to the Estate, we disagree.

       In order for these statements to support the jury’s finding that ODC had a duty to

warn of the dangers allegedly posed by the Container’s handholds, we must discern some

evidence that ODC knew or had reason to know of those dangers. See Watson, 413 S.E.2d

at 634; Featherall, 252 S.E.2d at 366–67. For argument’s sake, we will assume that the

                                             48
statements the Estate points to establish that ODC would have a duty to warn of the dangers

that the Container’s handholds posed if its design breached industry standards. But that is

as far as these statements could take the Estate, for they fail to establish that ODC actually

breached such a duty. With Drs. Singh’s and Wogalter’s testimony excluded, there are no

facts establishing how ODC knew, or how its exercise of reasonable prudence would have

given it reason to know, that the handholds violated some industry standard.

       The district court found that ODC breached its duty to warn by “bury[ing] its head

in the sand” to the handhold’s potential dangers, J.A. 1185 (citation omitted), based on Mr.

Knable’s testimony that ODC “[n]ever consider[ed] the potential dangers that its packaging

or crates can pose to others,” J.A. 1297. Assuming that this theory of breach is compatible

with Virginia law––and that the Estate sufficiently proved it––the Estate nonetheless failed

to prove causation as a matter of law.

       The burden of establishing that ODC’s breach of a duty to warn proximately caused

Mr. Sardis’ injuries lies with the Estate. See, e.g., Robey v. Richmond Coca-Cola Bottling

Works, 64 S.E.2d 723, 726 (Va. 1951). As a matter of Virginia law, “before submitting [the

issue of proximate causation] to a jury,” the plaintiff must provide “[e]vidence tending to

show a causal connection . . . sufficient to remove the case out of the realm of speculation

and conjecture and into the realm of legitimate inference.” Phillips v. Se. 4-H Educ. Ctr.,

Inc., 510 S.E.2d 458, 461 (Va. 1999) (citation omitted). There is no admissible record

evidence in this case bringing the proximate causation issue “into the realm of legitimate

inference.” Id. ODC’s failure to conduct an unidentified level of testing on the Container’s

handholds gives the jury no factual basis to conclude, let alone infer, that had ODC done

                                             49
such testing, it would have discovered the dangers that the Estate claims are inherent in it.

For example, the handhold may have fallen below industry standards for pull-strength

resistance (assuming such standards exist), but on this record, it is just as likely that the

handhold met or exceeded these alleged standards. With no evidence either way, all that

the jury could do was speculate. That is plainly insufficient to support a jury verdict under

Virginia law. See id. (holding that testimony that the decedent would have had a “good

chance” of recovery had artificial respiration been undertaken sooner failed to “remove[]

the issue of causation from the realm of speculation and conjecture”).

       In sum, without Drs. Singh and Wogalter, the Estate did not prove that ODC had a

duty to warn, that it breached that duty to warn, or that such a breach proximately caused

Mr. Sardis’ injuries. Its failure to warn claim therefore fails as a matter of law.

                                              C.

       Given our holdings above regarding the Estate’s evidentiary failures on its design

defect and failure to warn claims, ODC’s arguments pertaining to the general negligence

and breach of the implied warranty of merchantability claims may be addressed in

relatively short order. As noted at the outset, Virginia law imposes identical requirements

for products liability claims brought under both negligence and breach of the implied

warranty of merchantability theories. Evans, 810 S.E.2d at 469. One of those necessary

elements is that the product “w[as] unreasonably dangerous,” which in turn requires

showing that the product was “defective in assembly or manufacture, unreasonably

dangerous in design, or unaccompanied by adequate warnings concerning its hazardous

properties.” Id. (citations omitted). The Estate, however, has failed to prove any design

                                              50
defect or failure to warn. Accordingly, on this ground alone, we must hold that the Estate

failed to carry its burden on these final two claims for relief. 8

                                              D.

       The final matter for our consideration is whether we should remand this case for a

new trial, remand for the district court to assess whether a new trial is proper, or direct that

judgment be entered for ODC as a matter of law. See Fed. R. Civ. P. 50(e). One of the

“key[s] to [our] exercise of . . . discretion” in this analysis is “fairness to the parties.”

Weisgram, 528 U.S. at 454. With great respect for the jury’s role in our adversarial system,

the circumstances of this case and the equitable considerations of fairness to both parties

counsel us to direct the district court to enter judgment as a matter of law in ODC’s favor.

       Writing for the unanimous Weisgram Court, Justice Ginsburg observed that “[s]ince

Daubert, . . . parties relying on expert evidence have had notice of the exacting standards

of reliability such evidence must meet.” Id. at 455. So it is fair to enter judgment as a matter

of law for the losing party below when the appellate court finds the prevailing party’s

expert testimony inadmissible on appeal, because “[i]t is implausible to suggest, post-

Daubert, that parties will initially present less than their best expert evidence in the

expectation of a second chance should their first try fail.” Id. at 455–56. That fairness is

only amplified in a case like this, where “[the Estate] was on notice every step of the way

that [ODC] was challenging [its] experts, [and it] made no attempt to add or substitute other



       8
          Given these holdings, we need not address ODC’s remaining contentions that the
district court erred in formulating the verdict form and a number of the jury instructions.

                                              51
evidence.” Id. at 456. As in Weisgram, the Estate has “offered no specific grounds for a

new trial”; it only asserts that the evidence it presented below was sufficient to support the

verdict entered in its favor. Id. Given the near identical overlap between the circumstances

of this case and that in Weisgram, we elect to follow the path already cleared by the

Supreme Court, and direct that judgment as a matter of law be entered in ODC’s favor as

to all of the Estate’s claims for relief.



                                             V.

       For the foregoing reasons, we reverse the judgment of the district court and remand

this case with instructions for the district court to enter final judgment in ODC’s favor.



                                     REVERSED AND REMANDED WITH INSTRUCTIONS




                                             52