Mack Trucks, Inc. v. Bobbi Tackett ( 1997 )


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  •                     IN THE SUPREME COURT OF MISSISSIPPI
    NO. 98-CA-00419-SCT
    MACK TRUCKS, INC. AND CUMMINS ENGINE
    COMPANY, INC.
    v.
    BOBBI TACKETT, WRONGFUL DEATH
    BENEFICIARY OF TONY JOE MURPHREE
    ON MOTION FOR REHEARING
    DATE OF JUDGMENT:                           11/26/1997
    TRIAL JUDGE:                                HON. BARRY W. FORD
    COURT FROM WHICH APPEALED:                  LEE COUNTY CIRCUIT COURT
    ATTORNEYS FOR APPELLANTS:                   H. MITCHELL COWAN
    JOSEPH J. STROBLE
    MICHAEL D. CHASE
    L. F. SAMS
    WILLIAM C. SPENCER
    POPE SHANNON MALLETTE
    ATTORNEYS FOR APPELLEE:                     E. FARISH PERCY
    GARY L. CARNATHAN
    GRADY F. TOLLISON
    NATURE OF THE CASE:                         CIVIL - WRONGFUL DEATH
    DISPOSITION:                                AFFIRMED IN PART; REVERSED AND
    REMANDED IN PART- 03/27/2003
    MOTION FOR REHEARING FILED:                 03/05/2001
    MANDATE ISSUED:
    EN BANC.
    COBB, JUSTICE, FOR THE COURT:
    ¶ 1.   The motion for rehearing is granted. The original opinions are withdrawn, and this
    opinion substituted therefor.
    ¶ 2.   This products liability case presents issues of liability as well as apportionment of any
    such liability under our allocation of fault statute, Miss. Code Ann. § 85-5-7 (1999). We
    dispose of the liability issues summarily and affirm. Plaintiff, on cross-appeal, presses an
    issue regarding punitive damages with respect to which we also affirm the trial court
    summarily. As to allocation of fault, we conclude that allocation of fault to immune
    employers is consistent with § 85-5-7 and required under Estate of Hunter v. General
    Motors Corp., 
    729 So. 2d 1264
    (Miss. 1999), provided that they are not held liable for
    damages. We conclude that the trial court properly found the remaining non-settling
    defendants liable for half the recoverable damages under § 85-5-7(2). Finally, we reform the
    judgment to properly reflect the fault assessed by the jury. In accordance with these
    conclusions, we affirm in part and reverse and remand in part.
    I.
    ¶ 3.   This case is an appeal of a wrongful death action arising from the death of an
    employee of Wilburn Oil Company (“Wilburn Oil”). The plaintiff is Bobbi Tackett
    (“Tackett”), only daughter and wrongful death beneficiary of Tony Joe Murphree, the
    employee who died as a result of an explosion while unloading fuel for his employer. On
    May 12, 1993, Murphree and Roger Angle, another Wilburn Oil employee, each had
    truckloads of fuel on two separate trucks, one a Mack powered by a Mack engine, the other
    a Freightliner powered by a Cummins engine. Murphree was the Mack truck driver. Angle
    was the Freightliner driver.
    ¶ 4.   Contrary to company policy, but consistent with at least one prior occasion, Murphree
    and Angle decided to offload both trucks at once. Fuel was unloaded from both trucks using
    hoses and a “T” connector. The fuel was driven by a pump powered by a power-take-off
    (PTO) on the Mack truck, necessitating that the Mack engine be left running. The
    2
    Freightliner engine was also left running, though this was not necessary since only the Mack
    truck was used to pump the fuel to the above ground storage tanks. The Freightliner engine
    should not have been left running under ordinary safety procedures.
    ¶ 5.   Just prior to the explosion Angle was on top of his tanker attached to the Freightliner,
    looking down into the tanker compartment, checking to see how much fuel was unloaded.
    Angle said it was at this point that he looked over and saw gas spraying in the air. This was
    approximately ten to fifteen minutes into the off-loading process. The gasoline spray was
    coming up between the two trucks, toward the Freightliner on which Angle stood. The spray
    was like a mist from a garden hose when a thumb is held over it. Upon seeing the spraying
    fuel, Angle shouted to Murphree to cut off the truck or get off the truck as he ran back
    toward the rear of his tanker. At this point Angle jumped from the tanker, and one of the
    trucks exploded. Prior to the explosion he last saw Murphree running toward the Freightliner.
    After the explosion Angle heard Murphree scream, but he could not see him. Angle went
    around the side of the truck looking for Murphree when a second explosion occurred.
    Thereafter, Murphree walked out between the two trucks on fire. He received burns to 99
    percent of his body and died in a hospital on May 14, 1993.
    ¶ 6.   Tackett filed this wrongful death action in the Lee County Circuit Court seeking
    damages from defendants Mack Trucks, Inc. (“Mack”), which built the Mack truck;
    Cummins Engine Company, Inc. (“Cummins”), which manufactured the diesel engine in the
    Freightliner truck; and Freightliner Corporation, which manufactured the Freightliner truck.
    Tackett claims that the defendants caused her father’s death and are liable to her based on
    theories of products liability and failure to warn. Tackett claims that the engines in both
    3
    trucks were defectively designed because they did not contain an automatic shutoff device
    and that the trucks’ air intake systems should have been fitted with a safety device which
    would close it off if the engine exceeded a certain speed. Tackett also claims that there were
    inadequate warnings of the danger concerning (i) the alleged danger posed by the operation
    of a diesel engine in an environment where there are or can be combustible vapors; (ii) the
    alleged need for safety shutdown devices, and/or (iii) the appropriate response in the event
    of an engine overspeed or runaway.
    ¶ 7.   Tackett’s theory is that one or both of the engines caused the fire in which Murphree
    was severely burned and died. Tackett argued that the engine of either the Mack or the
    Freightliner, or both, began to run away because of the ingested volatile fumes, and the
    runaway caused the explosion and fire. “Runaway” or “overspeeding” is a phenomenon
    whereby a diesel engine sucks in a volatile gas or vapor through its air intake system. In such
    a situation the engine will continue to run even if there is no diesel going into it. The only
    way to stop the engine is to stop the air or stop the fuel. In such a situation the idle can
    increase dramatically.
    ¶ 8.   John Wiss, Tackett’s expert in the fields of mechanical engineering and fire origin or
    causation, testified that in his opinion both engines “spun up” after ingesting gasoline vapors
    through the air intakes. Wiss testified that in his opinion the probable cause of the fire was
    that one of the engines, either one, caused the fire by running away, overheating its exhaust
    pipe, and probably blowing flames through the exhaust igniting the gasoline. Wiss also
    testified that in his opinion both the Mack diesel engine in the Mack truck and the Cummins
    diesel engine in the Freightliner were unreasonably dangerous for the environment that they
    4
    were in.
    ¶ 9.    During depositions Angle testified he was “99 percent positive” that Murphree got the
    Freightliner shut down. However, Angle testified at trial that he heard one of the trucks blow
    up, but did not see which one. Angle assumed it was the Mack but only if Murphree had
    managed to shut down the Freightliner; he could not say for certain which truck started the
    fire.
    ¶ 10. The defendants offered other theories regarding how the fire may have been ignited.
    Dr. Edward Cox, a metallurgy expert retained by Cummins, testified that he did not find any
    internal damage to either engine or evidence that either engine oversped. Other possible
    ignition sources suggested by the defendants are either the electrical system or hot engine or
    exhaust parts. Dr. Cox testified that in his opinion the source of the fire was from a spark
    originating from a battery cable on the Mack truck. The defendants also argued that the
    proximate cause of the fire was the leaking fuel, caused by a worn hose or coupling, and the
    negligence of the employees, but not the trucks or their diesel engines.
    ¶ 11. Gilbert Rhoades, an expert in accident reconstruction and mechanical engineering
    retained by Cummins, testified that in his opinion the ignition source was the shorted out
    battery cables on the Mack truck. Rhoades testified that he found no signs that the Cummins
    engine ever operated at above normal temperatures or oversped, and that in his opinion the
    Cummins engine was not a factor in causing the fire.
    ¶ 12. Curtis Mark Siemers, Freightliner’s expert in fuel hauling, handling, and
    transportation, testified that the connection between the fuel hoses, the two trucks, and the
    storage tanks was inherently unsafe, because not all hoses, connections and fittings could be
    5
    monitored at the same time. He also stated that it was dangerous for the two trucks to be
    parked next to each other while unloading. Siemers also testified that one of the couplings
    at the hose had a shim in it to make a tighter connection, indicating that the coupling was
    worn, and that to use such a shim was not a safe procedure.
    ¶ 13. Dr. John Moskwa, Mack’s expert in mechanical engineering and diesel, also testified
    that there was no evidence of overspeed in the Mack truck and that the Mack was the least
    likely to overspeed due to its dual air intake design and the fact that it was operating under
    a load, driving the PTO to pump the fuel. Dr. Moskwa also testified that he found no
    evidence of overspeeding in the Cummins engine. He testified that in his opinion neither the
    Mack or the Cummins engines was defective or unreasonably dangerous.
    ¶ 14. George Casallas, Mack’s expert in electrical engineering, fire reconstruction, and
    forensic engineering, testified that in his opinion the fire originated in the Freightliner truck,
    that it was not overspeeding that caused the fire, and that in his experience an overspeeding
    engine would not cause an instantaneous fire such as the one in this case. Casallas stated that
    the fire was hotter, longer in duration, and more intense in the Freightliner.
    ¶ 15. Tackett reached a settlement with Freightliner just before closing arguments. She had
    earlier settled with other defendants. The case was submitted to the jury against Mack and
    Cummins, and the jury was instructed to allocate percentages of fault as between Murphree,
    Wilburn Oil, Mack and Cummins. The jury found from the preponderance of the evidence
    that both defendants—Cummins and Mack—were guilty of fault on either of Tackett's
    claims, which was the proximate cause of Murphree’s death. The jury further found that
    negligence on the part of Wilburn Oil and Murphree himself were also proximate causes of
    6
    Murphree’s death. The jury then made an allocation of fault as follows: Murphree, 60%;
    Wilburn Oil, 39%; Mack, ¾%; and Cummins, ¼%.
    ¶ 16. The jury assessed total damages of $1.8 million. In formulating the judgment the trial
    court applied the settlement proceeds from the other defendants, totaling $330,000, to reduce
    the damages assessed to $1,470,000. After deducting 60% of that amount for the fault
    attributed to Murphree, it arrived at recoverable damages of $588,000. Since the fault
    attributed to Wilburn Oil was uncollectible due to the employer's immunity under our
    workers’ compensation law, Mack and Cummins were determined to be jointly and severally
    liable to the extent necessary to allow a recovery of 50% of recoverable damages, to wit,
    $294,000. The trial court then allocated the $294,000 between Mack and Cummins in
    proportion to their relative percentages of fault, that is, a ratio of 3 to 1, and entered
    judgment against Mack for $220,500 and against Cummins for $73,500.
    ¶ 17. On appeal, the defendants argue that their products were not defectively designed, that
    they had no duty to install an air intake safety device, and that there was no evidence
    presented which would support the proposition that the use of such a device would have
    prevented the fire. The defendants further argue that they were improperly held liable for the
    employer’s share of fault and, in any event, that the method of deducting the settlement was
    unlawful. Mack further contends, all else failing, that the method of apportionment of the
    joint and several liability as between Cummins and it was unlawful.
    ¶ 18. Tackett argues that the engine overspeeding phenomenon was known to the industry
    and that the defendants had a duty to warn of the danger and to install a safety shut-off
    7
    device. Tackett cross-appeals asserting that she should have been allowed to argue punitive
    damages to the jury.
    II.
    ¶ 19. After careful consideration of the briefs and the record, we treat the liability issues
    summarily.
    a.
    ¶ 20. This case involved a battle of experts regarding whether either or both engines in
    question were defectively designed for failure to include an automatic air intake shutdown
    device to prevent “overspeeding,” whether there was a failure to adequately warn of the
    danger from overspeeding and whether either or both of these failures proximately caused
    the accident. We conclude that there was sufficient evidence to present a jury question as to
    each issue.
    Once the jury has returned a verdict in a civil case, we are not at liberty to
    direct that judgment be entered contrary to that verdict short of a conclusion
    on our part that, given the evidence as a whole, taken in the light most
    favorable to the verdict, no reasonable, hypothetical juror could have found as
    the jury found.
    Bell v. City of Bay St. Louis, 
    467 So. 2d 657
    , 660 (Miss. 1985).
    ¶ 21. The defendants argue that Hall v. Mississippi Chemical Express, Inc., 
    528 So. 2d 796
    (Miss. 1988), is controlling Mississippi precedent for the proposition that both the truck and
    the diesel engine were not defective as a matter of law. That case, however, turned on the
    level of proof before the Court at that time. The conclusion reached in that case is not
    binding upon this Court in its review of a different record.
    8
    ¶ 22. Accordingly, we affirm the action of the trial court in accepting the verdict and
    refusing to set aside the verdict of the jury.
    b.
    ¶ 23. Tackett contends that she should have been allowed to present the issue of punitive
    damages to the jury. Our review convinces us that the trial court did not err in refusing to
    submit this issue to the jury in that there was no clear and convincing evidence of malice or
    gross negligence. Miss. Code Ann. § 11-1-65(1) (Rev. 2002.)
    III.
    ¶ 24. The defendants claim that the court erred in allocating liability by attributing that
    portion of the fault allocated to Wilburn Oil to them collectively and, in any event, by
    improperly deducting the settlement proceeds from the entire assessment of damages. Mack
    also contends that there was an improper allocation as between it and Cummins.
    a.
    ¶ 25. Tackett suggests that Wilburn Oil should never have been included in the allocation
    of fault and, therefore, that the trial court properly re-allocated the jury’s assessment against
    Wilburn Oil to the defendants. She argues that employers, immune by virtue of our workers’
    compensation law, are not parties or potential parties subject to historical joint and several
    liability in tort for injuries to their employees and, as such, should not be included in an
    equation designed to apportion fault only for purposes of imposing joint and several liability.
    We agree with Tackett’s overall result, though not with her theory.
    ¶ 26. In Estate of Hunter v. General Motors Corp., 
    729 So. 2d 1264
    (Miss. 1999), this
    9
    Court held that “party” in § 85-5-7(7) “refers to any participant to an occurrence which gives
    rise to a lawsuit, and not merely the parties to a particular lawsuit or trial.” 
    Id. at 1276 (emphasis
    added). That ruling was “based on sound considerations of judicial fairness,” 
    id. at 1275 (referring
    to Florida holding adopted in Estate of Hunter). We held that “party” in
    the statute swept broadly enough to bring in entities which would not or could not have been
    “parties to a lawsuit,” thus including immune parties along with everybody else under the
    sun. 
    Id. at 1273. Indeed,
    this Court declared:
    This State’s system of civil justice is based upon the premise that all parties to
    a lawsuit should be given an opportunity to present their versions of a case to
    a jury, and the interpretation of § 85-5-7 urged by the plaintiffs [i.e., excluding
    those parties not in the suit] would seriously infringe upon a defendant’s
    rights in this regard in many cases.
    
    Id. at 1274 (emphasis
    added). Nor does the fact that § 85-5-7 preserves all pre-existing
    immunities speak to the present issue: even where fault is allocated for purposes of
    determining a third party’s fault, the employer is just as immune as before. Indeed, the
    language protecting immune parties may be interpreted as being motivated by the statute’s
    extremely broad phrase “each party alleged to be at fault.” Fault and liability are not
    synonyms. “Fault” is defined by § 85-5-7 as “an act or omission.” Immunity from liability
    does not prevent an immune party from acting or omitting to act. Rather, immunity shields
    that party from any liability stemming from that act or omission. There is nothing logically
    or legally inconsistent about allocating fault but shielding immune parties from liability for
    that fault. And there is no reason to imagine that the Legislature did not intend fault to be
    allocated against immune parties, insofar as that allocation can be of no detriment to those
    10
    parties.1
    ¶ 27. We must acknowledge our opinion in Accu-Fab & Construction, Inc. v. Ladner, 
    778 So. 2d 766
    (Miss. 2001), in which this Court (in dicta) reached the conclusion that Tackett
    urges with regard to allocation of fault to immune employers. Having noted Estate of
    Hunter’s relevance to the issue, we went on to distinguish it as follows:
    ¶16. Our decision in Estate of Hunter relied in part on a law review
    article, Jonathan Cardi, Apportioning Responsibility to Immune Nonparties:
    An Argument Based on Comparative Responsibility and the Proposed
    Restatement (Third) of Torts, 
    82 Iowa L
    . Rev. 1293 (1997). In this article,
    1
    We note that the Legislature has recently amended § 85-5-7 to include the following
    language:
    Except as provided in subsection (6) of this section, in any action involving
    joint tort-feasors, the trier of fact shall determine the percentage of fault for
    each joint tort-feasor, including named parties and absent tort-feasors, without
    regard to whether the joint tort-feasor is immune from damages. For
    noneconomic damages, a defendant's liability shall be several only. For
    economic damages, for any defendant whose fault is determined to be less than
    thirty percent (30%), liability shall be several only and for any defendant
    whose fault is determined to be thirty percent (30%) or more, liability shall be
    joint and several only to the extent necessary for the person suffering injury,
    death or loss to recover fifty percent (50%) of his recoverable damages. Fault
    allocated under this subsection to an immune tort-feasor or a tort-feasor
    whose liability is limited by law shall not be reallocated to any other tort-
    feasor.
    2002 Miss. Laws 3d ex. sess. ch. 4, § 3 (H.B. 19) (to be codified as Miss. Code Ann. § 85-5-
    7(8)) (emphasis added). While one could argue that the Legislature’s amendment
    demonstrates that the previous law did permit reallocation and forbid assessing fault to an
    immune employer, we consider that the statutory provisions already cited with regard to fault
    assessment, together with the elementary difference between fault and liability, support the
    counter-argument that the Legislature acted only to emphasize its original intent. See also
    USPCI of Miss., Inc. v. State ex rel. McGowan, 
    688 So. 2d 783
    , 787 (Miss. 1997) (“When
    cases are in the bosom of this Court and there is involved a statute that is modified prior to
    a final decision of this Court, we take that modification into consideration.”) (quoting Bell
    v. Mitchell, 
    592 So. 2d 528
    (Miss. 1991)).
    11
    Cardi discussed two approaches to handling the problem. He concluded that
    the better of the two approaches is to exclude the immune party from
    apportionment. 
    Id. at 1331-36. ¶
    17. When the Connecticut Supreme Court addressed the issue, it also
    found that exclusion of the immune party from apportionment was the best
    approach. The Court further found that its decision was consistent with the
    majority of other jurisdictions which have decided the issue. See Durniak v.
    August Winter & Sons, Inc., 
    222 Conn. 775
    , 
    610 A.2d 1277
    (1992). We agree
    with the foregoing authorities that exclusion of the immune party from the
    apportionment process is the best approach.
    
    Ladner, 778 So. 2d at 771
    . Our reliance on Cardi and Durniak has been rightly criticized:
    (1) Cardi’s article specifically excluded workers’ compensation immunity from its analysis
    and (2) Durniak specifically reserved the question before this Court in Ladner, i.e., the
    situation where “the defendant, having filed a general denial, sought to make an evidentiary
    showing that it was the employer’s conduct rather than the defendant’s conduct that had
    proximately caused the employee’s injuries”; in such a case, the Durniak court noted, “a
    different result might follow.” 
    Durniak, 610 A.2d at 1280-81
    n.5 (citing Williams v. Union
    Carbide Corp., 
    734 S.W.2d 699
    , 703 (Tex. Ct. App. 1987)). See Robert B. Ireland, III,
    Comment, Modified Joint and Several Liability in Mississippi:           The Absent Settling
    Tortfeasor and the Immune Employer, 70 Miss. L.J. 821, 839 & nn. 74-7 (2000) (making the
    above criticisms in the course of critiquing Ladner and the original opinion in this case).
    The result of immunizing employers from fault as well as from liability is that third parties
    pick up the tab for the employer’s fault, potentially paying more than their share in order to
    make up for the excluded employer. The dissenting opinion in the Court of Appeals’ opinion
    in Ladner bears attentive reading:
    The question becomes whether the injured plaintiff must see his potential
    recovery diminished by an assignment of fault to his immune employer or
    12
    whether a third party defendant may be made to respond in damages in an
    amount that exceeds that defendant’s proportionate share of fault in causing
    the injury. In my view, the more equitable result is to permit allocation of
    fault to the exempt employer. While this diminishes the injured party’s
    ultimate recovery in the tort action, the injured party has already obtained
    or may, post verdict, seek recovery under the compensation law from his
    employer. This right of recovery under workers’ compensation law is
    specifically intended to replace the previously-existing common law right
    of recovery against the employer in tort.
    Accu-Fab & Constr., Inc. v. Ladner, No. 96-CA-00692-COA, at ¶ 51 (Miss. Ct. App. Mar.
    14, 2000) (McMillin, C.J., dissenting) (all emphasis added).
    ¶ 28. To immunize employers from fault allocation in third-party tort suits would go against
    the spirit of the bargain between employers and employees that underlies workers’
    compensation; instead, the third party would pay the employer’s cost of compensation, and
    the employee would have the possibility of recovering in tort for his employer’s fault, since
    that would then be allocated to the third party. This certainly would benefit employers, and
    to some extent plaintiffs—but third parties should not be assessed to supplement our system
    of workers’ compensation. To the extent that Accu-Fab may be construed as stating that
    immune parties may not be assessed fault (as opposed to liability) under § 85-5-7, therefore,
    that opinion is overruled.2 We note, however, that the allocation of fault to Wilburn Oil does
    not directly change the result in this case, which is why we said we agree with Tackett's
    2
    The holding in Accu-Fab was predicated on the controlling precedents of federal
    case law, since Ladner was a beneficiary under the Longshoremen’s and Harbor Workers’
    Compensation Act, 33 U.S.C. § 901 et seq. 
    Accu-Fab, 778 So. 2d at 769-70
    . Estate of
    Hunter was therefore not applicable; nevertheless, we went on to state: “Furthermore, we
    would reach the same conclusion even if the Longshoremen's and Harbor Workers'
    Compensation Act was not implicated.” 
    Id. at 770. Thus,
    the remarks about Estate of
    Hunter were dicta, and the present opinion does not impugn the correctness of the holding
    in Accu-Fab.
    13
    result. Although Mack and Cummins were assessed only a single percent of fault between
    them, they remain jointly and severally liable for fault up to 50% under § 85-5-7. Whatever
    the equity or inequity of this result (and we notice that under the amended § 
    85-5-7, supra
    n.1, their fault would be confined to the 1% assessed by the jury), that was the law at the
    time of the accident, and that is the result we are bound to impose.3
    b.
    ¶ 29. The defendants claim that even if they are deemed liable for the portion of fault
    attributed to Wilburn Oil, the trial court erred in computing their level of liability by
    deducting the settlement amount from the assessment of damages before reducing that
    assessment for the allocation of fault as between the plaintiff's decedent and defendants.
    They would have applied the fault attributed to plaintiff’s decedent to reduce the damages
    to $720,000 and then applied the statutory 50% joint and several rule to that amount. From
    the resulting $360,000, they would deduct the $330,000 paid by the other defendants to leave
    $30,000 for them to pay.
    ¶ 30. They argue that this result would still cause them to pay more than the collective 1%
    3
    Cummins argues that joint and several liability is imposed only up to 50% of the
    “recoverable damages” under § 85-5-7(2), and that since damages are not recoverable against
    Wilburn Oil, 39% of the damages should be subtracted before the 50% that Mack and
    Cummins must meet can be calculated. But “[r]ecoverable damages are the total damages
    minus any damages allocated to other parties.” Classic Coach, Inc. v. Johnson, 
    823 So. 2d 517
    , 520 (Miss. 2002). Fault, not damages, was allocated to the immune employer. Hence
    there are no damages allocated to Wilburn Oil that must be subtracted from the total damages
    awarded.
    The fact that the defendants cannot seek contribution against Wilburn Oil leaves them
    in no worse condition than any other tortfeasors whose fellow tortfeasors turn out to be
    judgment-proof.
    14
    allocated to them, that is, $18,000. They suggest that for this reason our decision in McBride
    v. Chevron U.S.A., 
    673 So. 2d 372
    (Miss. 1996) is distinguishable. In McBride we upheld
    the settlement-first method used by the trial court here, where the issue put to the jury
    involved only an allocation of fault as between the plaintiff and non-settling defendants.
    That is in fact what happened here, with the additional factor of the allocation to the immune
    employer, which does not affect the analysis. Since the jury did not have the option of
    assessing fault against the settling defendants, the trial court deducted the total amount of the
    settlements from the award, as dictated in McBride:
    This opinion is limited, however, to cases in which, as here, the trial court
    instructed the jury to consider only the relative culpabilities of the plaintiff and
    the non-settling defendant(s) in apportioning fault under comparative
    negligence principles.
    
    Id. at 380. ¶31.
      However, the trial court did not have available to it this Court’s decision in Estate of
    Hunter, in which we stated:
    § 85-5-7(7) provides that the trier of fact should allocate fault to each party
    “alleged to be at fault.” There is no indication that the Legislature intended to
    reserve for plaintiffs the sole and exclusive right to make allegations of fault
    before a jury and to deprive defendants of the opportunity to persuade a jury
    that fault for a given accident lies 
    elsewhere. 729 So. 2d at 1273-74
    . It is evident from the facts recounted above that Mack’s expert
    Casallas opined that Freightliner’s truck was at fault. But in their briefs before this Court,
    neither defendant assigns any error, even though Mack had objected at trial to the exclusion
    15
    of Freightliner from allocation.4 It is well established that an appellant must brief an issue
    for it to be reviewed on appeal. Smith v. Dorsey, 
    599 So. 2d 529
    , 532 (Miss. 1992). The
    issue thus is not before this Court, unless we choose to invoke plain error. Taking into
    account judicial economy, the expense to all parties of remounting a new trial, and the length
    of time that the wrongful death beneficiary has waited for her relief, we do not choose to
    invoke that exception to our normal rules. No question of fundamental fairness appears to
    arise. This Court will not be more diligent in protection of the defendants’ rights than they
    4
    Freightliner participated in drafting jury instructions and settled on the morning of
    the day that the trial court instructed the jury. The discussion then went as follows:
    THE COURT:            The form of the verdict.
    [CUMMINS]:            It probably should be to take Freightliner out,
    because I think the appropriate result would be either allocation or credit and
    ...
    [TACKETT]:            I think—I think this is covered in a Mississippi
    Supreme Court decision. I can remember the justices—I think it has to be out
    for consistency, and they would be entitled to credit, of course.
    THE COURT:            You all have a form of the verdict?
    [CUMMINS]:            Just have to strike Freightliner out of it, don’t we?
    [TACKETT]:            Yes, sir. That complicated form, Your Honor,
    we’ll have to take Freightliner out.
    (OFF RECORD.)
    [MACK:]               Your Honor, I’d like the record to reflect that
    Mack stands by its position on allocation that we previously expressed with
    regard to absent and settling defendants. We do not withdraw our verdict
    form.
    This “previously expressed” position appears to be where Mack’s counsel asks “for the
    record to be clear that Mack has requested allocation to [two other settling defendants], and
    I want the record to be clear that I’m not withdrawing my request for allocation.”
    Mack in its brief complains about Wilburn Oil’s fault being “allocated” to Mack
    (which it was not). It does not challenge the trial court’s non-allocation to Freightliner or
    the other settling defendants.
    16
    themselves choose to be. On the facts of this case, the trial court’s use of the settlement-first
    method of McBride was not reversible error.
    c.
    ¶ 32. Finally, it is contended that the trial court erred as between Mack and Cummins by
    allocating their liability for the fault attributed to Wilburn Oil as well as their joint and
    several liability to reach the 50% goal proportionately in accordance with the jury allocation
    of fault to them respectively. We agree. Allocation of liability (as opposed to fault) is
    governed by § 85-5-7.
    ¶ 33. The judgment should be reformed to find that Mack is individually liable for $11,025
    (its ¾% of $1,470,000) and Cummins for $3,675 (its ¼% of $1,470,000). Because they are
    jointly and severally liable for the entirety of the $294,000 (50% of recoverable damages),
    assuming each pays its individual percentage, their total payments should be $150,675 for
    Mack ($139,650 + $11,025) and $143,325 for Cummins ($139,650 +$3,675).
    IV.
    ¶ 34. For the foregoing reasons, the judgment of the circuit court is hereby affirmed in all
    respects except as to the allocation of liability as between Mack and Cummins. The judgment
    is reversed and remanded to the trial court for reformation as indicated herein.
    ¶35.   AFFIRMED IN PART; REVERSED AND REMANDED IN PART.
    PITTMAN, C.J., SMITH, P.J., WALLER AND CARLSON, JJ., CONCUR.
    GRAVES, J., CONCURS IN PART AND DISSENTS IN PART WITHOUT
    SEPARATE WRITTEN OPINION. McRAE, P.J., DISSENTS WITH SEPARATE
    WRITTEN OPINION JOINED BY DIAZ AND EASLEY, JJ.
    17
    McRAE, PRESIDING JUSTICE, DISSENTING:
    ¶36.   I dissent to the majority's finding that the $330,000 settlement between Tackett and
    Freightliner should be deducted from the total verdict of $1.8 million and to the majority's
    allocation of apportionment between Mack and Cummins.
    ¶37.   The majority finds that Tackett's $330,000 settlement with Freightliner should be
    deducted from the total verdict of $1.8 million. Freightliner was not apportioned any fault;
    therefore the settlement between Freightliner and Tackett should not be a relevant factor in
    computing apportionment of damages. Nowhere in Miss. Code Ann. § 85-5-7 (1999) does
    the Legislature address the deduction of settlements from jury verdicts when a defendant has
    not been apportioned fault by a jury. By deducting the settlement from the judgment, the
    majority is essentially holding Freightliner at fault with no justification or jury finding of
    apportionment.
    ¶38.   As the majority correctly found, Wilburn Oil, an immune tortfeasor, cannot be
    apportioned liability for the purposes of joint and several liability. With that being said, the
    majority seems to throw to the wind the jury's 39% finding of fault of Wilburn Oil. Where
    did this figure disappear to in the majority's equations? Either this case needs to be
    remanded for a jury determination without the apportionment of fault of Wilburn Oil or this
    Court needs to allocate the 39% to Mack and Cummins according to their 3 to 1 fault ratio,
    as found by the jury. The math would look like this:
    $1,800,000     Verdict
    ($1,020,000)   Murphree's 60% Fault
    $ 780,000      Remaining Verdict
    $ 390,000      50% according to § 85-5-7(2)
    18
    Mack
    3/4% jury apportionment
    3/4% of 39%=29.31%
    29.31% + 3/4%=30.06% Total
    30.06% of $780,000 (remaining verdict)=$244,486 Individually
    Cummins
    1/4% jury apportionment
    1/4% of 39%=9.77%
    9.77% + 1/4%=10.02%
    10.02% of $780,000 (remaining verdict)=$78,156 Individually
    $390,000     50% according to § 85-5-7(2)
    ($244,486)
    ($ 78,156)
    $6,376 jointly and severally liable to achieve 50% under § 85-5-7(2)
    ¶39.   For these reasons, I respectfully dissent.
    DIAZ AND EASLEY, JJ., JOIN THIS OPINION.
    19