Christine Nanninga v. Three Rivers , 236 F.3d 902 ( 2000 )


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  •                      United States Court of Appeals
    FOR THE EIGHTH CIRCUIT
    ___________
    No. 98-4040
    ___________
    CHRISTINE J. NANNINGA,                  *
    individually, and on behalf of          *
    Larry L. Nanninga and Scott M.          *
    Nanninga, and as personal               *
    representative of the estate of Bruce E.*
    Nanninga, deceased; LARRY L.            *
    NANNINGA; SCOTT M. NANNINGA,            * Appeal from the United States
    * District Court for the
    Plaintiffs - Appellants,       * Western District of Missouri
    *
    v.                                  *
    *
    THREE RIVERS ELECTRIC                   *
    COOPERATIVE, a Missouri Corporation, *
    *
    Defendant -Appellee.           *
    ___________
    Re-submitted: * November 1, 2000
    Filed: December 19, 2000
    ___________
    *
    Defendant filed a petition for rehearing and suggestion for rehearing en banc
    this panel’s previous opinion. On April 4, 2000, the Court ordered that the petition be
    held in abeyance until the Supreme Court of Missouri ruled upon the appeal in Lopez
    v. Three Rivers Electric Cooperative, Inc., a case arising out of the same accident at
    issue here. The Missouri Court subsequently issued its ruling on August 29, 2000,
    clarifying the applicable standard of care, and on October 30, 2000, we granted the
    petition for rehearing by the panel, vacating the opinion and judgment filed on
    February 8, 2000.
    Before McMILLIAN and MURPHY, Circuit Judges, and TUNHEIM,1 District Judge.
    ___________
    TUNHEIM, District Judge.
    On July 31, 1994, plaintiffs' decedent Bruce Nanninga, a flight engineer, was
    killed along with three other crew members when their CH-47 military helicopter struck
    a set of defendant's power lines strung approximately 100 feet over the Osage River in
    central Missouri. Nanninga drowned as a result of the accident, and his widow and
    children filed a wrongful death diversity action in the United States District Court for
    the Western District of Missouri. Plaintiffs filed suit in the Western Division, but the
    district court granted defendant's motion for intradistrict change of venue and
    transferred the action to the Central Division.
    Meanwhile, the families of two of the three other crew members killed in the
    crash brought suit in Missouri state court. On May 7, 1998, after discounting for
    comparative fault on the part of the decedents, a jury awarded those plaintiffs
    $2,750,000 and $2,500,000, respectively.
    On August 11, 1998, the jury in this action returned a verdict for defendant. The
    district court denied plaintiffs' motions for judgment as a matter of law and for a new
    trial and entered judgment for defendant. Plaintiffs' appeal raises the following issues:
    (1) whether the state court jury's finding of liability should collaterally estop defendant
    from contesting its liability in this case; (2) whether the district court correctly
    instructed the jury that defendant owed plaintiffs' decedent a duty of ordinary care; (3)
    whether the trial court erred in denying plaintiffs' motion for a change of venue; (4)
    whether the trial court erred in restricting plaintiffs' voir dire; (5) whether the trial court
    1
    The Honorable John R. Tunheim, United States District Judge for the District
    of Minnesota, sitting by designation.
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    erred in delaying its ruling on the issue of comparative fault; (6) whether the trial court
    erred in permitting evidence and argument relating to the decedents' violation of
    military regulations; (7) whether the trial court erred in permitting evidence that the
    United States Army paid for the replacement of the power lines; (8) whether the trial
    court erred in allowing testimony via affidavit; (9) whether the trial court adequately
    instructed the jury concerning media publicity; and (10) whether the verdict was against
    the weight of the evidence.2 We affirm.
    A.    The Applicable Standard of Care
    Plaintiffs contend that, under Missouri law, defendant owed a duty of the highest
    degree of care because defendant is supplier of electricity. We review the district
    court's determination of state law de novo, see Salve Regina College v. Russell, 
    499 U.S. 225
    , 231 (1991); First Bank v. Hogge, 
    161 F.3d 506
    , 510 (8th Cir. 1998), and we
    are bound by the highest state court’s pronouncement of state law, see B.B. v.
    Continental Ins. Co., 
    8 F.3d 1288
    , 1291 (8th Cir. 1993).
    As noted above, in the parallel state court case, the Missouri Supreme Court
    determined that ordinary care is the correct standard of care in the circumstances of this
    case. See Lopez v. Three Rivers Elec. Coop., 
    26 S.W.3d 151
    , 158 (Mo. 2000). We
    therefore affirm the trial court’s instruction on the standard of care.
    2
    The parties also bring several motions. Both parties move to supplement the
    appellate record with material from the state court case; neither party has responded to
    the other's motion. Accordingly, both motions are granted. Plaintiffs also bring a
    motion to certify the question of the proper standard of care to the Missouri Supreme
    Court, or in the alternative, for a stay pending the appeal of the state court case. As the
    Missouri Supreme Court has now ruled on the proper standard of care, plaintiffs’
    motion is denied as moot.
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    B.    Collateral Estoppel
    In their motion for judgment as a matter of law and again in their motion to
    renew request for judgment as a matter of law, plaintiffs argued that defendant should
    be collaterally estopped from contesting its liability because the state court jury found
    defendant liable. The district court declined to apply collateral estoppel because the
    state court applied a different standard of care, the plaintiffs could have intervened in
    the state case, and the state court submitted the issue of the decedents' comparative
    fault to the jury, whereas the district court determined that there was no basis for
    comparative fault.
    The application of collateral estoppel in diversity cases is determined according
    to state law. See Jaramillo v. Burkhart, 
    999 F.2d 1241
    , 1243 (8th Cir. 1993). In
    Missouri, trial courts have broad discretion in permitting the offensive use of collateral
    estoppel. See State v. Daniels, 
    789 S.W.2d 243
    , 245 (Mo. Ct. App. 1990). Previously,
    we concluded that the district court did not abuse its discretion in refusing to apply
    collateral estoppel because the issues in the two cases were not identical and plaintiffs
    could have joined the state case. See Nanninga, 203 F.3d at 535. Because the
    Missouri Supreme Court has reversed the judgment of the state trial court, there is now
    an additional reason to affirm the district court’s refusal to apply collateral estoppel.
    Before the doctrine may be applied, a final judgment on the merits must have been
    rendered involving the same claim or issue sought to be precluded. See Robin Farms,
    Inc. v. Beeler, 
    991 S.W.2d 182
    , 185 (Mo. Ct. App. 1999). In Missouri, when an
    appellate court vacates a judgment, the lower court’s judgment cannot be considered
    a final judgment on the merits for purposes of collateral estoppel. See State v. Nunley,
    
    923 S.W.2d 911
    , 922 (Mo. 1996). For this reason and the reasons articulated in our
    previous decision, therefore, we conclude that the district court did not abuse its
    discretion in refusing to give collateral estoppel effect to the state court judgment.
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    C.     Change of Venue
    Plaintiffs initially filed this lawsuit in the Western Division of the Western
    District of Missouri in Kansas City. The district court granted defendant's motion for
    intradistrict change of venue and the case was assigned to the Central Division in
    Jefferson City. The district court denied plaintiffs' motion for a change of venue back
    to Kansas City. Plaintiffs argue that the jurors in Jefferson City were biased in favor
    of defendant because they were members of electrical cooperatives.
    The district court's denial of a motion for a change of venue is reviewed for
    abuse of discretion. See Shapiro v. Kauffman, 
    855 F.2d 620
    , 621 (8th Cir. 1988). The
    party challenging the impartiality of the jurors has the burden of showing that particular
    jurors hold opinions that raise a presumption of partiality. See id. Plaintiffs have failed
    to make this showing. Other than the adverse verdict, they point to nothing that could
    call the jurors' impartiality into question. The district court did not abuse its discretion
    in permitting the action to remain in Jefferson City.
    D.     Voir Dire
    Plaintiffs argue that the district court abused its discretion in limiting voir dire
    both in time and scope. Defendant first contends that because the plaintiffs did not
    object to the twenty minute time limit on voir dire, we must review that issue for plain
    error. Although the record does not reflect whether plaintiffs objected to the time limit,
    under either standard of review the district court did not err in limiting voir dire in time
    or scope.
    District courts have broad discretion in determining what questions will be asked
    during voir dire. See Ratliff v. Schiber Truck Co., 
    150 F.3d 949
    , 956 (8th Cir. 1998).
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    Plaintiffs cite specific questions that they ought to have been allowed to ask,
    concerning such topics as holding companies accountable, placing a monetary value on
    human life, and media coverage of an unrelated military plane crash in Italy. While the
    district court denied some of plaintiffs' questions, the court and plaintiffs' counsel
    together covered the following topics: the jurors' background, ability to serve, prior jury
    service, and familiarity with the case and witnesses; whether any jurors were users or
    members of defendant; juror familiarity with defendant's insurance carrier; monetary
    awards in lawsuits; military and aviation experience; opinions about compensating for
    a loss of life with money; and feelings about lawsuits being brought against a company.
    These questions touched on nearly all the areas plaintiff contends should have been
    covered during voir dire, and we are unable to conclude that the time limit or the
    restrictions were an abuse of discretion.
    E.    Comparative Fault
    On the fourth day of trial, the district court determined that it would not instruct
    the jury on comparative fault. Plaintiffs argue that the district court erred in not making
    this determination earlier and in subsequently permitting defendant to present evidence
    and argument concerning the pilots' violations of military and civilian flight rules.
    Plaintiffs assert that had the trial court ruled on the comparative fault issue earlier and
    properly enforced its ruling, no evidence concerning these alleged violations would
    have been permitted. The record does not reflect whether plaintiffs objected either to
    the timeliness of the ruling or the subsequent admission of evidence; regardless of the
    standard of review, however, the district court did not err in admitting this evidence,
    because it was relevant to defendant's argument that its alleged negligence was not the
    cause of the accident. See Whisenand v. McCord, 
    996 S.W.2d 528
    , 531 (Mo. Ct. App.
    1999) (explaining that a defendant may introduce any evidence that tends to establish
    that it is not liable for negligence, including evidence that a third party caused the
    accident).
    -6-
    F.     Evidence that the Army Paid to Replace Power Lines
    Plaintiffs contend that defendant violated a stipulated motion in limine to exclude
    testimony that the Army reimbursed defendant for the replacement of its power lines.
    Although the district court instructed the jury to disregard the testimony, which
    consisted simply of an affirmative answer to a single question, plaintiffs argue that the
    district court should have further rebuked defense counsel and its failure to do so
    prejudiced plaintiffs. The record does not show that plaintiffs requested an admonition,
    nor does it reflect the existence of any such stipulation, other than a reference in
    plaintiffs' written motions in limine. Furthermore, the transcript indicates that defense
    counsel elicited this testimony only after plaintiffs' counsel first asked the witness about
    the cost of replacing the lines. While counsel's misconduct may in some cases be so
    prejudicial as to require a new trial, see Sanders-El v. Wencewicz, 
    987 F.2d 483
    , 485
    (8th Cir. 1993), we conclude that under these circumstances the district court's
    instructions to the jury adequately cured any prejudicial effect this testimony may have
    had.
    G.     Admission of Evidence by Affidavit
    Plaintiffs contend that the district court erred in admitting seventeen affidavits
    into evidence. The affidavits disputed the testimony of Mike Harp, whose state court
    testimony was read into evidence after the district court determined that he was an
    unavailable witness. Absent a stipulation of the parties, affidavits may not be treated
    as evidence. See Eames v. Eames, 
    463 S.W.2d 576
    , 579 (Mo. Ct. App. 1971).
    Defendant contends that plaintiffs agreed to the admission of the affidavits in return for
    the court's ruling admitting Harp's former testimony. The parties indicate that the
    following colloquy occurred between court and counsel:
    Madden:                        Judge, we would like to use the affidavits
    attached to the summary judgment, and we
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    would also like to call one live witness on
    that issue.
    The Court:                       I'll do it.
    Cloon [plaintiffs' counsel]:     They can have that in their case.
    The Court:                       Huh?
    Cloon:                           You mean in their case?
    The Court:                       Yeah.
    Cloon:                           Okay.
    The Court:                       Yeah.
    Cloon:                           But I'm just going to read, and if they want
    to read their cross-examination, I guess,
    they can do that.
    Virtel:                  Yeah.
    Cloon:                         But then in their case in chief.
    Virtel:                  Yeah, right.
    Cloon:                         Okay.
    While the meaning of this dialogue is somewhat difficult to decipher, it is
    consistent with defendant's contention that plaintiffs agreed to permit the introduction
    of the affidavits. Such an interpretation is further bolstered by the fact that plaintiffs
    did not raise this issue in their motion for a new trial. Accordingly, the district court
    did not err in admitting the affidavits.
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    H.    Failure to Give Cautionary Instructions
    On the second day of trial, plaintiffs’ counsel reported to the district court that
    on the previous night the local news aired a story on their case in conjunction with a
    report concerning an unrelated plane crash in Italy wherein the pilots were criminally
    prosecuted for violating military regulations. Plaintiffs assert that the district court
    erred in failing to inquire whether the jurors had seen the broadcast and in failing to
    instruct them as to the distinctions between the two cases.
    Whether to give a cautionary instruction is within the discretion of the district
    court, see Stineman v. Fontbonne College, 
    664 F.2d 1082
    , 1087 (8th Cir. 1981), and
    we will not disturb its rulings absent an abuse of discretion, see Lovett v. Union Pacific
    R.R. Co., 
    201 F.3d 1074
    , 1082 (8th Cir. 2000). Here, the district court instructed the
    jury not to read or view any media reports concerning this case, and plaintiffs offer no
    evidence that the jurors were exposed to the allegedly prejudicial broadcast. Cf.
    Lovett, 201 F.3d at 1083 (affirming the district court’s refusal to give cautionary
    instruction where the plaintiff failed to demonstrate prejudice). Moreover, plaintiffs
    failed to present a transcript or a videotape of the broadcast either to the district court
    or this Court. Instead, they rely on counsel’s recollection of the coverage. Under these
    circumstances, we are unable to say that the district court abused its discretion in
    refusing to give a specific cautionary instruction.
    I.    Weight of the Evidence
    Plaintiffs appeal the district court’s denial of their motion for a new trial on the
    basis that the verdict was against the great weight of the evidence. We review the
    district court’s denial of a motion for a new trial under Fed. R. Civ. P. 59 for abuse of
    discretion. See Porous Media Corp. v. Pall Corp., 
    110 F.3d 1329
    , 1338 (8th Cir.
    1997). Where the district court’s denial of the motion is based on its conclusion that
    the verdict is not contrary to the weight of the evidence, its holding is “virtually
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    unassailable.” Pulla v. Amoco Oil Co., 
    72 F.3d 648
    , 656 (8th Cir. 1997). Here,
    defendant offered evidence that it was not negligent in failing to mark its lines because
    the lines and supporting structures were visible and the lines were too low to present
    an unreasonable risk. Alternatively, even if the jury concluded that defendant was
    negligent, it might have determined that the pilot was negligent in flying too low and
    that this negligence was the cause of the accident. We thus discern no abuse of
    discretion in the district court’s denial of plaintiffs’ motion.
    For these reasons, the judgment of the district court is affirmed.
    A true copy.
    ATTEST:
    CLERK, U.S. COURT OF APPEALS, EIGHTH CIRCUIT.
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