Sacramona v. Bridgestone ( 1997 )


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    UNITED STATES COURT OF APPEALS
    FOR THE FIRST CIRCUIT
    ____________________

    No. 96-1345

    ROBERT J. SACRAMONA,

    Plaintiff, Appellant,

    v.

    BRIDGESTONE/FIRESTONE, INC.,
    and THE BUDD COMPANY,

    Defendants, Appellees.

    ____________________

    APPEAL FROM THE UNITED STATES DISTRICT COURT

    FOR THE DISTRICT OF MASSACHUSETTS

    [Hon. Nathaniel M. Gorton, U.S. District Judge] ___________________

    ____________________

    Before

    Selya, Circuit Judge, _____________

    Aldrich, Senior Circuit Judge, ____________________

    and Boudin, Circuit Judge. _____________

    ____________________

    Michael K. Gillis with whom Gillis & Bikofsky, P.C. was on briefs __________________ _______________________
    for appellant.
    Francis H. Fox with whom John R. Skelton and Bingham, Dana & _______________ _________________ ________________
    Gould LLP were on brief for appellee Bridgestone/Firestone, Inc. _________
    Edward M. Kay with whom Michael W. Duffy, P. Scott Ritchie, ______________ __________________ __________________
    Clausen Miller, P.C., Robert M. Spence, Assistant General Counsel, _____________________ _________________
    Mark R. Karsner and Karsner & Meehan, P.C. were on brief for appellee _______________ _______________________
    The Budd Company.

    ________________

    February 13, 1997
    ________________

















    BOUDIN, Circuit Judge. Robert Sacramona, the plaintiff _____________

    in this diversity action, appeals from the district court's

    grant of summary judgment against him. His claims arose from

    an accident that occurred when Sacramona sought to mount and

    inflate a tire manufactured by defendant

    Bridgestone/Firestone, Inc. on a wheel manufactured by

    defendant, The Budd Company. The appeal is essentially a

    challenge to the district court's rulings on the destruction

    or loss of evidence and resulting prejudice to the

    defendants.

    The facts are as follows. On May 4, 1988, a customer

    drove his van into the Economy Mobil gas station for repair

    of a leaking tire. Sacramona, the station's new manager,

    removed the tire and decided to replace rather than repair

    it. Because the station did not have an appropriate new

    tire, Sacramona selected a used, 16-inch tire from a rack of

    tires at the station as a temporary replacement, intending

    later to get a new tire for the customer.

    The replacement tire bore warnings that it was to be

    used only with a 16-inch wheel. Sacramona later admitted

    that he did not check the diameter of the wheel rim; he said

    that he chose a 16-inch tire because the tire that he removed

    was also 16 inches. But the replacement tire apparently did

    not fit the wheel, which Sacramona now says was 16-1/2

    inches. After Sacramona struggled to mount the tire--using a



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    tire mounting machine and lubricant, striking the tire with a

    hammer, and bouncing it on the ground--the tire allegedly

    exploded as he again attempted to inflate it, causing him

    numerous injuries.

    Sacramona was taken to the hospital by ambulance.

    Another service station employee put the damaged replacement

    tire on the wheel without inflating it, and the customer

    drove back home very slowly on the uninflated tire. The

    customer subsequently had the wheel and damaged tire removed

    from his van and left them unprotected in his outdoor yard.

    In August 1988, Sacramona's attorney obtained the tire and

    wheel.

    Around February 1, 1989, the attorney gave both the tire

    and wheel to an expert consulting engineer, Dyer Carroll, who

    examined them and then sent them to Sacramona's liability

    expert, Dr. Alan Milner, on September 30, 1991. In the

    meantime, on May 3, 1991, Sacramona filed his complaint in

    this case, one day before the three-year statute of

    limitations expired, asserting tort and warranty claims. His

    is theory is this: that the automotive industry knew that

    there was a risk of harm from mismatching tires and wheels,

    and that the wheel, tire, or both could have been designed--

    over and above the warnings on the tire--to reduce the risk

    that such a dangerous mismatch would occur.





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    By the time of the lawsuit, the Mobil station had been

    sold and many of its contents were gone, including the

    original leaking tire, the mounting machine, and various

    safety or equipment manuals and documents. In addition,

    during his deposition, Milner said that the wheel had

    undergone a "somewhat destructive" examination and that he

    understood from Sacramona's lawyer that Carroll had conducted

    an extensive cleaning of the wheel. It was thus impossible

    to check for markings on the inside of the wheel that might

    have revealed whether (as Sacramona claimed) the original

    leaking tire had been a 16-inch tire mismatched with a 16-

    1/2-inch wheel.

    After discovery, the defendants moved for summary

    judgment on several grounds, asserting inter alia that ___________

    critical evidence had been destroyed in the cleaning of the

    wheel. In opposition, Sacramona attached a brief affidavit

    from Carroll denying that he had destroyed such evidence.1

    The district court ruled that evidence of the wheel should be

    excluded, finding that defendants' "experts have been

    deprived of the opportunity to examine relevant, possibly

    dispositive evidence before its material alteration." The




    ____________________

    1Carroll's own deposition testimony, apparently not
    called to the district court's attention at this stage,
    revealed that Carroll's son had assisted in the cleaning but
    denied that anyone had destroyed evidence.

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    trial judge treated the wheel's exclusion as fatal to both

    the negligence and warranty claims.

    The district court also granted summary judgment to the

    defendants on Sacramona's warranty claims on an independent

    ground. Sacramona had not notified Firestone of his claims

    until three years after the accident; and Budd did not get

    notice for three more months (service of the complaint having

    been delayed). The district court ruled that the defendants

    had been prejudiced by this delay because evidence had been

    lost, and that the warranty claims were therefore barred by

    Mass. Gen. Laws ch. 106, 2-318.

    Sacramona has now appealed, challenging both rulings:

    the dismissal of both claims because of damage to the wheel

    and the dismissal of the warranty claim for prejudicial

    delay. We address each asserted error in turn, applying the

    standard of review fitting the specific issue. Broadly

    speaking, propositions of law are examined de novo, findings _______

    of fact are reviewed under the clear error standard, and most

    remaining issues (e.g., applying multiple factors to known ____

    facts) are tested for "abuse of discretion." See generally _____________

    United States v. Wilson, 798 F.2d 509, 512 (1st Cir. 1986). _____________ ______

    1. Under settled authority, the district court has

    inherent power to exclude evidence that has been improperly

    altered or damaged by a party where necessary to prevent the

    non-offending side from suffering unfair prejudice. Unigard _______



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    Sec. Ins. Co. v. Lakewood Eng'g & Mfg. Corp., 982 F.2d 363, ______________ ____________________________

    368 (9th Cir. 1992); Headley v. Chrysler Motor Corp., 141 _______ _____________________

    F.R.D. 362, 365 & n.13 (D. Mass. 1991). Although deterrence

    may play a role, the primary aim is remedial, at least absent

    willful destruction. This power is a companion to, but

    somewhat different in effect from, the doctrine that permits

    an adverse inference from one side's destruction of evidence.

    22 C. Wright & K. Graham, Federal Practice and Procedure: ________________________________

    Evidence 5178, at 153-59 (1978). ________

    Sacramona's first argument against the exclusion of the

    wheel on grounds of prejudicial damage is that the district

    court "did not weigh the evidence in the light most favorable

    to the non-moving plaintiff" and therefore the issue had to

    be submitted to the jury. Sacramona says that a factual

    dispute exists as to whether any such damage occurred,

    "particularly in light of the sworn deposition testimony of

    Dyer E. Carroll, . . . who stated that he never scraped any

    evidence from the wheel or cleaned it with any abrasive

    material."

    The request for a jury rests on a misunderstanding. It

    is familiar law that the district judge decides most

    preliminary factual issues that arise in determining the

    admissibility of evidence. Fed. R. Evid. 104(a). The main

    exception is that under Fed. R. Evid. 104(b), issues of

    conditional relevance are normally submitted to the jury.



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    Sacramona invokes the latter rule, arguing that the issue

    whether the wheel had been damaged was an issue of

    conditional relevance that should have been submitted to the

    jury.

    The district court said that the wheel was being

    excluded, in the alternative, both as a sanction for damage

    to it and because the damage made the wheel irrelevant. But

    in fact the alleged damage to the wheel's inner surface

    merely prevented one possible use of the wheel--to show that

    the original tire was or was not 16 inches. The wheel, or

    testimony about it, remained relevant to prove whether the

    wheel itself was 16-1/2 inches, which was one critical

    premise of Sacramona's mismatch theory. Thus, the only basis

    for exclusion of the wheel was prejudicial damage, an issue

    that Rule 104(a) reserves to the trial judge.

    There is more force to Sacramona's claim that the

    district court may have erred in deciding that Carroll had

    cleaned the wheel. In moving for summary judgment, the

    defendants relied upon several different admissions by Milner

    in his deposition, adding up to the following: that the

    inside of the wheel had been cleaned, removing the

    possibility of recovering useful evidence; that Sacramona's

    counsel had identified Carroll as the source of the cleaning;

    and that Milner had sought to obtain photographs of the wheel

    prior to cleaning but none had been taken by Carroll.



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    In opposition, Sacramona countered with a brief

    affidavit of Carroll that he had not cleaned any substantial

    portion of the inside of the wheel. Sacramona argued on this

    basis (mistakenly) that the issue was one for the jury. But

    in any event the affidavit was not much of an answer: Milner

    said that the inside of the wheel had been cleaned; and

    whether or not Carroll had done it, the wheel had admittedly

    been in the custody of the plaintiff's counsel or one of his

    experts since it was recovered from the customer's backyard.

    It is thus not entirely surprising that the district

    court ruled that the plaintiff was responsible for the

    damage. At this point, Sacramona offered new evidence: on

    his motion for reconsideration, a new affidavit was filed by

    Milner, saying that he had been misunderstood and had not

    testified that the inside of the wheel had been cleaned.

    Sacramona's counsel also filed an affidavit, which generously

    could be read to assert that his law firm had given the wheel

    to Carroll and retrieved it unaltered.

    But Milner's affidavit did not squarely dispute that the

    wheel had been cleaned; and in denying that Carroll had done

    the cleaning, the Milner affidavit squarely contradicted his

    own prior deposition without explanation. As for counsel's

    affidavit, it made no effort to deny or explain Milner's

    deposition testimony that counsel had told Milner that _______

    Carroll had cleaned the wheel. Taking the matter on the



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    deposition testimony and affidavits, we are not prepared to

    rule that the district court's finding of damage by plaintiff

    was clear error.

    In our view, it would have been sounder to hold an

    evidentiary hearing on the issue of damage and responsibility

    for it, at least when on reconsideration it became clear that

    the issue was murky. If at this stage Sacramona had squarely

    requested such a hearing, it might well have been an abuse of

    discretion to deny it. See General Contracting & Trading Co. ___ _________________________________

    v. Interpole, Inc., 899 F.2d 109, 115 (1st Cir. 1990). But _______________

    there is no single mode of resolving factual disputes under

    Rule 104(a), and we will not ordinarily reverse on a

    procedural objection never made. Aoude v. Mobil Oil Corp., _____ _______________

    892 F.2d 1115, 1120 (1st Cir. 1989).

    Sacramona's next argument is that if there was

    destruction, it was not done in bad faith. Certainly bad

    faith is a proper and important consideration in deciding

    whether and how to sanction conduct resulting in the

    destruction of evidence. But bad faith is not essential. If

    such evidence is mishandled through carelessness, and the

    other side is prejudiced, we think that the district court is

    entitled to consider imposing sanctions, including exclusion

    of the evidence. See Nation-Wide Check Corp., Inc. v. Forest ___ _____________________________ ______

    Hills Distrib., Inc., 692 F.2d 214, 219 (1st Cir. 1982); _____________________





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    Unigard, 982 F.2d at 368 n.2; Headley, 141 F.R.D. at 365 & _______ _______

    nn. 13-14.

    Less need be said about Sacramona's further claim that

    any evidence lost from damage to the wheel was evidence that

    could only have favored the plaintiff. Yes, if the wheel had

    been undamaged, it might have helped Sacramona by showing

    marks indicating that the original leaking tire had been 16

    inches. But the absence of such marks, had the tire not been

    cleaned, would have helped the defendants by suggesting the

    opposite. Plainly, this is not a case in which we can say

    that the lost evidence could only have helped Sacramona.

    2. Sacramona's final argument addressed to the sanction

    presents a quite different and more troubling concern. In

    Sacramona's petition for reconsideration, he argued (among

    many other points) that a proportionate sanction for damage

    to the wheel would merely prevent Sacramona from arguing that

    the original tire was 16 inches. He also asserted that his

    design defect claim remained viable, even if no 16-inch tire

    had been on the wheel when it was brought into the service

    station.

    The defendants' response in the district court, renewed

    on appeal, is that Sacramona's theory of design defect

    depends on a showing that the injury in this case resulted

    from an attempt to place a 16-inch tire on a 16-1/2-inch

    wheel. And, say the defendants, the exclusion of the wheel



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    (as a sanction for damaging the evidence) also should prevent

    any proof that the wheel was 16-1/2 inches. In the district

    court's own words at the time of its original ruling:

    As a result of this exclusion [of the wheel],
    plaintiff will be unable to produce any evidence or
    testimony that a 16.5 inch wheel was involved in
    the accident or that it was defective. Because
    Sacramona's claim is premised entirely upon his
    unprovable allegation that a 16-inch tire was in
    dynamic service with a 16.5-inch wheel, there is no
    genuine issue of material fact to support
    Sacramona's allegations and, consequently,
    defendants are entitled to summary judgment.

    The problem with this reasoning, as we see it, is that

    it gives the defendants a sanction that goes well beyond what

    is necessary to cure the prejudice. Accepting the district

    court's finding of damage by plaintiffs to the interior

    surface of the wheel, the defendants were prejudicially

    hindered in rebutting Sacramona's claim that he had removed a

    16-inch tire from the wheel. A commensurate sanction might

    have included an order barring Sacramona from claiming that

    the original tire was 16 inches.

    But neither the district court nor the defendants

    explain why any broader sanction was needed to undo the harm

    caused by the wheel's cleaning. In fact, one defendant

    apparently urged the more limited sanction--precluding

    Sacramona's claim that the original tire was 16 inches--as an

    alternative to dismissal. And there is no finding that the

    damage was willfully intended to deprive the defendants of




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    helpful evidence, arguably a basis for a sanction that does

    more than undo the harm.

    Nevertheless, a narrowing of the sanction would not have

    saved the negligence claim against the defendants. Under

    Massachusetts law, contributory negligence by the victim is a

    bar to any recovery if it represents more than 50 percent of

    the total negligence on both sides. Mass. Gen. Laws ch. 231,

    85. Whether or not the wheel or tire might have been more

    safely designed, it would be patent negligence by the

    plaintiff to select a 16-inch tire as a replacement without

    some good reason to think that the wheel was also 16 inches.

    Sacramona's only asserted basis for selecting the 16-

    inch replacement was that the leaking tire taken from the

    wheel was a 16-inch tire, presumably based on its labeling.

    If Sacramona were precluded from making that claim, a finding

    of serious negligence on Sacramona's part could hardly be

    avoided. Indeed, Sacramona would appear to be doubly

    negligent: first in selecting the 16-inch tire without any

    basis for doing so and, second, in his repeated efforts to

    seat and inflate the tire even when failure showed that

    something was wrong. Thus, even if the sanction were limited

    as Sacramona suggests, his negligence claim would still fail.

    We therefore affirm summary judgment on this claim.

    The more limited sanction, however, would not

    necessarily preclude the warranty claim. Contributory



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    negligence is not an automatic defense to a warranty claim

    under Massachusetts law. Colter v. Barber-Greene Co., 525 ______ __________________

    N.E.2d 1305, 1313-14 (Mass. 1988). This, in turn, brings us

    to the district court's alternative ground for dismissing the

    warranty claim.

    3. Neither side disputes that Massachusetts law

    embodies a notice requirement for warranty claims. As the

    rule has been formulated, a plaintiff must give reasonably

    prompt notice of his warranty claim to the potential

    defendant; if he fails to do so, and the defendant is thereby

    prejudiced, the warranty claim is barred even if it is

    brought within the statute of limitations. Although merely

    implied by a Massachusetts statute, Mass. Gen. Laws ch. 106,

    2-318, case law has fleshed out the notice requirement.

    Castro v. Stanley Works, 864 F.2d 961, 963 (1st Cir. 1989); ______ _____________

    Cameo Curtains, Inc. v. Philip Carey Corp., 416 N.E.2d 995, _____________________ ___________________

    998 (Mass. App. Ct. 1981).

    Whether notice is unreasonably delayed can be a thorny

    issue but, in this case, undue delay is obvious and Sacramona

    does not even argue to the contrary. And assuming an

    unreasonable delay in notice, the prejudice showing is

    relatively easy: it is enough that the delay may well have

    deprived the defense of useful evidence. No showing is

    required that lost evidence would inevitably have altered the





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    outcome. Castro, 864 F.2d at 964. In short, the notice ______

    requirement has real teeth.

    The reason for this rule in Massachusetts is that

    warranty liability combines features that place potential

    defendants at serious risk: strict liability, lack of

    privity, and a statute of limitations that may run not from

    the sale but from the injury. Cameo Curtains, 416 N.E.2d at ______________

    997. As a counterweight, the requirement of prompt notice

    allows the defendant to gather evidence in timely fashion;

    without such notice, a defendant could easily be surprised by

    a lawsuit many years after selling its products. Cf. Castro, ___ ______

    864 F.2d at 963.

    In the present case, notice was plainly delayed; and the

    district court found that the requisite prejudice had been

    shown by the defendants. On appeal, Sacramona contests this

    latter finding on two related grounds: first, that

    prejudice, in this context, is an issue for the jury under

    Massachusetts law; and, second, that the district court in

    finding prejudice resolved disputed issues on summary

    judgment without giving the benefit of doubts and inferences

    to the non-moving party.

    Massachusetts does treat the defense as a jury issue,

    Henrick v. Coats Co., Inc., 458 N.E.2d 773, 774-75 (Mass. _______ ________________

    App. Ct. 1984), and--regardless of whether this practice





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    would be binding on a federal court2--we ourselves treat as a

    jury issue fact questions presented by a statutes of

    limitation defense, Villarini-Garcia v. Hospital Del Maestro, ________________ _____________________

    Inc., 8 F.3d 81, 84 (1st Cir. 1993), which offers an analogy ____

    to the notice requirement. But the question remains whether

    a reasonable jury would still have been compelled to find

    prejudice here.

    We review such determinations de novo, assuming that the _______

    jury would credit the non-movant's version of events. E.g., ____

    Continental Ins. Co. v. Arkwright Mutual Ins. Co., 102 F.3d ____________________ _________________________

    30, 33 n.4 (1st Cir. 1996). Yet, even if the jury found that

    Carroll had not caused prejudicial damage to the wheel, the

    loss of the remaining evidence would be beyond dispute: the

    original leaking tire, the other wheels and tires on the

    customer's van, and the equipment in the garage, including

    the tire changer, the pressure gauge, and the manuals. This

    material might have been salvaged if Sacramona had given

    prompt notice to the defendants after the accident; instead,

    he waited three years.

    The original tire itself, without more, could have been

    very helpful evidence. If it had proved to be 16-1/2 inches,


    ____________________

    2The extent to which state jury practice binds a federal
    court in a diversity case involves consideration of the Erie ____
    doctrine, the Rules of Decision Act, and the Seventh
    Amendment. See generally Byrd v. Blue Ridge Rural Elec. ______________ ____ _______________________
    Coop., 356 U.S. 525 (1958); Herron v. Southern Pacific Co., _____ ______ _____________________
    283 U.S. 91 (1931). We need not pursue the subject here.

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    this might have persuaded the jury that the cause of the _____

    accident was Sacramona's own conduct rather than any design

    defect. See Colter, 525 N.E.2d at 1312. Of course, since ___ ______

    contributory negligence is not a defense to the warranty

    claim, the jury would have had some latitude. But to show

    prejudice based on a lack of notice, the defendants needed

    only to prove that evidence was lost that might well have

    helped them, and that they have done.

    In fact, on appeal Sacramona makes relatively little

    effort to show how a jury could have failed to find

    prejudice. His factual appraisal of lost evidence is

    confined to question whether the wheel was damaged; for the

    rest, his brief simply asserts that prejudice is a jury

    issue. Indeed, it is--but only where a reasonable jury could

    decide the issue either way. Here, given the low threshold

    for the showing and the admitted loss of evidence, the

    outcome on this issue was inevitable.

    Affirmed. _________

















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