United States Court of Appeals
For the First Circuit
No. 09-1302
ROBERT GRANFIELD,
Plaintiff, Appellee,
v.
CSX TRANSPORTATION, INC.,
Defendant, Appellant.
APPEAL FROM THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MASSACHUSETTS
[Hon. Michael A. Ponsor, U.S. District Judge]
Before
Lynch, Chief Judge,
Torruella and Boudin, Circuit Judges.
Michael B. Flynn, with whom Carolyn M. Blake, Seth C. Turner,
and Flynn & Wirkus, P.C., were on brief for appellant.
Patrick J. Donoghue, with whom Collins, Collins & Donoghue,
P.C., was on brief for appellee.
March 12, 2010
TORRUELLA, Circuit Judge. Defendant-appellant CSX
Transportation, Inc. ("CSXT") is appealing from the district
court's denial of its motion for judgment as a matter of law or a
new trial, after a jury awarded $250,000 to plaintiff-appellee
Robert Granfield ("Granfield"), based on a finding that CSXT
violated both the Federal Employer's Liability Act ("FELA"), 45
U.S.C. § 51 et seq., and the Locomotive Inspection Act ("LIA"), 49
U.S.C. § 20701 et seq. Granfield, a locomotive engineer employed
by CSXT, claimed he developed lateral epicondylitis,1 or "tennis
elbow," as a result of having to manipulate defective controls
found in the cabin of his locomotive. After a ten-day trial and
the district court's denial of several dispositive motions by CSXT,
the jury returned a verdict in favor of Granfield.
CSXT appeals from the judgment and claims the district
court erred in: (1) not dismissing the case under the FELA statute
of limitations; (2) allowing Granfield's medical expert witness to
testify on causation; (3) admitting a letter containing irrelevant
and prejudicial statements, even though the district court
overruled itself and eventually held the letter inadmissible; (4)
refusing to order a new trial despite Granfield's counsel's
allegedly improper statements at closing argument; and (5) denial
1
Lateral epicondylitis is defined as inflammation and pain over
the outer side of the elbow involving the lateral epicondyle of the
humerus usually resulting from excessive or violent twisting
movements of the hand. Webster's Third New International
Dictionary Unabridged 2356 (2002).
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of its motions for a new trial or judgment notwithstanding the
verdict based on the cumulative error doctrine. After careful
review of each issue in this highly contested case, we find no
error by the district court and therefore affirm the jury verdict.
I. Background2
We begin by briefly describing Granfield's work history,
the alleged condition of the equipment he was required to operate,
and the statutory framework that governs this case.
Granfield was a railroad worker for over thirty years.
From 1978 until April 2000, he worked as a locomotive engineer,
road foreman, and trainmaster for Consolidated Rail Corporation and
the Massachusetts Bay Transportation Authority. On April 1, 2000,
he began working for CSXT as a locomotive engineer, primarily based
out of Framingham, Massachusetts. On March 6, 2006, he underwent
surgery in his right elbow, and has been unemployed since.3
While employed by CSXT, Granfield was required to operate
almost exclusively the GP40 6200 series locomotives. As part of
the normal operation of these locomotives, he manipulated an array
of controls, among them the alerter buttons, brake levers,
reverser, sander, throttle, and whistle. Of concern to us here are
2
We present these facts in the light most favorable to the
verdict.
3
Granfield testified at trial that he was currently unemployed
and that the last time he worked was on March 5, 2006.
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the alerter buttons and throttles, which Granfield claims were
defective and the cause of his injuries.4
The alerter is a device that triggers an audible warning
that automatically sounds at various intervals while the locomotive
is being operated, in order to prevent an engineer from falling
asleep at the controls. This mechanism is reset by simply pressing
a button. The throttle is important for locomotive engineers as it
helps them adjust the speed of the locomotive. It works by
regulating the output horsepower generated by the engine, which in
turn influences the train's speed. The throttle is controlled by
sliding its handle with no more force than is required to turn a
door handle.5
Granfield testified that he had experienced problems with
the throttles in the GP40 6200 locomotives since beginning to work
for CSXT in 2000. Mainly, he complained that the placement of the
throttle would not correspond with engine output, and as a result
he had to "jiggle" the throttle handle back and forth until the
desired speed was achieved.
4
Although in his complaint Granfield cited other deficiencies
with the locomotives he operated, at trial the weight of the
evidence Granfield presented was aimed at proving that only the
throttles and alerter buttons malfunctioned and caused his
injuries.
5
When functioning properly, which Granfield contends they were
not.
-4-
Granfield also complained that the alerter was sounding
too frequently, which caused him to push the alerter button more
often than would normally be required. Depending on the model of
the locomotive, these buttons were sometimes located in
uncomfortable locations in the cabin and sometimes had to be
"smacked" in order for them to deactivate the alerter.
It is unclear exactly when Granfield began to experience
symptoms in his elbows. At his deposition, he stated that he had
experienced pain in his left elbow in April 2003. During the
trial, he testified that he began feeling pain in his left elbow
around February or March 2003. He testified that his arm was
aching and sore to the touch. He also testified at trial that his
arm felt swollen and his little finger in both hands tingled,
resembling a numbing sensation.
On May 28, 2003, due to the pain in his elbow and
tingling of his little fingers, Granfield visited Dr. Chakraborty,
a cardiologist who had treated him in the past for a heart
condition. Granfield complained of pain, stiffness, aching,
burning, tightness of the arm, and tingling in his small finger.
Dr. Chakraborty examined Granfield's elbow and noticed "some kind
of inflammation," but testified that he did not know what was
causing the inflammation. Dr. Chakraborty then referred Granfield
to an orthopedic surgeon -- Dr. Carl Spector -- for further
treatment. Dr. Chakraborty testified at that he did not remember
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whether Granfield mentioned that he thought his pain was related to
his work at the time.
On July 8, 2003 Granfield paid a visit to Dr. Spector.
During this visit, Dr. Spector noted that Granfield reported he had
been experiencing symptoms in his left elbow for approximately
eight months (i.e., since December 2002, which was inconsistent
with Granfield's testimony). Granfield also informed Dr. Spector
that his symptoms manifested themselves gradually and progressively
worsened. After an examination and long discussion with Granfield,
Dr. Spector diagnosed him with lateral epicondylitis in the left
elbow.
Dr. Spector determined that Granfield's lateral
epicondylitis was being caused by the repetitive back and forth
manipulation of what he deemed to be "levers" inside the locomotive
cabin. Granfield maintained throughout the trial that it was
during this visit that he first became aware of the connection
between his work activities and his injury.
After his July 8, 2003 visit, Granfield continued seeing
Dr. Spector for followup treatment. During one of these visits, on
January 21, 2005, Dr. Spector diagnosed Granfield with bilateral
epicondylitis of the left and right elbows. In his report
concerning this visit, Dr. Spector noted that Granfield should not
continue working, and recommended physical therapy. After
finishing his physical therapy course, Granfield was reevaluated by
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Dr. Spector on March 4, 2005, and was found to be in good condition
and suffering no pain.
By October 2005, however, Granfield's condition had
deteriorated and he was suffering from significant pain rising from
his right lateral epicondyle (right elbow). During his October 28,
2005 visit, Dr. Spector noted that Granfield had re-injured himself
at work, and diagnosed him with recurrent severe lateral
epicondylitis of the right elbow.
On March 6, 2006, Dr. Spector operated on Granfield's
right elbow. Following the operation, Granfield's condition
improved, although he still suffered from epicondylitis in his left
elbow. In his notes concerning Granfield's visit on November 9,
2006, Dr. Spector mentioned that Granfield would be unable to
continue to work as a locomotive engineer.
On June 19, 2006, Granfield filed a complaint against
CSXT in the U.S. District Court for the Western District of New
York. In it, he charged that CSXT required him to operate
locomotives with malfunctioning equipment, including the alerters
and throttles, which caused him to suffer his injuries. Granfield
also averred that CSXT's failure to adequately maintain its
locomotives was a violation of both FELA, 45 U.S.C. § 51 et seq.,
and LIA, 49 U.S.C. § 20701 et seq.
FELA regulates the liability of railroad common carriers
who engage in interstate or foreign commerce, for injuries
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sustained by their employees due to the carrier's negligence.
Section 1 of the statute states that these interstate railroad
carriers will be liable in damages "to any person suffering injury
while he is employed by such carrier in such commerce." 45 U.S.C.
§ 51. In a FELA liability action by an employee against a railroad
carrier, the principle of contributory negligence and diminution of
damages applies. 45 U.S.C. § 53. Therefore, if an employee's
injuries not only result from the carrier's negligence, but also
from his own, the employee's damages "shall be diminished by the
jury in proportion to the amount of negligence attributable to such
employee." Id. This principle, however, will not apply if the
employee's injury is found to have been contributed to by the
carrier's violation of any statute enacted for the safety of its
employees. Id.6
"Federal decisional law formulating and applying the
concept [of negligence] governs" FELA actions. Urie v. Thompson,
337 U.S. 163, 174 (1949). Section 6 of FELA creates a three-year
statute of limitations for all actions under section 1 of the
statute, counted from the day the cause of action accrued. 45
U.S.C. § 56.
6
In this case, the jury found CSXT 60% negligent under FELA.
However, since the jury also found CSXT had violated the LIA, a
"statute enacted for the safety of its employees," CSXT was
required to pay 100% of Granfield's damages.
-8-
Granfield also sued under LIA, formerly known as the
Boiler Inspection Act.7 By its own terms, the LIA does not purport
to confer any right of action upon injured employees. Urie, 337
U.S. at 188 (1949). Its role, rather, is to supplement the FELA by
imposing on interstate railroad carriers an absolute and continuing
duty to provide safe equipment. Id. (citing Lilly v. Grand Trunk
W. R. Co., 317 U.S. 481, 485 (1943)). The Urie court concluded
that the legislative intent behind section 1 of FELA was to treat
a violation of the safety standards under the LIA as negligence --
what is sometimes called negligence per se. Urie, 337 U.S. at 188-
89.
Therefore, the LIA, when read in conjunction with section
3 of FELA, fastens strict liability on railroad carriers who
violate its safety standards. In this case, the jury determined
that CSXT had violated the LIA, which liberated Granfield from the
burden of having to prove negligence. He did, however, have to
prove that the condition of the throttles and alerters were
causally related to his injuries. As we discuss below, these
points were highly contested by CSXT.
On August 17, 2006, the case was transferred to the
District of Massachusetts, Western Division. CSXT then filed a
Motion for Summary Judgment dated May 2, 2008, where it argued,
7
The BIA, 45 U.S.C. § 23, was recodified in 1994 as the Federal
Locomotive Inspection Act. See Pub. L. No. 103-272, § 1(a).
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inter alia, that Granfield's claim of bilateral epicondylitis was
time-barred under the FELA three-year statute of limitations. See
45 U.S.C. § 56. After hearing oral arguments on the motion, the
district judge denied CSXT's motion and scheduled the case for
trial.
On October 20, 2008, trial commenced and ten days later,
on October 30, the jury rendered its verdict in favor of Granfield.
In the Special Verdict form issued to the jury, the Court asked it
to find whether or not CSXT was negligent under FELA, and whether
or not CSXT violated the LIA. The jury answered "yes" to both
questions and awarded $250,000 to Granfield.
On October 29, before the jury had returned its verdict,
CSXT had filed a Supplemental Renewed Motion for Judgment as a
Matter of Law, where it basically reargued its statute of
limitations defense. The motion was denied by the district court
on October 31. In its short Endorsed Order denying the motion, the
Court noted that CSXT failed to present its arguments on the
statute of limitations defense to the jury, and never offered them
as part of a proposed special verdict either.
CSXT again filed a Post-Trial Renewed Motion for Judgment
as a Matter of Law, along with a supporting Memorandum of Law on
November 17, 2008. In these documents, CSXT rehashed its statute
of limitations arguments from its previous motions and added
others, based on the arguments adopted by Granfield's counsel
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during closing statements. The district court again denied CSXT's
Motion on February 2, 2009. On March 3, 2009, CSXT entered a
Notice of Appeal. CSXT now maintains that the district court erred
in rejecting its statute of limitations arguments. Specifically,
CSXT appeals from the denial of its May 2, 2008 Motion for Summary
Judgment and its November 17, 2008 Post-Trial Renewed Motion for
Judgment as a Matter of Law.8
II. Discussion
A. Statute of Limitations
i. Applicable Law
For cases where an employee has been injured over a
period of time as the result of continued exposure to unsafe
conditions, rather than as a result of a single traumatic event,
the Supreme Court adopted the discovery rule, thereby recognizing
that a cause of action accrues "only when the accumulated effects
of the deleterious substances manifest themselves." Urie, 337 U.S.
at 170 (citation omitted). Later, in United States v. Kubrick, the
Court rejected "the notion that tort claims in general or
malpractice claims in particular do not accrue until a plaintiff
learns his injury was negligently inflicted," although it left open
the question of whether a plaintiff needs to know the injury's
8
We only review the motion for judgment as a matter of law since
"defendant's motion for summary judgment has been overtaken by
subsequent events, namely, a full-dress trial and an adverse jury
verdict." See Rivera-Torres v. Ortiz Vélez, 341 F.3d 86, 92 (1st
Cir. 2003).
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cause for the purpose of determining accrual. 444 U.S. 111, 119-
20 (1979) (emphasis added).
FELA states that "[n]o action shall be maintained under
this chapter unless commenced within three years from the day the
cause of action accrued." 45 U.S.C.A. § 56. We have previously
interpreted this part of FELA to mean that "plaintiff has the duty
of alleging that he has brought his action in due time." Brassard
v. Boston & Maine R.R., 240 F.2d 138, 141 (1st Cir. 1957) (citing
Am. R. Co. of Porto Rico v. Coronas, 230 F. 545, 547 (1st Cir.
1916) (commenting in dicta that "it was incumbent upon the
plaintiff to allege and prove that his [FELA] cause of action was
brought within the time limited"), overruled on other grounds by
Reading Co. v. Koons, 271 U.S. 58, 60-64 (1926) (additional
citation omitted). Cf. Emmons v. S. Pac. Transp. Co., 701 F.2d
1112, 1118 (5th Cir. 1983) (holding that burden is on claimant to
allege and prove that his cause of action was commenced within the
three-year statute of limitations period); Carpenter v. Erie R.
Co., 132 F.2d 362, 362 (3d Cir. 1942) (dismissing FELA complaint
where it "appear[ed] from the face of the complaint that the
plaintiff's cause of action arose more than fourteen years before
the suit was commenced," because it is "incumbent upon one suing
under the act to allege and prove that his cause of action was
brought within the time limited") (citation omitted); but see
Campbell v. Grand Trunk W. R.R. Co., 238 F.3d 772, 775 (6th Cir.
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2001)(finding that in a FELA case the statute of limitations is an
affirmative defense). Several courts of appeals, as well as our
own, have interpreted both Urie and Kubrick to mean that the three-
year statute of limitations period begins to run when a plaintiff
knows, or should know, of her injury and its cause. Albert v.
Maine Cent. Ry. Co., 905 F.2d 541, 543-44 (1st Cir. 1990); see
e.g., Townley v. Norfolk & W. Ry. Co., 887 F.2d 498, 501 (4th Cir.
1989); Kichline v. Consol. Rail Corp., 800 F.2d 356, 360-61 (3d
Cir. 1986); DuBose v. Kansas City So. Ry. Co., 729 F.2d 1026, 1030-
31 (5th Cir. 1984). In Albert, we also held that once a plaintiff
reaches the conclusion that she has an injury, and that such injury
was caused by her employment, she has a duty to investigate the
situation in order to confirm or deny her belief. Albert, 905 F.2d
at 544.
ii. Scope of Review
We review de novo the district court's denial of CSXT's
motion for judgment as a matter of law, examining "the evidence
presented to the jury, and all reasonable inferences that may be
drawn from such evidence, in the light most favorable to the jury
verdict." Cigna Ins. Co. v. Oy Saunatec, Ltd., 241 F.3d 1, 8 (1st
Cir. 2001) (citation omitted). We will reverse denial of said
motion "only if reasonable persons could not have reached the
conclusion that the jury embraced." Sánchez v. Puerto Rico Oil
Co., 37 F.3d 712, 716 (1st Cir. 1994).
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iii. Analysis
CSXT contends that Granfield had the burden of proving
his suit was filed in compliance with the FELA statute of
limitations and that Granfield failed to do so, requiring judgment
as a matter of law for CSXT. In its briefs, CSXT essentially
rehashes the arguments it made in its motions for summary judgment
and judgment as a matter of law. Both motions were denied by the
district court, which found that the question of whether Granfield
had complied with the three-year statute of limitations was one for
the trier of fact to decide. We agree.
We have reiterated that
[a]pplication of the discovery rule ordinarily
involves questions of fact and therefore in
most instances will be decided by the trier of
fact. In particular, application of the
discovery rule involves determining what the
plaintiff knew or should have known, which is
a factual question that is appropriate for the
trier of fact. Determining when a plaintiff
had notice of the likely cause of her injury
is one example of such a determination.
Genereux v. Am. Beryllia Corp., 577 F.3d 350, 360 (1st Cir. 2009)
(internal citations and quotation marks omitted). In this case,
CSXT failed to argue to the jury, the trier of fact, that Granfield
did not meet the FELA statute of limitations. Indeed, CSXT failed
to make this an issue at trial at all, and failed to request a
question on the statute of limitations in the special verdict form.
At oral argument, CSXT's counsel explained this was a strategic
decision. CSXT now points to circumstantial evidence presented at
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trial which it argues should have led the district court to
conclude as a matter of law that Granfield knew or should have
known of his injury and its cause more than three years before
filing his complaint.
However, as the district court explained when it rejected
CSXT's statute of limitations arguments on the papers, the question
of when plaintiff's claim arose was a factual one, and plaintiff
put forth sufficient evidence to support its theory that the claim
arose within the limitations period. On review, we view the
evidence in the light most favorable to the nonmovant, Granfield.
In his notes from Granfield's visit to him on July 8,
2003, Dr. Spector noted that Granfield had complained to him of
feeling "symptoms" in his left elbow since December 2002. However,
the record is unclear as to what these symptoms were, and whether
they rose to the magnitude to lead Granfield to consider himself
"injured." Generally, de minimis aches and pains are not
considered to be an injury for the purposes of the FELA statute of
limitations. Green v. CSX Transp., Inc., 414 F.3d 758 (7th Cir.
2005); see also Lancaster v. Norfolk & W. Ry. Co., 773 F.2d 807,
821 (7th Cir. 1985) (rejected on other grounds by Teague v. Nat'l
R.R. Passenger Corp., 708 F. Supp. 1344 (D. Mass. 1989)).
At trial, Granfield specifically testified that he was
feeling pain in his left elbow; aching, soreness, and swelling in
his arm; and tingling in his little finger "around February or
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March 2003." A few months later, in late May 2003, Granfield went
to see his cardiologist, Dr. Chakraborty, who, after examining
Granfield, was unable to diagnose him and thus referred him to Dr.
Spector. Although at this point there may have been enough
evidence presented to the jury to support a finding that Granfield
knew he was injured as of May 2003, the same cannot be said for
Granfield's knowledge of the cause of his injury.
During the visit to Dr. Chakraborty, there apparently was
no discussion of Granfield's work. The first time we know for
certain that Granfield became aware of the possible connection
between his work and his injury was during his visit to Dr. Spector
on July 2003, when Dr. Spector informed him of the connection.
Granfield filed his complaint on June 19, 2006. In order to find
for CSXT, the jury would have to find that Granfield knew or should
have known, before seeing Dr. Spector, that he was injured and that
his employment was the cause of his injuries.
We cannot say, as CSXT requests, that as a matter of law
Granfield should have been able to diagnose himself with
epicondylities, or have known that his condition was caused by his
work as a locomotive engineer. Given all of the evidence presented
by Granfield on this issue, we find that a reasonable jury could
have concluded that Granfield's claim was not time barred, had CSXT
chosen to contest this showing by asking for jury instruction and
arguing the matter to the jury.
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B. Dr. Spector's Testimony
At trial, Dr. Spector was Granfield's sole medical
causation witness. CSXT first challenged Dr. Spector's testimony
in its May 2, 2008 Motion for Summary Judgment. In its motion,
CSXT argued that Dr. Spector's opinions were inadmissible under the
Federal Rule of Evidence 702 and the seminal case of Daubert v.
Merrell Dow Pharmacy, Inc., 509 U.S. 579 (1993), and its progeny.
The inadmissibility of Dr. Spector's opinions, CSXT argued, would
leave Granfield without any proof as to the element of causation.
This in turn would warrant summary judgment in favor of CSXT.
On June 25, 2008, the district judge heard oral arguments
on the matter, and afterwards entered an oral order denying the
Motion for Summary Judgment. The district judge determined that
[a]s far as causation goes, I think Doctor
Spector's enough to get over the hurdle. He
might not clear it by two feet, but he's over
it, and we'll have an interesting conflict
between the experts on the question of whether
the failure to use reasonable care is casually
related to the tennis elbow.
Prior to trial, on August 18, 2008, CSXT filed a Motion
in Limine to Exclude Plaintiff's Expert, Dr. Carl Spector, from
Testifying. CSXT reargued its position that Dr. Spector's opinions
were not based on sufficient facts or data, or on reliable
scientific methodology. At the Pretrial Conference Hearing on
October 8, 2008, the district court denied CSXT's Motion in Limine
without prejudice.
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i. Scope of Review
At the time of trial, Dr. Spector had been licensed to
practice orthopedic medicine and surgery in the Commonwealth of
Massachusetts for approximately thirty-five years. He was also a
board certified orthopedic surgeon. Dr. Spector estimated that
every year he treated over a hundred patients with lateral
epicondylitis.
During his testimony at trial, Dr. Spector stated that
the first time he saw Granfield was on July 8, 2003, when he was
referred to his office by Dr. Chakraborty. Dr. Spector also
testified that at this meeting he had a long discussion with
Granfield about the symptoms he was having, as well as Granfield's
work as a locomotive engineer. The following exchange took place
when Granfield's attorney conducted the direct examination of Dr.
Spector:
Q. Did you gain an understanding of basically what
[Granfield] did for work?
A. Yes.
Q. And what was the understanding that you gained?
A. Well, the thing is he has a problem with his elbow.
The thing is he has lateral epicondylitis. So I
then –- most people when they have lateral
epicondylitis, they don't know what they have, one.
Two, they don't know what causes it. So the main
thing is to explain what they have and what causes
it.
So once I went over what it is, then you drive as
an engineer and you're using levers so I explained
to him what is causing it. So it's important for me
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to know what he does. So he has these levers that
he uses and we discussed it.
Q. And the fact that he --
A. Why you explain it to the patient is so they can
avoid doing what aggravates it or do something to
compensate for it.
Dr. Spector referred to the instruments Granfield was
required to operate as "levers." When asked to demonstrate the
motion that caused Granfield's epicondylitis, Dr. Spector
demonstrated a "back and forth" movement of a "lever," which he
maintained caused Granfield to use the dorsal muscles of his
forearm.
Later on, Granfield's counsel asked Dr. Spector to assume
that the throttles and alerter buttons were defective, and that the
throttle was a lever, while the alerter was a button. The
following question was then asked, over CSXT's objection:
Q. ... Doctor, assuming those facts do you have an
opinion within a reasonable degree of medical
certainty whether or not Mr. Granfield's lateral
epicondylitis in his right elbow was caused by
these repetitive movements associated with
manipulating these defective controls?
...
A. I can state with a degree of medical certainty that
what you said is true. That having to increase
these motions because of the defective working of
these levers caused him to have this condition.
Q. Why do you believe that?
A. It's well known that this type of repetitive injury
causes this condition, lateral epicondylitis, and
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by having to do these extra repetitive motions
would have caused this injury.
During his cross-examination, Dr. Spector admitted that
he could not quantify the amount of force nor the number of
repetitions that Granfield had to carry out in order to manipulate
the throttles and alerters.
After Dr. Spector's direct examination concluded, CSXT
moved to have his testimony stricken. CSXT reiterated the lack of
a Daubert hearing, and argued that Dr. Spector failed to testify on
the standards of repetition, force, and posture accepted in the
medical community. The district court denied the Motion.
CSXT again maintained that Dr. Spector's opinions were
inadmissible in its November 17, 2008 Post-Trial Renewed Motion for
Judgment as a Matter of Law. In addition, in its Motion for New
Trial filed on the same day, CSXT also claimed that the jury
should have been instructed by the district court that expert
testimony was necessary to prove causation. The district court
denied both motions.
CSXT now appeals from the district court's denial of its
Motion in Limine to Exclude Plaintiff's Expert, dated August 18,
2008; its Post-Trial Renewed Motion for Judgment as a Matter of
Law; and its Motion for New Trial, both dated November 17, 2008.
CSXT argues that Plaintiff's causation expert, Dr.
Spector, should have been precluded from qualifying as an expert on
the cause of Plaintiff's injuries because Dr. Spector's testimony
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was not based upon sufficient facts or data, and also that it was
not based on reliable scientific methodology. In the alternative,
CSXT contends that Dr. Spector's opinion at trial did not provide
sufficient evidence for a rational jury to find for Plaintiff on
the issue of causation. We disagree.
As to CSXT's first contention, we review a district
court's ruling admitting or excluding expert testimony under the
Federal Rules of Evidence for abuse of discretion, Forrestal v.
Magendantz, 848 F.2d 303, 305 (1st Cir. 1988), giving broad
deference to the determination made by the district court as to the
reliability and relevance of expert testimony. Beaudette v.
Louisville Ladder, Inc., 462 F.3d 22, 25 (1st Cir. 2006) (citing
Gen. Elec. Co. v. Joiner, 522 U.S. 136, 143 (1997)); see also
United States v. 33.92356 Acres Of Land, 585 F.3d 1, 7 (1st Cir.
2009).9 CSXT's second argument requires us to review the denial of
the motion for judgment as a matter of law, which we do de novo.
Butynski v. Springfield Terminal R. Co., 592 F.3d 272, 276 (1st
Cir. 2010).
In Daubert, the Court outlined a flexible, non-exclusive
set of criteria for admitting expert testimony. 509 U.S. 593-95.
9
In its brief in chief, CSXT argued that the proper standard of
review was clear error since CSXT had filed a motion in limine to
exclude Dr. Spector's testimony and the district court denied it
without prejudice. We continue to assert that the proper standard
of review of a denial of admission of expert testimony is abuse of
discretion.
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The Court considered (1) whether a 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; (4) and general acceptance in the relevant
scientific community. Id. at 593-95. "The inquiry envisioned by
Rule 702 is, [the Court] emphasize[d], a flexible one." Id. at 594.
Since Daubert, courts have expanded that criteria to
include, for example, whether the testimony was prepared for the
purpose of the litigation or whether it was something that the
expert did in her ordinary practice. See Johnson v. Manitowoc Boom
Trucks, Inc., 406 F. Supp. 2d 852, 865 (M.D. Tenn. 2005) (noting
that an important factor is whether the expert is testifying about
matters arising naturally and independently of litigation or
whether opinions are developed solely for the purpose of
testifying); Allison v. McGhan Med. Corp., 184 F.3d 1300, 1319-21
(11th Cir. 1999) (affirming trial court's decision to exclude
expert testimony based, in part, on the fact that the expert
created his testimony solely in preparation for trial).
Applying the law to these facts, we first find that CSXT
has failed to clear these hurdles, and that the district court did
not abuse its discretion in admitting Dr. Spector's testimony. Dr.
Spector is an orthopedic surgeon who specializes in repetitive
stress injuries. Dr. Spector regularly diagnoses repetitive stress
injuries, and treats 100 to 150 patients per year for lateral
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epicondylitis. At the time of the trial, Dr. Spector had seen more
than 2,000 cases of epicondylitis.
We agree with the district court that CSXT is "making
something which is relatively simple more complicated." Dr.
Spector testified that repetition causes epicodylitis, and that
more repetition makes it more likely that a patient will develop
lateral epicondylitis. The district court explained:
We have testimony that because of the defect
there was more repetition. Now the jury may
not accept the doctor's testimony on that.
They may believe somebody that says that this
type of repetition can never cause
epicondylitis whether it's a little bit or a
lot, but the essence of the doctor's
testimony, the jury may find, is that he says
this type of movement will cause epicondylitis
and the risk of epicondylitis increases the
more that you have to make that kind of
movement.
CSXT makes much of the fact that Dr. Spector did not rely
on peer-reviewed studies in his causation diagnosis. The mere fact
of publication, or lack thereof, in a peer-reviewed journal is not
a determinative factor in assessing the scientific validity of a
technique or methodology on which an opinion is premised. Daubert,
509 U.S. at 593 ("Publication (which is but one element of peer
review) is not a sine qua non of admissibility . . . .").
CSXT also takes issue with Dr. Spector's method of
analysis, differential diagnosis (a determination of which of two
or more diseases, presenting with similar symptoms, had caused a
patient's ailments). We have previously agreed that a differential
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diagnosis is a proper scientific technique for medical doctor
expert testimony. See Feliciano-Hill v. Principi, 439 F.3d 18, 25
(1st Cir. 2006); see also Bitler v. A.O. Smith Corp., 391 F.3d
1114, 1123 (10th Cir. 2004) (collecting cases holding that
qualified doctor's differential diagnosis of patient was
sufficiently reliable for Rule 702 and Daubert purposes).
Given the above, and the fact that Dr. Spector's opinion
was formed before litigation was contemplated, we find that the
district court did not abuse its discretion in admitting Dr.
Spector as an expert on the issue of causation.
The remainder of CSXT's objections to Dr. Spector, even
while cloaked as objections to his qualifications under Rule 702,
are actually objections about the weight of the evidence. Cf.
McCullock v. H.B. Fuller Co., 61 F.3d 1038, 1044 (2d Cir. 1995)
(holding that "[d]isputes as to the strength of [expert']
credentials, faults in his use of differential etiology as a
methodology, or lack of textual authority for his opinion, go to
the weight, not the admissibility, of his testimony."). Here we
also find that CSXT has failed to satisfy its burden of proving
that Dr. Spector's testimony was insufficient to establish
causation.
This argument properly relates to CSXT's appeals from the
district court's denial of its motion for judgment as a matter of
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law and for a new trial and is thus reviewed, respectively, de novo
and for abuse of discretion.
Dr. Spector testified at trial that the "force [used] is
not the important part. It's the repetition . . . that causes scar
tissue and bilateral epicondylitis and that having to increase
these motions because of the defective working of these levers
caused [Granfield] to have this condition."
CSXT did not present their own expert to rebut Dr.
Spector's testimony, although it has listed one on the witness
list. CSXT also did not offer any medical expert testimony on the
causation issue. Considering the above, we find that a reasonable
jury could have found Dr. Spector presented sufficient evidence to
find that CSXT caused Granfield's injuries.
C. The Roberts Letter
The Brotherhood of Locomotive Engineers ("BLE"), of which
Granfield was a member, collected locomotive work reports, or
"5001B reports," between 2000 and 2006. Engineers were required by
a BLE directive to fill out these reports periodically, annotating
any defects they encountered while operating the locomotives.
William Munger, then local chairman of BLE, was in charge of
collecting the reports. According to the testimony of its General
Chairman, Thomas Roberts, the BLE wanted to perform a
"comprehensive study" on these reports.
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Roberts conducted a review of the reports gathered by
Munger, and subsequently sent a letter to Richard Regan, CSXT's
Chief Mechanical Officer, concerning the condition of the
locomotives. In this letter, dated January 20, 2004, Roberts
stated, inter alia, the following:
This is in reference to a number of CSX
locomotives . . . and their potential danger
to the health of CSX Engineers . . . due to
their degenerated condition.
[B]ill Munger, has made a comprehensive
study of the dangerous disrepair of these
locomotives . . . . [H]is color photo study of
the neglected locomotives is attached . . . .
[H]is efforts have yet to result in a safe
workplace CSX Northern District Engineers in
Framingham.
Thus and therefore, I request immediate
relief from your office to fix or replace
these dangerous locomotives before serious
injury strikes, and irreparable damage is
done.
During Roberts' cross-examination at trial, CSXT
questioned him as to the comprehensiveness of Munger's study. When
Roberts answered that he did not know, CSXT's counsel approached
him and used the above letter to refresh his memory.10
Afterwards, during the redirect examination of Roberts,
Granfield's counsel sought to introduce the letter into evidence.
The district court admitted the letter into evidence, over CSXT's
10
Roberts had previously been precluded from testifying on the
state of the locomotives.
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objection, reasoning that as CSXT used the letter to refresh a
witness' memory, Granfield had the right to offer it into evidence.
During the marshaling of evidence, at the time when the
jury was about to commence its deliberations, the district court
overruled its original admission of the letter. The court struck
the whole letter and determined that it should not be provided to
the jury for its deliberations. The contents of the letter were
not read to the jury, nor were they admitted into evidence.
In its November 17, 2008 Motion for New Trial and
supporting Memorandum of Law, CSXT argued, inter alia, that it was
unfairly prejudiced by the Court's initial admission of the letter.
CSXT now appeals from the denial of this motion by the district
court on February 2, 2009.
i. Standard/Scope of Review
We review a denial of a Motion for a New Trial under an
abuse of discretion standard. Simon v. Navon, 71 F.3d 9, 13 (1st
Cir. 1995). We have sent cases back for a new trial when we have
found the trial court abused its discretion in not granting a new
trial where it had admitted irrelevant and highly prejudicial
damages evidence which tainted the award. Soto Lebrón v. Fed.
Express Corp., 538 F.3d 45 (1st Cir. 2008).
This court's standard for determining whether the
admission of such evidence resulted in harmless error is "whether
we can say 'with fair assurance . . . that the judgment was not
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substantially swayed by the error . . . .'" Stacey Marie Vincent v.
Louis Marx & Co., 874 F.2d 36, 41 (1st Cir. 1989). "The centrality
of the evidence, its prejudicial effect, whether it is cumulative,
the use of the evidence by counsel, and the closeness of the case
are all factors which bear on this determination." Id.
ii. Analysis
Typically, when a party uses a writing to refresh a
witness's memory, the opposing party has the right to offer "those
portions [of the writing] which relate to the testimony of the
witness" into evidence. Fed. R. Evidence 612. Rule 612 also
states that "[i]f it is claimed that the writing contains matters
not related to the subject matter of the testimony the court shall
examine the writing in camera, excise any portions not so related,
and order delivery of the remainder to the party entitled thereto."
Id. Rule 612 has never been construed to require that a writing
used to refresh a witness' recollection must be independently
admissible into evidence. United States v. Shinderman, 515 F.3d 5,
18 (1st Cir. 2008).
Here, the letter impeached by CSXT contained general and
possibly prejudicial language on the state of the locomotives,
mainly that they were in "degenerated condition," "dangerous
disrepair," and presented an unsafe workplace for CSXT engineers.
During cross-examination, CSXT's counsel used the letter to refresh
Robert's recollection as to the "comprehensiveness" of the study
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carried out by Munger. At re-direct, Granfield's counsel
introduced the letter into evidence, over CSXT's objection, and
asked Roberts what the letter said. The district court refused to
allow Roberts to read the letter aloud, reasoning that the jury
would be able to read it on their own later. Granfield's counsel
then asked Roberts four questions relating to the letter. In
response to these questions, Roberts testified that he thought the
locomotives provided a risk of serious injury and had slipped into
a state of disrepair, due to holes being present on the floor,
among other things.
CSXT maintains that the testimony elicited from Roberts
through the use of the letter was highly prejudicial and
substantially swayed the jury. Furthermore, CSXT contends the
letter undermined its efforts to prove it employed reasonable care
in the maintenance of its locomotives.
We ultimately find that this testimony, even assuming its
admission was error, was harmless. Several reasons guide us in
this determination.
First, the letter was never read out loud to the jury, so
any prejudice came from Roberts' testimony on the state of the
locomotives. This testimony, including the phrases "state of
disrepair" and "risk of serious injury," was brief and was
cumulative with the other evidence presented relating to the state
of the locomotives.
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Second, during the re-cross CSXT's counsel was able to
confront Roberts on the contents of the letter. During this
confrontation, Roberts admitted that the Munger study referenced in
the letter only concerned the floors of the locomotives, which were
apparently plagued by holes. Roberts further admitted that nothing
in the letter had any relevancy to the state of the throttles and
alerters, the main issue at trial. At this point, any prejudicial
effect on the jury was neutralized by CSXT's counsel. CSXT's
counsel adequately established that the letter was irrelevant to
the condition of the throttles and alerters and was instead only
relevant to the condition of the floors of the locomotives.11
Finally, the letter never actually reached the jury.
Considering the above, we find that the brief statements by Roberts
as to the contents of the letter was harmless error.
D. Closing Arguments
After the conclusion of closing arguments, CSXT counsel
objected, arguing that Granfield's counsel had twice attacked him
personally and also misstated what the evidence was concerning
other engineers who had developed epicondylitis from operating the
same locomotives Granfield was required to operate.
In particular, CSXT objected to the following statement
made by Granfield's counsel during his closing argument:
11
No evidence was presented at trial and no argument has been
offered that the condition on the locomotives' floor was related to
Granfield's lateral epicondylitis.
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Mr. Flynn is the one who says nobody else got
it. What witness came in and said, "Yeah,
there's been no other claims by other
engineers saying that they have lateral
epicondylitis due to the throttles and
alerters." What witness said that? I didn't
hear that witness. Maybe I wasn't there that
day. I'm pretty sure I was here every day. The
only one who said that was Mr. Flynn. And what
Mr. Flynn says isn't evidence.
CSXT pointed out that John O'Neill, a trainmaster working for CSXT
and one of its witnesses, testified at trial that no engineer,
other than Granfield, had ever complained of developing
epicondylitis as a result of the condition of the throttles and
alerters in the locomotives Granfield was required to operate.12
The district judge heard the objection and decided to
give a general curative instruction to the jury before its general
instructions. The judge stated:
I wanted to remind you that although
the attorneys would not deliberately mislead
you, it may be, as you review your own notes
or the recollection of the testimony, that
there's some inconsistencies or an
inconsistency or two, or whatever, between
what the attorney said in their closings as to
what they thought the evidence showed and what
your recollection of the evidence was. Please
remember to be guided by your own recollection
12
The following exchange took place during O'Neill's direct
examination by CSXT:
Q. Has any engineer, other than Mr. Granfield, ever
complained they have developed tennis elbow as a
result of the condition of throttles or alerters in
the 6200 series locomotives between 2000 and 2006?
A. No.
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of the evidence, your collective recollection,
as you go through your deliberations and that
if there are inconsistencies, of course follow
your own recollections and not follow the
attorneys' representations.
After the trial ended, CSXT again made the argument that
Granfield's counsel's comments were inappropriate and warranted a
new trial in its November 17, 2008 Motion for New Trial. This
time, however, CSXT enumerated a litany of additional statements
made by Granfield's counsel during closing arguments which it
considered also to be improper and warranted a new trial. CSXT
argued that the statements unfairly prejudiced the jury and that
the curative instructions from the district judge were not enough
to overcome their prejudicial effect.
Specifically, CSXT alleged that Granfield's counsel made
improper remarks as he: (1) asked the jury to walk in Granfield's
shoes; (2) misstated facts and evidence presented at trial; (3)
interjected his personal opinions and beliefs regarding the
credibility of witnesses; and (4) interjected emotional,
inflammatory, and prejudicial elements into jury deliberations.
CSXT also argued that the district court's curative instruction was
insufficient to counter the alleged prejudice caused on the jury by
Granfield's counsel's improper remarks.
As stated previously, CSXT's Motion for New Trial was
denied on February 2, 2009, and CSXT now appeals from this
decision.
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i. Standard/Scope of Review
We review the comments timely objected to under an abuse
of discretion standard.13 "Absent an abuse of discretion, we will
defer to the district court's denial of a motion for a new trial on
the basis of improper argument or conduct of counsel." P.R.
Aqueduct & Sewer Auth. v. Constructora Lluch, Inc., 169 F.3d 68,
81-82 (1st Cir. 1999); see also Johnson v. Nat'l Sea Prods., Ltd.,
35 F.3d 626, 631 (1st Cir. 1994).
In assessing the effect of allegedly improper conduct by
counsel, the Court must examine the totality of the circumstances,
including (1) the nature of the comments; (2) their frequency; (3)
their possible relevance to the real issues before the jury; (4)
the manner in which the parties and the court treated the comments;
(5) the strength of the case; and (6) the verdict itself. See
Forrestal, 848 F.2d at 309; see also González Marín v. Equitable
Life Assurance Soc'y, 845 F.2d 1140, 1147 (1st Cir. 1988).
On the other hand, untimely objections, which a party
fails to make immediately after closing arguments, are reviewed for
plain error. Smith v. Kmart Corp., 177 F.3d 19, 25 (1st Cir.
1999). Thus CSXT must establish that (1) an error was committed;
(2) the error was "plain" (i.e. obvious and clear under current
law); (3) the error was prejudicial (i.e. affected substantial
13
Namely, the comment on what the evidence was on other engineers
who had developed epicondylitis from operating the alerters and
throttles on the 6200 series locomotives.
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rights); and (4) review is needed to prevent "a miscarriage of
justice or [if the error has] seriously affected the fairness,
integrity or public reputation of the judicial proceedings."
Coastal Fuels of P.R., Inc. v. Caribbean Petroleum Corp., 79 F.3d
182, 189 (1st Cir. 1996). See also Chute v. Sears Roebuck & Co.,
143 F.3d 629, 631 (1st Cir. 1998); United States v. Bartelho, 129
F.3d 663, 673 (1st Cir. 1997); Cambridge Plating Co., Inc. v.
Napco, Inc., 85 F.3d 752, 767 (1st Cir. 1996) ("Plain error is a
rare species in civil litigation, encompassing only those errors
that reach the pinnacle of fault.") (internal quotations omitted).
ii. Analysis
We begin first by addressing the comment timely objected
to by CSXT. CSXT argues that, during closing argument, Granfield's
counsel misstated what the evidence was concerning other engineers
who had developed epicondylitis, as a result of operating the GP40
6200 series locomotives. CSXT pointed out that one of its
witnesses, O'Neill, had testified that no engineer, other than
Granfield, had complained of developing the injury as a result of
the condition of the throttles and alerters in the 6200 series
locomotives. After CSXT objected to Granfield's counsel's remarks,
Granfield's counsel countered that O'Neill did not possess the
requisite knowledge and information from which to testify on the
amount of engineers, if any, who had complained of developing
lateral epicondylitis.
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The jury heard O'Neil's testimony and even if counsel's
remarks had a tendency to mislead, we believe the brief comments
were sufficiently neutralized by the district judge's curative
instructions. See Hatfield-Bermúdez v. Aldanondo-Rivera, 496 F.3d
51, 64 (1st Cir. 2007).
As to the unobjected-to alleged errors, CSXT contends
that Granfield's counsel made an improper statement when he asked
the jury to walk in Granfield's shoes "for just a couple of hours
while you're thinking about his case." There can be little doubt
that suggesting to the jury that it put itself in the shoes of a
plaintiff is improper. Forrestal, 848 F.2d at 309. The walking in
plaintiff's shoes argument, or as it is sometimes called, the
Golden Rule argument, has been "universally condemned because it
encourages the jury to depart from neutrality and to decide the
case on the basis of personal interest and bias rather than on
evidence." Id. (internal quotations omitted); see also Ivy v. Sec.
Barge Lines, Inc., 585 F.2d 732 (5th Cir. 1978) rev'd en banc on
other grounds, 606 F.2d 524 (5th Cir. 1979) (en banc), cert.
denied, 446 U.S. 956 (1980). Nonetheless, we have never held that
the use of such language is per se reversible error. To the
contrary, we have held that we will engage in a totality of the
circumstances analysis which "[f]irst and foremost [recognizes] the
deference due the district court's judgment." Forrestal, 848 F.2d
at 309.
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Nevertheless, we believe that these sorts of remarks by
were adequately dealt with by the district judge's instructions,
and conclude that no plain error occurred. See Forrestal, 848 F.2d
at 310; see also Blevins v. Cessna Aircraft Co., 728 F.2d 1576
(10th Cir. 1984).
Second, CSXT objects to several statements made by
Granfield's counsel during closing argument, arguing that such
statements misstated the facts and evidence presented at trial.
Two examples of these statements are: (1) "the plaintiff had no
ability to take a locomotive out of service;" and (2) "Mr.
Granfield, this is his only opportunity to get compensation in this
case for his injuries."
As to the first statement, federal regulations require
that a locomotive engineer take the locomotive out of service if it
is unsafe. The second statement, according to CSXT, ignored the
fact that Granfield was then receiving $38,000 a year in Railroad
Retirement Board Benefits. Again, we believe that individually and
cumulatively, the statements cited failed to raise to the level of
plain error.
The same can be said for the other statements CSXT is
objecting to: the statements attacking the credibility of CSXT's
witnesses and the remarks allegedly interjecting "emotional,
inflammatory and prejudicial elements" into jury deliberations.
The district judge properly dealt with these by instructing the
-36-
jury to only consider the evidence, and not be swayed by emotions
or sympathy. Thus, no plain error was committed.14
For the reasons stated above, we affirm the judgment.
Affirmed.
14
CSXT also requests that we enter judgment in its favor, or in
the alternative order a new trial, based on the cumulative error
doctrine outlined in United States v. Sepúlveda, 15 F.3d 1161,
1195-96 (1st Cir. 1993). Given that we have found the district
court committed no errors, we decline to do so.
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