Coyante v. PR Ports Authority ( 1997 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 95-2050

    ROSSY COYANTE,

    Plaintiff - Appellant,

    v.

    PUERTO RICO PORTS AUTHORITY, ET AL.,

    Defendants - Appellees.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF PUERTO RICO

    [Hon. Juan M. P rez-Gim nez, U.S. District Judge] ___________________

    ____________________

    Before

    Coffin and Campbell, Senior Circuit Judges, _____________________

    and DiClerico, Jr.,* District Judge. ______________

    _____________________

    Antonio Jim nez-Miranda for appellant. _______________________
    Raymond P. Burgos, with whom Pinto-Lugo & Rivera was on __________________ _____________________
    brief for appellee Puerto Rico Ports Authority; Roberto M rquez- _________________
    S nchez with whom Law Offices of Benjam n Acosta, Jr. was on _______ _____________________________________
    brief for appellee Mangual Maintenance Services, Inc.



    ____________________

    January 23, 1997
    ____________________



    ____________________

    * Of the District of New Hampshire, sitting by designation.












    DICLERICO, Chief District Judge. The plaintiff, Rossy DICLERICO, Chief District Judge. ____________________

    Coyante, filed a complaint against the defendants, Puerto Rico

    Ports Authority ( Ports Authority ) and Mangual Maintenance

    Services, Inc. ( Mangual ), seeking damages she claims to have

    suffered as a result of slipping and falling on certain premises

    allegedly owned or controlled by the defendants. Following nine

    days of testimony at trial, the plaintiff rested and the

    defendants moved for judgment as a matter of law under Fed. R.

    Civ. P. 50(a) asserting that the plaintiff had produced no

    evidence to establish that the defendants owned or controlled the

    area where the plaintiff slipped and fell. The district court

    agreed with the defendants and, finding that ownership and

    control were necessary elements of the plaintiff s case, entered

    a judgment against her. In this appeal, the plaintiff challenges

    the district court s ruling on the defendants motion under Fed.

    R. Civ. P. 50(a) and several other rulings made during the course

    of the litigation. For the reasons expressed below, we affirm

    the district court s judgment.



    Factual and Procedural Background Factual and Procedural Background _________________________________

    On July 24, 1990, the plaintiff slipped and fell,

    suffering personal injury after disembarking from an

    international flight at the Luis Mu oz Mar n International

    Airport in San Juan, Puerto Rico. On January 3, 1991, she filed






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    suit against the defendants, Ports Authority and Mangual,1 for

    negligently failing to make safe a dangerous condition about

    which they knew or should have known.2 The plaintiff claimed she

    suffered damages arising not only from the accident itself, but

    also from the pain she suffered and medical expenses she incurred

    when she became addicted to and went through withdrawal from

    prescription medications she was taking because of the accident.

    On March 30, 1993, the district court, after resolving

    an initial challenge to its jurisdiction, granted the plaintiff

    leave to amend her complaint and ordered the defendants to answer

    the amended complaint on or before April 12, 1993. On March

    31, 1993, the plaintiff resubmitted her amended complaint (first

    submitted on February 25, 1992) but the defendants did not answer

    by April 12 as required by the court s order. However, the

    plaintiff did not bring this failure to the court s attention

    until more than two years later.

    On December 16, 1993, the district court issued a

    pretrial conference report requiring the parties to submit a list

    of uncontested facts. The parties agreed to a Joint Statement

    of Uncontested Material Facts to Supplement Pretrial Order

    ( joint statement ) on December 17, 1993. The plaintiff attaches

    ____________________

    1 Mangual is a janitorial company with which the Ports Authority
    has contracted.

    2 Coyante brought a separate action asserting similar claims
    against L nea Aeropostal Venezolana, the airline on which she had
    traveled. On June 22, 1992, the two cases were consolidated. On
    January 25, 1994, the plaintiff and the airline settled their
    dispute, leaving as defendants only Ports Authority and Mangual.

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    particular significance to the following provisions of the joint

    statement:

    7. On July 24, 1990, co-defendant Mangual
    provided janitorial services at the Luis
    Mu oz Mar n International Airport pursuant to
    a contract with the Puerto Rico Ports
    Authority.

    8. On July 24, 1990, the Puerto Rico Ports
    Authority owned and operated the Luis Mu oz
    Mar n International Airport.

    However, the plaintiff alleges that she did not know of the

    existence of this document until after she filed her appeal.

    On February 9, 1994, the plaintiff attempted to

    supplement her list of expert witnesses with a loss-of-income

    expert.3 On June 9, 1995, the court denied her request to

    include this expert as a witness without articulating the reasons

    for its denial.

    On December 12, 1994, the court entered a scheduling

    order requiring discovery to be concluded by April 20, 1995. On

    February 22, 1995, the plaintiff fired her counsel and, on

    February 27, 1995, filed a pro se motion so informing the court.

    On March 16, 1995, the court held a status conference. At that

    conference, the court granted a motion filed by the plaintiff s

    counsel to withdraw from the case and for scheduling purposes

    asked counsel whether further discovery was pending at that time.



    ____________________

    3 The plaintiff also attempted to add other witnesses who would
    have bolstered her case on the issue of damages. We focus on the
    district court s ruling on the loss-of-income expert because the
    issues involved are identical.

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    Counsel informed the court that no further discovery was pending,

    and the court let stand its April 20, 1995, discovery deadline.

    On March 23, 1995, current counsel appeared on the

    plaintiff s behalf.4 The file he received from prior counsel was

    reportedly in disarray and reflected that the plaintiff had

    undertaken no discovery of the defendants. On April 19, 1995,

    one day before the deadline set for discovery to be completed,

    the plaintiff moved to extend the discovery deadline and take a

    deposition. This motion was denied by the court on May 24, 1995.

    On June 9, 1995, the plaintiff moved to supplement the

    pretrial order issued on December 17, 1993, to reflect subsequent

    changes in her case. The same day, the court held a pretrial

    conference and ruled that it would use without amendment the

    December 17, 1993, pretrial order, that the plaintiff s loss-of-

    income expert would not be allowed to testify, and that no

    further discovery would be allowed.

    In July 1995, after four and one-half years, trial

    appeared imminent. However, three days before trial the

    plaintiff submitted a motion requesting that default be entered

    against the defendants for their failure to answer her amended

    complaint. The district court did not rule on this motion until

    August 3, 1995, after the conclusion of the trial, at which time

    it declared the motion moot.
    ____________________

    4 The plaintiff s counsel at trial and on appeal was the seventh
    lawyer to appear for her in this litigation, not counting her
    brief pro se appearance. Prior lawyers were fired or left the
    plaintiff s employ for such reasons as irreconcilable
    differences and loss of confidence.

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    At trial, the plaintiff s case focused almost

    exclusively on her damages resulting from the fall. Beyond her

    own testimony, she produced only one occurrence witness, Mirta

    Silva, to describe the scene of the accident. The two witnesses

    provided a detailed description both of the scene of the accident

    and of how the accident occurred.5 However, neither Silva nor

    the plaintiff identified specifically where within the airport

    the accident occurred. There was no testimony about what gate

    the flight used, which hallway the passengers traveled, or where

    customs was located. No testimony specifically identified the

    location of the accident within the larger context of the

    airport.6 No testimony connected either defendant to the

    location where the accident occurred or established what duty, if

    any, the defendants owed to the plaintiff to make the location

    safe. In fact, at trial the plaintiff made little mention of

    defendant Ports Authority and produced no testimony at all

    mentioning defendant Mangual.

    At the close of the plaintiff s nine-day case, the

    defendants moved for judgment as a matter of law under Fed. R.

    Civ. P. 50(a), alleging that the plaintiff had not presented any
    ____________________

    5 The accident occurred in a hallway which connected the area
    where the passengers left the airplane with an adjoining customs
    area. A pool of water, which apparently formed due to a crack in
    the ceiling, covered almost the entire width of the hallway in
    front of the door to customs. The plaintiff fell while
    attempting to traverse the pool.

    6 For example, an employee connected with the airport prepared a
    report about the accident shortly after it happened that was
    presented at trial but the report failed to specify the location
    of the accident.

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    evidence from which it could be found that the defendants were in

    control of and responsible for maintaining the location where the

    accident occurred. The district court granted the motion.

    On September 1, 1995, the plaintiff filed a notice of

    appeal from the district court s Rule 50(a) decision. In

    connection with her appeal, the plaintiff requested a copy of the

    file from the district court clerk and upon inspection of the

    file allegedly discovered for the first time the joint statement.

    The plaintiff had not mentioned the joint statement during the

    presentation of evidence in her case or when opposing the

    defendants Rule 50(a) motion.



    Discussion Discussion __________

    The plaintiff on appeal has assigned as error a number

    of decisions by the district court during the course of this

    litigation.

    A. Rule 50(a) Decision A. Rule 50(a) Decision _______________________

    The plaintiff contends that the district court

    improperly dismissed her case under Fed. R. Civ. P. Rule 50(a).

    Rule 50(a)(1) states:

    If during a trial by jury a party has been
    fully heard on an issue and there is no
    legally sufficient evidentiary basis for a
    reasonable jury to find for that party on
    that issue, the court may determine the issue
    against that party and may grant a motion for
    judgment as a matter of law against that
    party with respect to a claim or defense that
    cannot under the controlling law be
    maintained or defeated without a favorable
    finding on that issue.


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    We review the grant of a Rule 50(a) motion de novo. Katz v. City _______ ____ ____

    Metal Co., 87 F.3d 26, 28 (1st Cir. 1996); Andrade v. Jamestown __________ _______ _________

    Hous. Auth., 82 F.3d 1179, 1186 (1st Cir. 1996). In doing so, we ___________

    use the same standards as the district court, considering all the

    evidence and inferences reasonably to be drawn from it in the

    light most favorable to the non-movant. Katz, 87 F.3d at 28; ____

    Andrade, 82 F.3d at 1186. However, [t]o warrant submission of _______

    an issue to the jury, the plaintiff must present more than a

    mere scintilla of evidence and may not rely on conjecture or

    speculation. Katz, 87 F.3d at 28 (quoting Richmond Steel, Inc. ____ ____________________

    v. Puerto Rican American Ins. Co., 954 F.2d 19, 22 (1st Cir. ________________________________

    1992)).

    The plaintiff s attack on the trial court s decision to

    enter judgment against her as a matter of law centers on two

    factors that she claims bolster the minimal evidence she

    presented: the joint statement and the knowledge of the jurors.

    According to the plaintiff, either factor, when combined with the

    testimony about the location of the accident, was sufficient to

    allow the jurors to make an inference in her favor as to the

    ownership and control of the area.

    1. The Joint Statement 1. The Joint Statement _______________________

    The plaintiff argues that the joint statement should

    have been considered as part of her case, and contends that it

    was sufficient to establish that Ports Authority owned and

    Mangual maintained the area of the airport where the accident

    occurred. However, the plaintiff s argument suffers from a fatal


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    defect, namely, the joint statement was never introduced into

    evidence.7 It is a basic tenet of trial procedure that a

    stipulation concerning uncontested facts must be introduced into

    evidence by the party who intends to rely on it in order for

    those facts to be considered by the trier of fact, whether it be

    jury or judge. Contrary to the plaintiff s assertion, it was her

    responsibility, and not the court s or the defendants , to ensure

    that the joint statement was introduced into evidence. As we

    have explained,

    in our adversary system of justice it is the
    parties responsibility to marshal evidence
    and prove their points. Litigants cannot
    expect the court to do their homework for
    them. [Citations omitted].

    Ondine Shipping Corp. v. Cataldo, 24 F.3d 353, 356-57 (1st Cir. _____________________ _______

    1994). The plaintiff, for whatever reason having failed to

    introduce the joint statement into evidence, cannot now avoid the

    consequences of her inaction by claiming the court or the

    defendants had the responsibility to introduce it.8
    ____________________

    7 Even if the plaintiff had introduced the joint statement into
    evidence, it is by no means a foregone conclusion that it would
    have sufficiently cured the deficiency in her evidence to
    withstand the Rule 50(a) motion. We need not confront this
    issue, however, because the plaintiff never introduced the joint
    statement into evidence.

    8 The plaintiff has also offered two other related theories
    concerning the effect of the joint statement. First, she claims
    that the agreement that produced the joint statement should have
    barred the defendants from moving for judgment as a matter of law
    on the issues of ownership and control. She further asserts that
    the joint statement functioned as a contract between the parties,
    one of the implied terms of which was the defendants promise not
    to contest ownership and control, and that breach of this
    agreement requires reversal. As the plaintiff has produced
    neither legal authority nor well-reasoned arguments for these

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    2. The Jury s Experience 2. The Jury s Experience _________________________

    The plaintiff next contends that she produced enough

    evidence at trial to allow the jurors to infer, based on their

    own experience, that defendant Ports Authority owned and

    controlled the area of the airport where the accident took

    place.9 The trial judge, the plaintiff maintains, impermissibly

    substituted his judgment for that of the trier of fact by

    removing this decision from the jury.

    This case clearly does not present a situation where

    the jury could rely on its general knowledge and experience to

    determine something as specific as the location and control of

    the area where the plaintiff fell. It would be pure speculation

    to assume what, if any, knowledge the members of the jury

    possessed concerning these specific issues. Although the

    plaintiff correctly notes that she is entitled to all reasonable

    inferences in her favor, tenuous conclusions extrapolated from

    conjectural knowledge attributed to jurors cannot substitute for

    evidence tested by the adversary process. As we have said, [t]o

    warrant submission of an issue to the jury, the plaintiff must

    present more than a mere scintilla of evidence and may not rely

    on conjecture or speculation. Katz, 87 F.3d at 28 (quoting ____

    ____________________

    propositions, we decline to find that either one is viable under
    the facts of this case.

    9 At oral argument, the plaintiff conceded that defendant
    Mangual s liability could be established only by the joint
    statement, and not by the jurors experience and knowledge,
    because the plaintiff produced no evidence at trial that referred
    to Mangual.

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    Richmond Steel, Inc. v. Puerto Rican American Ins. Co., 954 F.2d _____________________ ______________________________

    19, 22 (1st Cir. 1992)). Speculation about what the jurors might

    have inferred based on their personal knowledge of airports

    cannot and does not save the plaintiff s case.



    3. Other Evidence from which an Inference of Ownership or 3. Other Evidence from which an Inference of Ownership or ___________________________________________________________
    Control Might Arise Control Might Arise ___________________

    We next review de novo the record upon which the ________

    plaintiff rested her case for any evidence that might raise a

    reasonable inference that Ports Authority owned and Mangual

    maintained the area where the accident occurred. A thorough

    search of the appellate record reveals no evidence more helpful

    to the plaintiff than that considered, and rejected as

    inadequate, by the district court.

    The trial judge made the following statement after

    considering the Rule 50(a) motion:

    I cannot take judicial notice of a place
    that I don t even know which is the place.
    We cannot, by any stretch of the imagination,
    and even viewing the evidence in the light
    most favorable to the [plaintiff], reach a
    reasonable conclusion . . . that the place
    where she fell, which we don t know where it
    is, we don t know which gate, we don t know
    which area of the airport, was under the
    control of the Ports Authority . . . .

    Our independent evaluation of the paucity of evidence the

    plaintiff managed to produce on this point after nine days of

    trial draws us inexorably to the same conclusion -- the evidence

    produced by the plaintiff was insufficient to withstand judgment

    for the defendants as a matter of law.


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    We conclude that the district court properly granted

    the defendants Rule 50(a) motion. The plaintiff had ample

    opportunity at trial to produce evidence from which the location

    of the accident and the ownership and control of that location

    could be determined, but she failed to do so.



    B. Pre- and Post-Trial Rulings B. Pre- and Post-Trial Rulings _______________________________

    The plaintiff next challenges several pre- and post-

    trial rulings by the district court.

    1. Discovery 1. Discovery _____________

    The plaintiff asserts that the district court erred in

    prematurely ordering that discovery be concluded when it failed

    to extend the discovery deadline. She argues that the district

    court improperly decided that no further discovery was needed

    based on a conference in which an attorney previously dismissed

    by the plaintiff purported to act as her counsel. We review the

    district court s decision refusing to extend the discovery

    deadline for abuse of discretion. Mulero-Rodr guez v. Ponte, ________________ ______

    Inc., 98 F.3d 670, 679 (1st Cir. 1996). ____

    The persuasiveness of the plaintiff s argument is

    undercut by its lack of supporting legal authority. In fact, the

    relevant extant authority runs contrary to the plaintiff s

    position. As we have noted, courts have discretion

    under the inherent power necessarily vested
    in [them] to manage their own affairs so as
    to achieve the orderly and expeditious
    disposition of cases.



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    Luis C. Forteza & Hijos, Inc. v. Mills, 534 F.2d 415, 418 (1st ______________________________ _____

    Cir. 1976) (quoting Link v. Wabash, 370 U.S. 626, 630-31 (1962)). ____ ______



    The minutes of the March 16, 1995, status conference

    indicate that the trial judge did not abuse his discretion in

    conducting the conference. At that conference the trial judge

    properly recognized the plaintiff s former counsel for the

    limited purpose of granting him permission to withdraw from the

    case and at the same time made an appropriate inquiry of him as

    to the status of any pending discovery. Counsel indicated that

    no discovery was pending. The trial judge s decision not to

    extend discovery at that time based on counsel s response was an

    appropriate exercise of his case management authority given the

    fact that the case had been languishing on the district court

    docket for more than four years and there had been ample time for

    discovery to be completed. There was still an opportunity for

    the plaintiff s successor counsel to attempt in a timely fashion

    to have the deadline extended. However, he waited for one month

    after appearing in this case to request an extension, and that

    request was filed on the day before the existing deadline for

    discovery. The trial judge had provided ample time for

    discovery, and the plaintiff s failure to take advantage of that

    opportunity, whether attributable to her personally or to her

    attorneys, does not provide an adequate basis for us now to

    second-guess the trial judge s determination that, after four

    years, the time to conclude discovery had come.


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    2. Entry of Default 2. Entry of Default ____________________

    The plaintiff also asserts that the district court

    should have entered a default against the defendants for their

    failure to answer her amended complaint rather than allowing the

    motion to become moot. As we have noted, [a] default judgment

    is itself a drastic sanction that should be employed only in an

    extreme situation. Forteza, 534 F.2d at 419; cf. Anderson v. _______ ___ ________

    Beatrice Foods Co., 900 F.2d 388, 396 (1st Cir.) (discovery ___________________

    abuse, while sanctionable, does not require as a matter of law

    imposition of most severe sanctions available), cert. denied, ____________

    498 U.S. 891 (1990). The facts of this case do not present an

    extreme situation justifying the entry of default.

    It is certainly not without significance that the

    plaintiff took no action in response to the defendants failure

    to answer until more than two years after the deadline had

    passed. In addition, the defendants had already answered the

    plaintiff s initial complaint and the amended complaint did not

    materially alter the plaintiff s theory of the case. There is

    nothing in the record to suggest that the district court s

    failure to enter a default judgment under these circumstances was

    an abuse of discretion. In another context, we have endorsed the

    authority of district courts to impose less than the most extreme

    sanction available. See Anderson, 900 F.2d at 396 (discovery ___ ________

    abuse). We will not upset the district court s decision, which

    rested within its sound discretion, not to enter a default

    judgment against the defendants.


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    3. Exclusion of Plaintiff s Expert Witness 3. Exclusion of Plaintiff s Expert Witness ___________________________________________

    The plaintiff next argues that the district court

    improperly barred her from amending her pretrial submissions to

    include her loss-of-income expert. She argues that allowing her

    loss-of-income expert to testify would have created no surprise

    or prejudice to the defendants because he was known to them and

    that excluding him deprived the plaintiff of her right to present

    those facts to the jury.

    We need not reach the merits of this argument. Since

    the plaintiff failed to establish the defendants liability, the

    district court s ruling on this matter did not affect the outcome

    of the case.

    4. Costs and Expenses 4. Costs and Expenses ______________________

    Finally, the plaintiff seeks the costs and expenses

    she incurred at trial. Since the plaintiff did not prevail at

    trial and has provided neither justification nor legal authority

    to support her claim that she is entitled to costs and expenses

    as a non-prevailing party, we find no abuse of discretion in the

    trial court s decision not to award her any costs or expenses.



    Conclusion Conclusion __________

    For the reasons stated above, the judgment of the

    district court is affirmed. Costs are awarded to the defendants. affirmed ________








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