Starkenburg v. State

95-496

                                                              No. 95-496

                              IN THE SUPREME COURT OF THE STATE OF MONTANA

                                                                    1997




                                      GLENN F. STARKENBURG, for himself
                                    and as Personal Representative of the
                                    Estate of KIMBERLY KELLY STARKENBURG,
                                  on behalf of the heirs and successors of
                                      decedent; APRIL WILLIAMS McCARTY,

                                              Plaintiffs and Respondents,

                                                                     v.

                                                       STATE OF MONTANA,

                                                 Defendant and Appellant.




              APPEAL FROM:   District Court of the First Judicial District,
                         In and for the County of Lewis & Clark,
                     The Honorable Dorothy McCarter, Judge presiding.


                                                       COUNSEL OF RECORD:

                                                          For Appellant:

                            Maxon R. Davis (argued), Kevin C. Meek; Davis,
                            Hatley, Haffeman & Tighe, Great Falls, Montana


                                                        For Respondents:

                         James G. Hunt, James P. Molloy (argued); Dix, Hunt
                                 & Molloy Law Firm, Helena, Montana

                              Janet L. Rice; Schroeter, Goldmark & Bender,
                                           Seattle, Washington



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                         Ralph A. Alfieri; Law Offices of Ralph A. Alfieri,
                                         Seattle, Washington




                                            Submitted: September 17, 1996

                                                  Decided: March 11, 1997
                                                           Filed:


                                __________________________________________
                                                   Clerk

                  Justice Karla M. Gray delivered the Opinion of the Court.



               The State of Montana (State) appeals from the judgment entered
          by the First Judicial District Court, Lewis and Clark County, on a
             jury verdict awarding Glenn and Lois Starkenburg $250,000 in
             damages plus their costs, the Estate of Kimberly Starkenburg
            $210,000 in damages plus its costs, and April Williams McCarty
                     $400,000 in damages plus her costs. We affirm.
                          We restate the issues on appeal as follows:
                1. Did the District Court err in denying the State's motion
                 for summary judgment and motion for directed verdict?
               2. Did the District Court abuse its discretion in instructing
                       the jury regarding a parole officer's duty?
               3. Did the District Court abuse its discretion in refusing to
                                    declare a mistrial?
                4. Did the District Court err in submitting the Starkenburg
           survival action to the jury and in instructing the jury thereon?
                  Charles Corliss (Corliss) and an accomplice kidnapped and
           murdered Donald Hammer, a Montana businessman, in 1965. Corliss
          was sentenced to imprisonment for life at the Montana State Prison
          (Prison) for the execution-style murder and to an additional ten-
         year sentence for the kidnapping, to be served consecutively to the
                                      life sentence.
                   While at the Prison, Corliss attempted to escape several
          times. In one such attempt in 1968, he and other inmates tied up
         a Prison employee. Corliss pled guilty to holding a person against
            his will and received a three-year deferred sentence. Corliss
         escaped from the Prison in 1974 and was apprehended nine days later
            at the home of his wife, Betty Corliss (Betty), in Deer Lodge,
              Montana. He pled guilty to escape and received a five-year


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         sentence to be served consecutively to his sentences for kidnapping
             and murder. Corliss also attempted suicide several times while
                incarcerated and was transferred from the Prison to the Warm
           Springs State Hospital (Warm Springs) in 1979 as a result of such
                                        a suicide attempt.
                     Corliss was released from Warm Springs in 1983 on a furlough
               and subsequently was granted parole in 1985. Corliss' parole
         carried with it the standard conditions and restrictions, including
          the prohibition against owning, possessing or being in control of
                                any firearm or other deadly weapon.
                   From 1986 through the time period relevant here, David Robbins
          (Robbins) was Corliss' parole officer. On April 13, 1990, Robbins
                 authorized Corliss to travel to Bellevue, Washington, for a
            vacation and to look for employment. Under the written two-week
             travel permit, Corliss was to reside with his brother-in-law in
            Bellevue. Robbins did not verify Corliss' living arrangement in
           Washington and, indeed, Corliss did not live with his brother-in-
                    law during that time. Nor did Robbins notify Washington
                  authorities of Corliss' presence there, as is the standard
                                procedure under such circumstances.
                    Robbins instructed Corliss to visit a parole officer while in
                    Washington, but Corliss failed to do so. After spending
             approximately two and a half months in Washington, Corliss sent
          Robbins a letter dated July 5, 1990, informing Robbins that he was
           unable to find a parole officer. Robbins did not take any action
           to ensure that Corliss comply with his instruction to report to a
            Washington parole officer. At that time, Corliss' travel permit
                          had been expired for approximately two months.
                       During the same time period, Corliss called Robbins from
            Washington and informed Robbins that he had a girlfriend, Tamera
              Farrington (Farrington), and that she had obtained a temporary
          restraining order (TRO) against him for allegedly putting sugar in
                    her gas tank. Corliss assured Robbins that it was all a
         misunderstanding. According to Robbins, Farrington then got on the
                   telephone and reiterated that the TRO was the result of a
                misunderstanding; Farrington denies that she ever spoke with
             Robbins on the telephone. Robbins did not make a record of his
                         conversation with either Corliss or Farrington.
                     Robbins did not ask Corliss to send him a copy of the TRO or
          attempt to obtain a copy from Washington authorities. The TRO was
         filed on July 5, 1990, and described a number of incidents in which
          Corliss had acted violently toward Farrington. Farrington alleged
             in the TRO that Corliss struck her on two occasions in March of
         1990 and repeatedly hit her on two other occasions in April and May
             of 1990. She stated that Corliss "threatened to kill [her] and
             described the places he could 'hide [her] body.' He threatened
             [her] family, [and] friends. . . ." Farrington further alleged
              that, on July 1, 1990, Corliss backhanded her twice across the


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                 face, put sugar in her gas tank and threatened her life.
                  Farrington sent Robbins a letter dated July 12, 1990, stating
         that "[t]his is to assure you that what [Corliss] is telling you is
             true." She stated that she had no intention of filing charges
            against Corliss because she could not be sure he was the one who
                put sugar in her gas tank. Farrington did not mention the
            allegations contained in the TRO regarding Corliss' violence and
          threats against her or his threats against her family and friends.
         Farrington included her address and telephone number at work in the
           letter. Robbins did not attempt to contact her regarding the TRO
                                         or her letter.
                    Corliss returned to Montana on July 13, 1990, and met with
             Robbins. Robbins issued Corliss a thirty-day travel permit the
                  same day which allowed Corliss to relocate his family to
                                           Washington.
                   Approximately two weeks later, Robbins received a telephone
            call from Corliss and his wife, Betty. Corliss informed Robbins
              that Betty had learned of his affair with Farrington and had
          threatened him with a gun and a knife at their home. Betty denied
         threatening Corliss with the weapons. She did express a great deal
           of anger about Robbins' failure to tell her about Corliss' affair
                prior to her quitting her job in Montana and relocating to
                                           Washington.
                   Corliss obtained a TRO against Betty on August 1, 1990, and
                  sent a copy of the TRO to Robbins. The TRO described an
              altercation between Corliss and Betty where Betty "went to a
              bedroom and took a .38 pistol and said she was going to kill
                 [Corliss]." Although possession of a firearm is a parole
          violation, Robbins did not investigate whether there was, in fact,
                              a firearm in the Corliss residence.
                      Corliss contacted Robbins in early October and informed
             Robbins that he was reconciling with Betty and moving back into
         their home. Robbins did not ask whether the .38 pistol Corliss had
           said was involved in the altercation with Betty was still located
                                          in the home.
                  In a letter to Robbins dated October 10, 1990, Corliss stated
            that Farrington was not going to "quietly go out of [his] life."
         Five days later, Corliss broke into Farrington's home while she was
                                away and hid until her return.
                        Farrington arrived home with three friends--Kimberly
             Starkenburg (Kimberly), April McCarty (April) and Brenda Mahoni
          (Brenda). Farrington, April and Brenda went directly inside while
               Kimberly remained outside. Brenda opened a bedroom door and
            Corliss stepped out and held an "old revolver" to Brenda's face.
         He made April and Brenda kneel on the floor next to each other. He
                hit Farrington, knocking her to the floor, and then stepped
               outside, grabbed Kimberly by the arm and dragged her inside.
           Corliss made Kimberly kneel on the floor beside April and Brenda.


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                  Farrington got up and ran out the front door. Corliss fired
              a shot at her, but missed. Corliss then returned to where the
            three women were kneeling. He shot Kimberly first and then shot
           April and Brenda. April and Brenda fell to the floor after being
           shot; Kimberly remained kneeling. Corliss shot Kimberly a second
           time and she fell to the floor. He then fled out the front door.
                    April went to Kimberly's aid, trying to get her to speak.
         April could hear gurgling noises coming from Kimberly which sounded
             "like she was trying to breathe, catch her breath." April then
          tried to go out the back door for help. Corliss was hiding in the
             back yard and, when April opened the door, he shot her a second
          time. Farrington arrived with the police approximately fifteen to
             twenty minutes later. Kimberly died as a result of her gunshot
          wounds. April and Brenda survived; April has a .38 caliber bullet
                                    lodged near her spine.
                        Glenn Starkenburg, individually and as the personal
            representative of the estate of Kimberly Starkenburg, and April
          McCarty and her husband, Cary McCarty, (collectively, Starkenburg)
          filed separate complaints against the State alleging negligence in
              improperly supervising Corliss. Starkenburg's complaint also
           stated a survival claim on Kimberly's behalf. By consent of all
                       parties, the cases were consolidated for trial.
                 A jury trial was held in August of 1995. The jury found that
          the State was negligent and that its negligence caused Kimberly's
             injuries and death and April's injuries; it further found that
          Kimberly's death was not instantaneous. The jury awarded damages
              against the State accordingly and judgment was entered on the
                                 verdict. The State appeals.
                  Additional facts are set forth below where necessary for our
                             resolution of the issues before us.
                                                        DISCUSSION
                      1. Did the District Court err in denying the State's
                     motion for summary judgment and for a directed verdict?
                      The State moved for summary judgment in March of 1995,
            contending that Corliss' criminal acts of shooting Kimberly and
               April were unforeseeable as a matter of law. It argued that
           Starkenburg could not establish proximate causation in this case
         because Corliss' acts constituted an intervening, superseding cause
                of Kimberly's injuries and death and April's injuries. The
                 District Court denied the motion. After presentation of
         Starkenburg's case-in-chief, the State moved for a directed verdict
                on the same basis and the court denied that motion as well.
                   Although the District Court did not specifically state its
         rationale for denying the State's motions for summary judgment and
               for a directed verdict, the court's conclusion that Corliss'
         criminal acts of shooting Kimberly and April were not unforeseeable
               as a matter of law was implicit in the denials. We review a
             district court's conclusion of law to determine if the court's


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           interpretation of the law is correct. Werre v. David (1996), 275
                             Mont. 376, 385, 913 P.2d 625, 631.
                      The State's argument that Corliss' criminal acts were
              unforeseeable as a matter of law is premised primarily on its
             underlying contention that "the intentionally wrongful acts of
           third parties are simply not viewed as foreseeable, so as to give
           rise to the imposition of liability upon the State." We recently
             clarified, after the trial and briefing on appeal in this case,
                 that the intervening criminal act of a third party may be
           foreseeable and that, in such cases, the factfinder should decide
          causation in the same manner as in any other intervening causation
          case. Estate of Strever v. Cline (Mont. 1996), 924 P.2d 666, 673-
                                  74, 53 St.Rep. 576, 582.
                   In Estate of Strever, Tom Susanj (Susanj) left his unlocked
           pickup truck on a street in Billings while he visited his father.
             A radar detector, cassette recorder, jumper cables, binoculars,
           fishing rod, tapes, tool box and camera were left in the pickup's
           cab; in addition, a handgun and ammunition were under the seat of
             the pickup in a white bag. Estate of Strever, 924 P.2d at 668.
            Three young boys--Robert Strever (Strever), Steven Cline (Cline)
               and Bowen Racine (Racine)--entered Susanj's pickup and stole
             several items. Cline had been smoking marijuana earlier in the
         night. Teenager Thomas Morris (Morris) joined the three boys after
           seeing them near Susanj's pickup. Morris removed the handgun and
         ammunition from beneath the seat in the pickup. Estate of Strever,
                                      924 P.2d at 668.
                   Cline subsequently gained control of the gun and waived it
           around with his finger on the trigger. While examining it, Cline
         ejected a live shell from the chamber. He was trying to remove the
           ammunition clip from the gun when the gun discharged. The bullet
            struck Strever in the head and Strever died. Estate of Strever,
           924 P.2d at 668. Strever's estate sued Susanj, as well as Cline,
          Morris and Racine. The district court granted summary judgment in
          favor of Susanj and Strever's estate appealed. Estate of Strever,
                                       924 P.2d at 668.
                 On appeal, we addressed at length the issue of foreseeability
         insofar as it relates to the causation element of a negligence case
           involving intervening criminal acts by third parties. See Estate
           of Strever, 924 P.2d at 672-74. There, Susanj was neither aware,
                  nor had reason to be aware, of any crime problem in the
         neighborhood where he left his pickup unlocked. Estate of Strever,
               924 P.2d at 668. We observed that the record reflected two
         intervening criminal acts by the boys (the two thefts from Susanj's
         pickup) and grossly negligent intervening acts by Cline (waving the
            stolen gun around with his finger on the trigger, while high on
           marijuana, and then trying to unload it). Estate of Strever, 924
          P.2d at 674. We concluded that reasonable minds could come to but
          one conclusion--that the series of intervening acts was reasonably


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           unforeseeable and, therefore, Susanj was not liable for Strever's
              death as a matter of law. Estate of Strever, 924 P.2d at 674.
               Accordingly, we held that the district court properly granted
             summary judgment to Susanj because any negligence by Susanj was
              superseded by the independent intervening criminal and grossly
            negligent acts of Cline, Strever, Morris, and Racine. Estate of
                                    Strever, 924 P.2d at 674.
                   Notwithstanding our ultimate holding in Estate of Strever, we
                emphasized that cases involving intervening superseding acts
          ordinarily present questions of fact properly left to the trier of
                    fact to resolve. Estate of Strever, 924 P.2d at 674.
                         If, under the facts of a given case, an intervening
                      criminal act is one which the defendant might reasonably
                        foresee, then there is no reason why the fact finder
                       should not decide causation the same as with any other
                                      intervening causation case.
                                                 . . . .
                       [T]rial courts must continue to carefully review each
                      fact situation involving intervening criminal acts on a
                     case-by-case basis, and it is only where reasonable minds
                        could come to but one conclusion, that this issue is
                              properly disposed of as a matter of law.
         Estate of Strever, 924 P.2d at 674. Thus, contrary to the State's
          assertion in the present case, intervening criminal acts of third
             persons are not automatically unforeseeable as a matter of law.
          Rather, such acts must be addressed in the foreseeability context
                                     on a case-by-case basis.
                       Here, numerous facts relating to the foreseeability of
               Corliss' criminal acts during the relevant time period of his
            parole were before the District Court at the time of the summary
         judgment proceedings. Under both travel permits issued by Robbins,
          Corliss remained in Washington beyond the time allowed and Robbins
         took no corrective action. When Robbins issued the April 13, 1990,
               permit, he ordered Corliss to visit a parole officer while in
          Washington. Corliss failed to do so and, notwithstanding Robbins'
           knowledge of Corliss' failure to comply, Robbins took no action.
                      In addition, Robbins knew that Corliss had a girlfriend,
         Farrington, who had obtained a TRO against Corliss in July of 1990.
          Robbins did not attempt to obtain a copy of the TRO or investigate
                 the circumstances surrounding the TRO. Robbins' deposition
            testimony established that he could have obtained the Farrington
                TRO, but he "never thought about gaining access to it." Had
              Robbins obtained a copy of the TRO, he would have learned that
          Farrington alleged that Corliss was violent toward her on numerous
                 occasions and had threatened to kill her and her family and
                                             friends.
                       In late July of 1990, Corliss alerted Robbins that an
           altercation had occurred between himself and Betty, during which


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                Betty retrieved a gun from a bedroom of their home. Robbins
            received a copy of a TRO obtained by Corliss against Betty which
          contained a statement to the same effect. Even though Corliss was
          subject to a parole condition which prohibited the possession of a
              firearm, Robbins neither confronted Corliss about the possible
            firearm possession nor investigated the presence of a gun in the
                                       Corliss household.
                   Faced with the foregoing facts, the District Court implicitly
           concluded that Corliss' criminal acts were not unforeseeable as a
               matter of law. As discussed above, such a conclusion will be
            correct in the usual case; a determination to the contrary--that
         intervening criminal acts were unforeseeable as a matter of law--is
                 appropriate only where reasonable minds could reach but one
            conclusion regarding foreseeability. See Estate of Strever, 924
                                          P.2d at 674.
                      Unlike Estate of Strever, the issue of causation in the
             present case is not susceptible to determination as a matter of
           law. There, the record was devoid of any facts from which a jury
              could determine that Susanj should have foreseen the series of
          intervening criminal and grossly negligent acts of the minor boys.
             Here, however, Robbins was confronted with facts that indicated
          that Corliss--a convicted execution-style murderer--may have had a
                  .38 pistol in his home. Moreover, Robbins had access to
         Farrington's TRO which contained allegations of violence by Corliss
           against Farrington, as well as threats against Farrington and her
                family and friends. Based on the facts of this case, a jury
             properly could find that Robbins could reasonably have foreseen
               criminal acts of violence against Farrington and her friends.
             Therefore, the Strever test for unforeseeability of intervening
          criminal acts as a matter of law--that reasonable minds could come
          to but one conclusion--was not met here and the issue of proximate
                           causation properly was left for the jury.
                      In support of its "unforeseeability as a matter of law"
           argument and its contention that the District Court erred in this
           regard, the State relies on VanLuchene v. State (1990), 244 Mont.
           397, 797 P.2d 932; Kiger v. State (1990), 245 Mont. 457, 802 P.2d
         1248; U.S. Fidelity and Guar. Co. v. Camp (1991), 253 Mont. 64, 831
            P.2d 586; and King v. State (1993), 259 Mont. 393; 856 P.2d 954.
             We discussed and distinguished these cases in Estate of Strever
              which, as mentioned above, was not available to the State when
                briefing the present case for appeal. The cases are equally
                 distinguishable from the present case and do not support a
           determination that Corliss' criminal acts were unforeseeable as a
                      matter of law. We review them only briefly below.
                  In VanLuchene, Robert Hornback was released from prison after
         serving his entire sentence for felony sexual assault. VanLuchene,
           797 P.2d at 933. Several months later, he sexually assaulted and
            killed eight-year-old Ryan VanLuchene. VanLuchene's family sued


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              the State, alleging that it negligently failed to satisfy its
             statutory duty of rehabilitating Hornback. The district court
           dismissed the plaintiffs' complaint and the plaintiffs appealed.
                               VanLuchene, 797 P.2d at 933-34.
                     Like the present case, VanLuchene involved intervening
           criminal acts by a third party. We concluded, however, that the
          State did not owe a duty to the plaintiffs because, once Hornback
          served his entire sentence, the State was required to release him.
          See VanLuchene, 797 P.2d at 936. Accordingly, we did not analyze
          Hornback's intervening acts in the context of causation on appeal.
                          Thus, VanLuchene is not applicable here.
                  In Kiger, Danny Arledge shot and critically injured Katrina
            Kiger while trying to steal her car approximately eighteen days
                 after being paroled from prison. Prison authorities had
          miscalculated when Arledge would be eligible for parole and, as a
              result, he still should have been in prison on the day of the
              shooting. Kiger, 802 P.2d at 1249. Kiger sued the State for
          negligence and the district court granted summary judgment to the
                              State. Kiger, 802 P.2d at 1249.
                The foreseeability of Arledge's criminal act of shooting Kiger
             was at issue on appeal. Kiger, 802 P.2d at 1249-51. We noted
          that, in order for the State's negligence in prematurely paroling
           Arledge to be the proximate cause of Kiger's injuries, the State
          must have been able to reasonably foresee the consequences of its
         negligence. Kiger, 802 P.2d at 1251 (citation omitted). Under the
          facts before us, we concluded that there were too many "what ifs"
              that were superseding events, breaking the chain of causation
           between the State's miscalculation and Kiger's injuries. Kiger,
                                      802 P.2d at 1251.
                  Our decision in Kiger was premised on the specific facts of
          that case. Unlike the present case, the record before us in Kiger
         was devoid of evidence indicating that Arledge's criminal acts were
          reasonably foreseeable by the State. See Kiger, 802 P.2d at 1250-
                                              51.
                 In Camp, Randall Broadbrooks pled guilty to driving under the
          influence of alcohol, fourth offense, and driving while a habitual
          traffic offender. He was sentenced to one year in the county jail
              and participated in a work release program under which he was
            released from jail from 8:00 a.m. until 5:00 p.m. each weekday.
                                    Camp, 831 P.2d at 587.
                On a Friday evening, Broadbrooks went to his apartment instead
          of returning to jail and the police were unable to locate him. He
            apparently fell asleep while smoking a cigarette. The cigarette
             fell and ignited a couch, resulting in a fire which damaged the
            apartment building. The insurer for the owners of the apartment
                building sued the Phillips County Sheriff, Mike Camp, for
           negligence, attempting to recover money paid to its insureds as a
           result of the fire. The district court granted Camp's motion for


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             summary judgment and the plaintiff appealed. Camp, 831 P.2d at
                                             587-88.
                    On appeal, we noted that Camp could be held liable only if
         Broadbrooks' act of falling asleep while smoking a cigarette in his
         apartment was reasonably foreseeable. We concluded that it was not
            and, therefore, that Broadbrooks' act was a superseding cause of
                       the plaintiff's injuries. Camp, 831 P.2d at 590.
                     The record before us in Camp did not contain any evidence
           forewarning that Broadbrooks might accidently start a fire at his
               apartment. In the present case, however, the record contains
          sufficient evidence to raise a question of fact for the jury as to
           whether Corliss' criminal acts against Farrington and her friends
                                       were foreseeable.
                    In King, Victor Buddell was involuntarily committed to Warm
            Springs for a three-month term. A recommitment hearing was held
          several months later and the district court determined that, while
          Buddell was a danger to himself, the least restrictive environment
          for him was a conditional release to the community. The State did
         not appeal the release order. Less than a month after his release,
          Buddell killed David King. King, 856 P.2d at 955. King's parents
          sued the State for negligence and the district court dismissed the
           complaint for failure to state a claim, concluding that the State
         did not have a duty to appeal the release order. King, 856 P.2d at
                                               955.
                     On appeal, we noted that a statute permitted the State to
          appeal, but that the statute was not mandatory. On that basis, we
          concluded that the State did not have a duty to appeal the release
             order. We also concluded that Buddell's act was not reasonably
          foreseeable by the State and stated that, when an injury is caused
               by a third party's intervening act, the defendant's negligent
             actions cannot be the proximate cause of the injury. King, 856
                                        P.2d at 956-57.
                 In the present case, the State relies on our statement in King
          that, "if a plaintiff's injury is caused by the intervening act of
              a third-party, the defendant's actions cannot be viewed as the
         proximate cause of that injury." See King, 856 P.2d at 956 (citing
            Graham v. Montana State Univ. (1988), 235 Mont. 284, 289-90, 767
           P.2d 301, 304)(emphasis added). We overruled that statement from
              King in Estate of Strever, however, noting that Graham did not
          support our use of the word "cannot" regarding intervening acts of
                      third parties. Estate of Strever, 924 P.2d at 673.
                   The State's reliance on VanLuchene, Kiger, Camp, and King is
              misplaced. Based on the record in this case, we hold that the
           District Court was correct in implicitly concluding that Corliss'
         criminal acts of shooting Kimberly and April were not unforeseeable
            as a matter of law and in denying the State's motion for summary
                                           judgment.
                  As set forth above, the State renewed its "unforeseeable as a


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         matter of law" argument at the close of Starkenburg's case-in-chief
         via a motion for a directed verdict. The District Court denied the
                                                 motion.
                    A directed verdict is proper only when there is a complete
          absence of any evidence which would justify submitting an issue to
            a jury. Werre, 913 P.2d at 630. Here, our conclusion that the
               facts in this case would support a finding that Robbins could
               reasonably have foreseen criminal acts of violence by Corliss
               against Farrington and her friends establishes that there was
         evidence to justify submitting the causation issue to the jury. On
            that basis, we hold that the District Court properly denied the
                               State's motion for a directed verdict.
                          2. Did the District Court abuse its discretion in
                       instructing the jury regarding a parole officer's duty?
                    The State argues that, in both giving and refusing certain
            instructions, the District Court failed to properly instruct the
                jury on the duty of a parole officer. A district court has
              discretion in instructing the jury and we will not reverse the
          court on the basis of alleged instructional errors absent an abuse
                 of discretion. Werre, 913 P.2d at 635 (citation omitted).
                    The State contends that the District Court erred in giving
                  Instruction Nos. 9 and 14, both of which relate to duty.
                                       Instruction No. 9 states:
                            Every person is responsible for injury to the person
                                   of another caused by his negligence.
                              Negligence is the failure to use reasonable care.
                       Negligence may consist of action or inaction. A parole
                      officer is negligent if he fails to act as an ordinarily
                     prudent parole officer would act under the circumstances.
          Instruction No. 14 reiterates a parole officer's "duty to exercise
             reasonable care to control" a parolee. According to the State,
             these instructions are incorrect statements of Montana law on a
          parole officer's duty because Robbins owed no duty to Starkenburg.
           Whether a legal duty exists is a question of law to be determined
                 by the district court. Estate of Strever, 924 P.2d at 669
         (citation omitted). Thus, we review the challenged instructions to
                 determine whether they correctly state the law on a parole
                                     officer's duty in this case.
                  The first three sentences of Instruction No. 9 merely restate
          the principles of negligence contained in Montana statute and case
                 law. For example,          27-1-701, MCA, states that, except as
           otherwise provided by law, "everyone is responsible . . . for an
            injury occasioned to another by his want of ordinary care . . .
           [;]" similarly, under            1-1-204(4), MCA, negligence "denote[s] a
         want of the attention to the nature or probable consequences of the
          act or omission that a prudent man would ordinarily give in acting
                in his own concerns." Our cases repeatedly reiterate that,
             ordinarily, negligence involves the failure of an actor to use


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        reasonable care. See, e.g., Estate of Strever, 924 P.2d at 670-71;
                 Jacobsen v. State (1989), 236 Mont. 91, 769 P.2d 694.
                 The general principles of negligence contained in Instruction
         No. 9 are correct statements of Montana law and, indeed, the State
         does not contend otherwise. The State's assertions of legal error
         with regard to Instruction Nos. 9 and 14 relate to the portions of
         those instructions which apply these general negligence principles
                                    to a parole officer.
                  We observe at the outset that the State cites to no Montana
        statute or case law providing an exception for parole officers from
        the duty generally imposed by        27-1-701, MCA. Moreover, parole of
         inmates from the Prison and the status and supervision of parolees
           thereafter are governed by statute in Montana. The parole of an
           imprisoned person involves release to the community prior to the
            expiration of the prison sentence imposed. See       46-1-202(15),
          MCA. "A prisoner while on parole remains in the legal custody of
        the institution from which the prisoner was released but is subject
          to the orders of the [Board of Pardons and Parole]." Section 46-
          23-215(1), MCA. The Department of Corrections "retain[s] custody
            of all persons placed on parole and shall supervise the persons
          during their parole periods in accordance with the conditions set
           by the board." Section 46-23-1021(1), MCA. Thus, in Montana, a
               parolee remains in the State's "custody" and the meaning of
         "custody" is interwoven with defining the State's duty with regard
                                        to parolees.
                    The legislature has not defined "custody" in the parole
              context. Custody generally is defined as "judicial or penal
             safekeeping: control of a thing or person with such actual or
        constructive possession as fulfills the purpose of the law or duty
     requiring it. . . ." Webster's Third New International Dictionary, 559
      (1971). Similarly, Black's Law Dictionary, 460 (1968) defines custody
         as "[d]etention; charge; control; possession. The term . . . may
       mean actual imprisonment . . . or mere power, legal or physical, of
         imprisoning or of taking manual possession." Interpreting          46-
              23-215(1) and 46-23-1021(1), MCA, according to the plain and
            ordinary meaning of the language used therein, as we must (see
           Werre 913 P.2d at 631), it is clear that the State continues to
                have control over parolees after release from the Prison.
               Furthermore, the State is statutorily required to supervise
            parolees--that is, persons in its custody and over whom it has
            power and control--according to the parole conditions imposed.
                               Section 46-23-1021(1), MCA.
                     Instruction No. 9 does nothing more than apply general
          negligence standards to parole officers in supervising parolees.
                Moreover, it does so in a manner entirely consistent with
         applicable statutes. Similarly, Instruction No. 14 merely imposes
        a duty to exercise reasonable care to control a parolee who already
                          is, by statute, subject to that control.


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                 Nor does the foreseeability component of duty weigh against
            the existence of a duty in this case. We recently discussed at
         length, and clarified, Montana law regarding foreseeability insofar
            as it relates to the duty element of negligence. See Estate of
          Strever, 924 P.2d at 670-72; Busta v. Columbus Hosp. Corp. (1996),
                      276 Mont. 342, 916 P.2d 122. We stated that
                [f]oreseeability is of prime importance in establishing
                   the element of duty. . . . If a reasonably prudent
               defendant can foresee neither any danger of direct injury
                nor any risk from an intervening cause he is simply not
                                        negligent.
                                          . . . .
                       [Since duty] is inherently intertwined with
               foreseeability, such duty or obligation must necessarily
                     be adjudicated only upon a case-to-case basis.

          Busta, 916 P.2d at 134 (quoting Mang v. Eliasson (1969), 153 Mont.
                            431, 437-39, 458 P.2d 777, 781-82).
                   Considerations of foreseeability in the duty context are
              directed to the foreseeability of the risk involved with the
             conduct at issue. See Estate of Strever, 924 P.2d at 671-72.
                                          Indeed,
                     [t]he obligation of defendants turns on whether:
                       ". . . the offending conduct foreseeably involved
                  unreasonably great risk of harm to the interests of
                  someone other than the actor. . . . Duty, in other
                    words, is measured by the scope of the risk which
                          negligent conduct foreseeably entails."
               . . . And absent foreseeability, there is no duty owed by
                              defendants to plaintiff. . . .

          Busta, 916 P.2d at 134 (quoting Mang, 458 P.2d at 781-82)(emphasis
                                           added).
                  In this case, the conduct at issue is Robbins' supervision of
             Corliss, a parolee originally convicted and sentenced to a life
             sentence at the Prison for an execution-style murder. Both the
            State and Starkenburg agree that the primary responsibility of a
               parole officer in supervising a parolee is the protection of
                society. In this regard, Robbins conceded at trial that an
             execution-style murderer should be supervised more closely than
            other types of parolees because of the potential danger posed by
                                      such a parolee.
                 On this record, it is clear that any negligent supervision by
          Robbins of Corliss foreseeably involved an unreasonably great risk
           of harm to persons other than Robbins generally and to Farrington
             and those close to her in particular. Furthermore, given that
            Montana statutes maintain parolees in legal custody and require
           parole supervision in accordance with the parolee's conditions of


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           parole, Robbins clearly had a duty to exercise reasonable care to
                  control Corliss and prevent him from doing such harm.
                   Finally, we take note of--and reject--the State's "sky is
         falling" arguments in this regard. Such arguments are not based on
                the law and have no place in a case involving fundamental
               principles of law and application of controlling statutes.
          Moreover, a duty to exercise reasonable care when the unreasonable
              risk of harm in failing to do so is foreseeable is hardly an
             extraordinary burden; such a duty is not--as the State is well
          aware--the equivalent of a duty to exercise 24-hour-a-day control.
                Considering Instruction Nos. 9 and 14 in light of general
           negligence principles and Montana statutes which relate to parole
          and impose an affirmative duty to supervise, we conclude that they
             correctly state Montana law regarding a parole officer's duty.
                 The State also asserts error in the District Court's refusal
         of three of its proposed jury instructions based on the Restatement
         (Second) of Torts        315 and 319 (1965). The State's proposed jury
                                 instruction no. 16 states:
                        The State does not have a duty to control or take
                 charge of a parolee to prevent him from doing harm to a
                 third party victim unless a special relationship exists
                   between the parole officer and the third party victim
                such that the parole officer would know or have reason to
                  know that the specific identifiable third party victim
                 would be the object of harm by the parolee. The above-
                 described duty exists only to specifically identifiable
                  individuals and is not a duty to protect the public at
                                            large.

                             Proposed instruction no. 18 provides:
                        A parole officer has no duty to control the conduct
                  of a parolee to prevent him from causing physical harm to
                                        another unless:
                       (a) a special relationship exists between the parole
                    officer and the parolee which imposes a duty upon the
                     parole officer to control the parolee's conduct, or
                       (b) a special relationship exists between the parole
                    officer and the third party victim which gives to the
                           third party victim a right to protection.

                   Finally, the State's proposed instruction no. 19 reads:
                        A parole officer who takes charge of a parolee whom
                  he knows or should know to be likely to cause bodily harm
                   to others if not controlled is under a duty to exercise
                    reasonable care to control the parolee to prevent him
                                    from doing such harm.

         The State contends that these proposed instructions correctly state


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           the law applicable to its duty in the present case and negate the
                existence of any duty because no "special relationship" or
            "control" existed and Robbins did not "take charge" of Corliss.
                  On the face of it, these proposed instructions do not appear
                to be entirely consistent with either the Montana statutes
          governing parole or the foreseeability component of duty discussed
           above. In any event, however, we have not previously adopted the
             Restatement principles on which the proposed instructions were
           based and, given our conclusion above that Instruction Nos. 9 and
         14 correctly state Montana law applicable to this case, we need not
                                  address them further here.
                  The State also asserts error in the District Court's refusal
               of its proposed instruction no. 17. Review of that proposed
          instruction reveals that it is an instruction on cause in fact and
            proximate cause which is unrelated to the legal question of the
            existence of a duty in this case. The State did not present an
              argument regarding this instruction under any issue involving
                        causation; as a result, we do not address it.
                  We hold that the District Court did not abuse its discretion
                   in instructing the jury on Robbins' duty in this case.
                         3. Did the District Court abuse its discretion in
                                  refusing to declare a mistrial?

                During trial, April testified regarding the gun Corliss used
          to shoot her, Kimberly and Brenda. She testified that the gun was
           old and that it looked like a gun from a western movie; she noted
           that Corliss had to pull back the hammer before firing each shot.
             April also testified that the gun was from the 1800s and that
                  [t]he expert witness that testified at [Corliss' criminal
                   trial in Washington] said because of the grooves in the
                   bullet, the slug that came through [her], and the depth
                  of them, it was an older gun. It hadn't been cleaned for
                   quite sometime, over many years and it had worn grooves
                          into it to make the grooves into the slug.

         The State timely objected to this latter testimony and the District
          Court overruled the State's objection. The court also denied the
          State's related motion to strike the testimony regarding the year
                                the gun was manufactured.
                 A week later, as the trial was drawing to a close, the State
           moved for a mistrial. In addition to renewing its argument that
            April's testimony was inadmissible, the gravamen of the State's
          motion was an allegation that Starkenburg's counsel had knowingly
             presented false testimony by April. In this regard, the State
            advised the District Court that it had obtained a transcript of
         Corliss' criminal trial and that the expert witness did not testify
          that the gun Corliss used was from the 1800s or was an older gun.
              The allegation of knowing presentation of false testimony was


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               premised on the fact that Starkenburg's counsel already had
           obtained the transcript and, therefore, had known all along--and
               concealed from the court--that April's testimony was false.
         Starkenburg's counsel denied knowingly presenting false testimony.
         He stated that, while April's recollection of the expert testimony
           at the criminal trial may have been erroneous, she left Corliss'
           criminal trial with the impression that the gun was a late 1800s
                                             gun.
                      The District Court reviewed April's testimony and the
         testimony at issue from Corliss' criminal trial. It concluded that
         April's erroneous characterization of the criminal trial record was
          based on her own impressions of what she heard at that trial. On
                that basis, the court rejected the State's contention that
          Starkenburg's counsel knowingly put on false testimony and denied
                              the State's motion for a mistrial.
                   Raising again both the inadmissibility of April's testimony
            and the knowing presentation of false testimony by Starkenburg's
           counsel, the State argues on appeal that the District Court erred
          in refusing to grant a mistrial. We review a trial court's denial
           of a motion for mistrial in a civil case for abuse of discretion.
            Dees v. American Nat'l Fire Ins. Co. (1993), 260 Mont. 431, 443,
            861 P.2d 141, 148 (citing Kuhnke v. Fisher (1987), 227 Mont. 62,
               68, 740 P.2d 625, 628). We address the State's arguments on
          admissibility and knowing presentation of false testimony in turn.
                                     Admissibility of April's Testimony
                 Determinations of the admissibility of evidence are within the
              sound discretion of the trial court. In re Marriage of Lopez
           (1992), 255 Mont. 238, 245, 841 P.2d 1122, 1126 (citing Cooper v.
          Rosston (1988), 232 Mont. 186, 756 P.2d 1125). Absent an abuse of
            discretion, we will not reverse a district court's ruling on the
                  admissibility of evidence. See Werre, 913 P.2d at 633.
                  Hearsay is "a statement, other than one made by the declarant
          while testifying at trial or hearing, offered in evidence to prove
         the truth of the matter asserted." Rule 801(c), M.R.Evid. April's
             testimony regarding the expert witness testimony from Corliss'
           criminal trial was clearly a statement other than one made by the
            declarant while testifying at trial. Starkenburg does not argue
         that the testimony was not offered to prove the truth of the matter
              asserted and does not contend that it falls within one of the
           exceptions to the hearsay rule; indeed, Starkenburg concedes that
           April's testimony in this regard was inadmissible hearsay. Thus,
               we conclude that the District Court abused its discretion in
                     admitting the testimony over the State's objection.
                   The question remains, however, whether the court's abuse of
            discretion constitutes reversible error. See Marriage of Lopez,
                841 P.2d at 1126. An error in the admission of evidence is
             harmless and, as a result, does not warrant reversal unless the
            substantial rights of the complaining party have been materially


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             affected.     Rule 61, M.R.Civ.P.; Marriage of Lopez, 841 P.2d at
                                            1126.
                        Here, the District Court provided the State with an
            opportunity to impeach April's testimony via the transcript from
          the criminal trial. In addition, Starkenburg recalled April as a
            witness and she testified that she had been mistaken and did not
                            know the manufacture date of the gun.
                      Moreover, the record before us contains other evidence
                regarding the gun used by Corliss. April testified without
              objection by the State that the gun was an "old revolver" and
          looked like a gun from a western movie. Farrington testified that
           Corliss had several "antique guns." Furthermore, April has a .38
         caliber bullet lodged near her spine as a result of Corliss' attack
           and Corliss' TRO against Betty stated that he and Betty had a .38
              revolver in their home. On this record, April's inadmissible
         testimony was merely cumulative and, as such, it did not affect the
         State's substantial rights. See Hansen v. Hansen (1992), 254 Mont.
          152, 160, 835 P.2d 748, 753; Thompkins v. Fuller (1983), 205 Mont.
             168, 186, 667 P.2d 944, 953. Accordingly, we conclude that the
         District Court's admission of April's testimony was harmless error.
                                                    Mistrial Motion
                   The State argues that Starkenburg presented knowingly false
         testimony by April and, therefore, a mistrial was the only adequate
         remedy. The District Court considered the parties' oral arguments,
           reviewed April's testimony and the expert testimony from Corliss'
           criminal trial, and concluded that April's testimony was based on
             her overall impression from the criminal trial and an imperfect
                                           memory.
                 The District Court's rejection of the State's "knowingly false
               testimony" argument necessarily involved not only a review of
            transcripts, but a weighing of the credibility of both April and
              Starkenburg's counsel. We consistently have held that a trial
                court acting as a finder of fact is in the best position to
             determine the credibility of witnesses, because it observes the
          witnesses and their demeanor in person; we are presented with only
         a "cold record" for review. See Matter of Seizure of $23,691.00 in
         U.S. Currency (1995), 273 Mont. 474, 485, 905 P.2d 148, 155 (citing
         State v. Flack (1993), 260 Mont. 181, 189, 860 P.2d 89, 94); Walden
         v. State (1991), 250 Mont. 132, 141-42, 818 P.2d 1190, 1196; Kartes
          v. Kartes (1977), 175 Mont. 210, 216-17, 573 P.2d 191, 195. Here,
         the District Court observed April during the testimony at issue and
         Starkenburg's counsel during the response to the State's allegation
              of knowing presentation of false testimony; having done so, it
            determined that no false testimony had been presented knowingly.
                     The State's argument on appeal amounts to no more than a
             request that this Court substitute its judgment for that of the
              District Court regarding whether false testimony was presented
           knowingly. We do not substitute our judgment for that of a trial


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             court on such matters. Seizure of $23,691.00, 905 P.2d at 155
                                    (citations omitted).
                 We hold that the District Court did not abuse its discretion
                            in refusing to declare a mistrial.
                     4. Did the District Court err in submitting the
                      Starkenburg survival action to the jury and in
                               instructing the jury thereon?

                   A cause of action which exists during a person's lifetime
           survives upon his or her death. See       27-1-501, MCA; Swanson v.
            Champion Int'l Corp. (1982), 197 Mont. 509, 515, 646 P.2d 1166,
            1169. As a corollary, the decedent's cause of action, commonly
         called a survival action, cannot be pursued if the decedent's death
           was instantaneous. Swanson, 646 P.2d at 1169; see also Burns v.
                  Fisher (1957), 132 Mont. 26, 30, 313 P.2d 1044, 1047.
                    [Where there] is not any appreciable length of time
                between the wrong and the death, or, in other words, the
                 wrong and the death being coincident in point of time,
                   the instant the wrong is committed the victim of the
                  wrong has ceased to exist, [then] it seems impossible
                     that there is any cause of action in favor of such
                     victim. This conclusion seems inevitable when the
                 elements which are to be considered in determining the
                         measure of damages are taken into account.

          Dillon v. Great N. Ry. Co. (1909), 38 Mont. 485, 496, 100 P. 960,
            963. The personal representative of the decedent's estate may
         pursue a survival action on behalf of the decedent's estate and all
         damages recoverable in such an action are personal to the decedent.
                              Swanson, 646 P.2d at 1169.
                The plaintiff in a survival action has the burden of proving
         that the death was not instantaneous (see Burns, 313 P.2d at 1047),
           or, in other words, that the decedent survived the injury for an
            appreciable amount of time (see Dillon, 100 P. at 963). "[A]n
          appreciable amount of time" can be as short as a few seconds. See
         Stephens v. Brown (1972), 160 Mont. 453, 460, 503 P.2d 667, 670-71.

                                  Submission of Survival Action to Jury
                Prior to the end of trial, the State apparently made a motion
             in the nature of a motion for a directed verdict, arguing that
             there was insufficient evidence to present Kimberly's survival
              action to the jury. The District Court denied the motion in
            chambers prior to convening court on the last morning of trial.
                         The State contends that the court erred.
                  A directed verdict is proper only when there is a complete
          absence of any evidence which would justify submitting an issue to
            a jury, and all inferences which can be drawn from the evidence
         must be considered in a light most favorable to the opposing party.


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                Werre, 913 P.2d at 630 (citation omitted). Whether there is
              sufficient evidence to send a cause of action to the jury is a
           question of law. Collins v. Itoh (1972), 160 Mont. 461, 472, 503
               P.2d 36, 42 (citation omitted). We review a district court's
           conclusion of law to determine whether the court's interpretation
                         of the law is correct. Werre, 913 P.2d at 631.
                      The State premises its argument that the survival action
                should not have gone to the jury on Starkenburg's failure to
            introduce medical evidence as to the cause or time of Kimberly's
              death; it points out that no testimony was presented regarding
                 whether the gurgling noises April heard from Kimberly after
               Kimberly was shot the second time represented a sign of life.
          Accordingly, the State argues that "[t]here was simply no evidence
         that Kim Starkenburg lived for any appreciable period of time after
                                   she was shot." We disagree.
                    The record contains evidence that Kimberly remained kneeling
            beside Brenda and April after Corliss shot her and while he shot
         Brenda and April. Corliss then shot Kimberly a second time and she
             fell to the floor. Corliss subsequently fled from Farrington's
              residence and, when he had gone, April went to Kimberly's aid.
            According to April, she could hear gurgling sounds from Kimberly
           which sounded "like she was trying to breathe, catch her breath."
                    Starkenburg's evidence in support of the survival action and
            the length of time Kimberly survived was not particularly strong
         and the jury could well have chosen to reject it. The evidence was
         sufficient, however, to support a finding that Kimberly's death was
                 not instantaneous and that she survived for more than a few
               seconds. See Burns, 313 P.2d at 1047; Dillon, 100 P. at 963.
                       Moreover, the State cites to no authority under which a
             plaintiff in a survival action must present medical evidence to
                 prove that death was not instantaneous or that the decedent
                survived for an appreciable amount of time. While the State
            correctly observes that, in Stephens, there was medical evidence
             that the decedent lived for a few seconds to a few minutes (see
           Stephens, 503 P.2d at 670), nothing in Stephens requires, or even
         suggests, that evidence regarding the length of time between injury
                           and death must be expert medical testimony.
                  We hold that the District Court did not err in concluding that
          there was sufficient evidence to submit Kimberly's survival action
                to the jury and in denying the State's motion for a directed
                                              verdict.
                                                       Jury Instruction
                   The State argues that the District Court erred in instructing
          the jury on the survival action. As previously stated, a district
                court has discretion in instructing the jury and we will not
              reverse the court on the basis of alleged instructional errors
            absent an abuse of discretion. Werre, 913 P.2d at 635 (citation
                                             omitted).


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                       Instruction No. 20, as given by the District Court to the
                                          jury, provides:
                      If you find that Kimberly Starkenburg's death was not
                     instantaneous, your award to her estate should include
                     the present value of her reasonable earnings after the
                          date of death during the remainder of her life
                     expectancy; and reasonable compensation for decedent's
                    conscious mental and physical pain and suffering in the
                                interval between injury and death.

           The State objected to the giving of any instruction at all on the
         survival action, arguing that it was error "to instruct the jury on
             a survivorship action for [Kimberly's] estate where there is no
               credible evidence within the record of this case to allow [a]
                survivorship action to go to the jury." In other words, the
          State's objection mirrored the basis for its motion for a directed
                verdict, which the District Court previously had denied. We
             concluded above that there was sufficient evidence of record to
            submit the survival action to the jury. For the same reason, we
            conclude that the District Court did not abuse its discretion in
                    giving Instruction No. 20 over the State's objection.
                       The State subsequently advanced two objections to the
          substance of Instruction No. 20, one in the District Court and one
                  in this Court on appeal. The additional objection to the
          instruction in the District Court was made after the jury had been
           instructed, but before deliberations began. The State's argument
          was, at best, confusing and is susceptible of two interpretations.
          The State may have been arguing that the question of whether death
              was instantaneous was a threshold legal question for the trial
            court; alternatively, it may have been arguing that the jury was
                 required to find affirmatively that Kimberly "lived for an
         appreciable amount of time" rather than to find, in the language of
          Instruction No. 20, that Kimberly's "death was not instantaneous."
           On appeal, the State argues that Instruction No. 20 was erroneous
            in two respects relating to Starkenburg's burden of proof on the
                                       survival action.
                   We need not address the timeliness of the State's substantive
          objection to the instruction in the District Court after the jury
               had been instructed. We also need not concern ourselves with
            attempting to ascertain the precise nature of that objection or
         whether any authority exists in support of the objection regardless
          of which way it is read. Finally, we need not resolve whether the
                State's burden of proof contentions on appeal with regard to
            Instruction No. 20 constitute a change in theory on appeal or an
                          issue raised for the first time on appeal.
                   Rule 51, M.R.Civ.P., provides that "[n]o party may assign as
         error the failure to instruct on any point of law unless that party
          offers an instruction thereon." Here, the essence of the State's


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         substantive objections in the District Court and this Court is that
                the trial court should have instructed the jury that it was
         necessary to find that Kimberly lived an appreciable amount of time
           before damages could be awarded on the survival claim. The State
           did not propose an instruction on this point, however; indeed, it
           did not propose any instructions relating to the survival action.
             Thus, it cannot assign as error the District Court's failure to
           instruct specifically on the "appreciable amount of time" element
                     of a survival action. See Werre, 913 P.2d at 636.
                      The State maintains that Rule 51, M.R.Civ.P., does not
                 preclude it from asserting substantive errors relating to
             Instruction No. 20 because of the timing of instruction-related
          matters in the District Court. It states that it did not have an
         opportunity to offer instructions because the court only decided on
          the final day of trial to give a survival instruction and, at the
                  time the court advised counsel of the substance of that
          instruction, the instruction was not available in written form for
         review. Based on the record before us, we reject the State's effort
                 to avoid the application of the Rule 51, M.R.Civ.P., bar.
                  The trial of this case was scheduled for August 7, 1995. On
         July 21, 1995, the District Court advised the parties that proposed
         instructions were to be submitted as soon as possible. Starkenburg
          submitted proposed instruction nos. 1 through 37 on July 20, 1995;
          the State filed proposed instruction nos. 1 through 28 on the same
              day. Thereafter, and through August 16, the parties submitted
                              additional proposed instructions.
                  Starkenburg's proposed instruction no. 37, submitted on July
            20, 1995, was a proposed instruction on damages in the event the
          jury had found for plaintiffs on the question of liability. With
          regard to the survival action, that proposed instruction provided
                                          as follows:
                             (4) Your award should include reasonable
                           compensation to decedent's estate for:
                         reasonable compensation for damages suffered by
                     decedent if you find death was not instantaneous.

               (Emphasis added.) The cited source for the entire proposed
              instruction was Montana Pattern Jury Instructions (MPI) 25.20
               through 25.25 (Civil). The quoted portion of Starkenburg's
          proposed instruction no. 37 is, in fact, a verbatim reiteration of
          MPI 25.25, captioned "Damages--Survival Action." Thus, as of July
              20, 1995, the State knew, or should have known, that the "not
              instantaneous" language was being proposed with regard to the
              survival action; indeed, the State should have known that the
             language was taken directly from the MPI. Notwithstanding the
            content of this proposed instruction, the State did not submit a
              supplemental proposed instruction containing the "appreciable
           amount of time" language with others it filed on August 14, 1995.


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                In addition, the District Court and the parties began settling
             instructions informally on the evening before the final day of
          trial; the "not instantaneous" proposed instruction was before the
            court and the State at that time. Prior to convening court the
         following morning, the District Court ruled on pending motions and,
           as the State correctly maintains, advised the parties that it was
           revising the proposed instruction to add a clarification that, if
             the jury found that Kimberly's death was not instantaneous, it
             should include various elements of damages in its award to her
         estate. While the revised instruction was not available in written
           form for review, it is clear from our brief summary of the record
          that the "not instantaneous" language was not a new addition which
              prevented the State from proposing instructions on the issue.
              Indeed, Instruction No. 20, as given to the jury, provided in
                                       pertinent part:
                   If you find that Kimberly Starkenburg's death was not
                  instantaneous, your award to her estate should include
                               [various elements of damages].

               (Emphasis added.) This language is a mere reordering of the
         language contained in Starkenburg's proposed instruction no. 37 to
              clarify that the jury could not award damages in the survival
                  action unless it had first determined that death was not
                                       instantaneous.
                   The State's final argument regarding its failure to offer a
         proposed instruction countering the "not instantaneous" language is
           that the District Court only decided on the final day of trial to
            instruct on the survival action; it seems to suggest that it was
                caught unaware for purposes of applying Rule 51, M.R.Civ.P.,
           because the District Court did not rule on its pending motion for
             a directed verdict on the survival action until that day. This
              argument is entirely without merit. Neither the State nor any
            other party can fail to offer proposed instructions on a pleaded
          claim in the hopes of obtaining a directed verdict and then, after
             such a motion is denied, bootstrap itself around application of
              Rule 51, M.R.Civ.P. On this record, it is clear that Rule 51,
               M.R.Civ.P., bars the State from asserting error regarding the
             substance of Instruction No. 20. Accordingly, we hold that the
         District Court did not abuse its discretion in instructing the jury
                                  on the survival action.
                                            Affirmed.

                                                                                       /S/       KARLA M. GRAY




                                                              We concur:


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                                                 /S/ J. A. TURNAGE
                                                /S/ JAMES C. NELSON
                                             /S/ TERRY N. TRIEWEILER
                                             /S/ W. WILLIAM LEAPHART
                                                    /S/ ED McLEAN
                                              Judge of the District Court,
                                       sitting for Justice William E. Hunt, Sr.




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