Dustin Reinard v. Crown Equipment Corporation ( 2020 )


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  •                  United States Court of Appeals
    For the Eighth Circuit
    ___________________________
    No. 18-3440
    ___________________________
    Dustin Reinard, Individually and as Parent of B.R. and K.R.; Misty Reinard
    Plaintiffs - Appellants
    v.
    Crown Equipment Corporation
    Defendant - Appellee
    ____________
    Appeal from United States District Court
    for the Northern District of Iowa - Waterloo
    ____________
    Submitted: September 24, 2020
    Filed: December 30, 2020
    ____________
    Before COLLOTON, GRUENDER, and GRASZ, Circuit Judges.
    ____________
    GRUENDER, Circuit Judge.
    Dustin and Misty Reinard brought a products liability action against forklift
    manufacturer Crown Equipment Corp. (“Crown”). After the district court1 admitted
    1
    The Honorable Mark W. Bennett, United States District Judge for the
    Northern District of Iowa, now retired.
    evidence over the Reinards’ objections in limine, the jury returned a verdict for
    Crown, and the district court denied the Reinards’ motion for a new trial. We affirm.
    I.
    On July 22, 2014, Dustin Reinard was injured while operating a stand-up
    forklift manufactured by Crown. By design, the forklift’s operator compartment
    lacked a door. As Reinard was backing the forklift in a warehouse, the side of the
    forklift where the entrance was located struck a pole. Because Reinard’s left foot
    was outside the operator compartment at the time of impact, it was crushed against
    the pole, and Reinard’s left leg had to be amputated.
    The Reinards, citizens of Iowa, sued Crown in Iowa state court. Crown, which
    is incorporated and has its principal place of business in Ohio, removed the case to
    federal court on the basis of diversity jurisdiction. See generally 
    28 U.S.C. § 1332
    (a). In their complaint, the Reinards alleged that the forklift’s design was
    defective because it omitted a door. Crown contested this allegation on the ground
    that the risks of adding a door outweighed the utility. According to Crown, the
    presence of a door leads to more serious injuries in off-dock and tip-over accidents
    by preventing the operator from escaping the falling forklift.
    Before trial, the Reinards filed a motion in limine to prevent Crown from
    introducing certain video simulations of off-dock and tip-over accidents in forklifts
    with doors. The district court denied the motion. Prior to voir dire, the district court
    permitted each party a “mini-opening” during which that party could display three
    “visual aids” to the prospective jurors, and Crown displayed photographs that were
    taken while some of the simulations were being filmed. Crown also referenced the
    simulations during its opening statement at trial. But it was the Reinards who first
    introduced the simulations as evidence, showing them to the jury during their case-
    in-chief. In their opening brief on appeal, the Reinards explained that, “because
    [their] pretrial efforts to have [the simulations] excluded were denied, reasonable
    -2-
    litigation strategy demanded that [they] try to mitigate the damage caused by the
    admission of the evidence by discussing it first.”
    The jury returned a verdict for Crown, and the district court denied the
    Reinards’ motion for a new trial. The Reinards appeal, challenging the district
    court’s admission of the simulations and denial of their motion for a new trial.
    II.
    Typically, we review for abuse of discretion both “the district court’s
    admission of evidence,” United States v. Young, 
    644 F.3d 757
    , 759 (8th Cir. 2011),
    and “the district court’s denial of a motion for a new trial,” Jones v. Swanson, 
    341 F.3d 723
    , 732 (8th Cir. 2003). But if the appellant forfeited his objections to a ruling,
    then we review the ruling only for plain error. Young, 
    644 F.3d at
    759 n.2. And if
    the appellant waived his objections to a ruling, then we do not review the ruling at
    all. 
    Id.
     As the Supreme Court has explained, forfeiture is the “failure to make the
    timely assertion of a right,” whereas waiver is the “intentional relinquishment or
    abandonment of a known right.” Hamer v. Neighborhood Hous. Servs., 583 U.S. --
    -, 
    138 S. Ct. 13
    , 17 n.1 (2017).
    In Huff v. Heckendorn Manufacturing Co., we held that by “intentionally
    plac[ing evidence] in the record,” a party “waive[s] any claim of error” in the
    admission of that evidence. 
    991 F.2d 464
    , 467 (8th Cir. 1993). We held that this
    rule applies even if the party had filed a motion in limine raising objections to the
    admission of the evidence; even if the trial court in its ruling on that motion in limine
    had “made it abundantly clear” that it “was overruling those objections”; and even
    if the opposing party had referred to the evidence earlier at trial, leaving little doubt
    that it would have introduced the evidence had the formerly objecting party not done
    so first. 
    Id. at 465, 467
    . If under these circumstances the formerly objecting party
    adopts the “strategy” of “attacking the issue head-on and introduc[ing the] evidence”
    itself, then that party “waives any objection that [it] may have had” to the admission
    of the evidence. 
    Id. at 468
    ; see also Ohler v. United States, 
    529 U.S. 753
    , 755 (2000)
    -3-
    (“Generally, a party introducing evidence cannot complain on appeal that the
    evidence was erroneously admitted.”); Canny v. Dr. Pepper/Seven-Up Bottling Grp.,
    
    439 F.3d 894
    , 904 (8th Cir. 2006) (holding that by “preemptively . . . introduc[ing]”
    evidence at trial, the defendant “waived its challenge to the admission of the
    evidence on appeal”).
    Here, the Reinards were the first to introduce the video simulations. The
    Reinards point out, correctly, that they had filed a motion in limine to exclude the
    simulations, the district court had denied that motion, and Crown had referred to the
    evidence in its opening statement, leaving little doubt that Crown would have
    introduced the evidence had the Reinards not done so first. But Huff held that, even
    in these circumstances, “intentionally plac[ing evidence] in the record . . . waive[s]
    any claim of error” in the admission of the evidence. 
    991 F.2d at 467
    . Therefore,
    the Reinards waived their objections to the district court’s admission of the video
    simulations.2
    The Reinards present three arguments against our application of Huff. First,
    they argue that Huff is no longer good law. In 2000, Rule 103 of the Federal Rules
    of Evidence was amended to provide that “[o]nce the court rules definitively on the
    record—either before or at trial—a party need not renew an objection . . . to preserve
    a claim of error for appeal.” Fed. R. Evid. 103(b). The Reinards argue that this
    amendment abrogated Huff by making a definitive pretrial ruling that evidence is
    admissible sufficient to preserve objections to the admission of the evidence for
    appeal.
    2
    In their briefs, the Reinards sometimes frame their evidentiary challenge as a
    challenge to the district court’s denial of their motion in limine to exclude the
    simulations. Reframing the Reinards’ challenge in these terms would not change
    our analysis: the “waiver rule” applies equally to objections to the admission of
    evidence at trial and objections to pretrial rulings that the evidence was admissible.
    See Ohler, 
    529 U.S. at 755-57
     (holding that “appellate review of an in limine ruling”
    that evidence is admissible is unavailable to the party that introduced the evidence).
    -4-
    The Reinards misread Rule 103(b). On its face, Rule 103(b) merely provides
    that once the court has definitively rejected an objection to the admissibility of
    evidence, failure to renew the objection does not constitute a forfeiture of the
    objection. It does not follow that preemptively introducing the evidence does not
    constitute a waiver of the objection. The Advisory Committee Notes on the 2000
    amendment to Rule 103 make this very point, emphasizing that “[t]he amendment
    does not purport to answer whether a party who objects to evidence that the court
    finds admissible in a definitive ruling, and who then offers the evidence to ‘remove
    the sting’ of its anticipated prejudicial effect, thereby waives the right to appeal the
    trial court’s ruling.”3
    Indeed, Huff pointed out the compatibility between its holding and the
    substance of what is now Rule 103(b). By the time we decided Huff in 1993, we had
    already recognized an exception to the general rule that “a motion in limine does not
    preserve error for appellate review” for cases in which “the district court made a
    definitive pre-trial ruling that affected the entire course of the trial.” Sprynczynatyk
    v. Gen. Motors Corp., 
    771 F.2d 1112
    , 1118 (8th Cir. 1985). The plaintiffs in Huff
    appeared to invoke this exception, protesting that the trial court’s pretrial rulings had
    3
    The dissent objects to our reading of Rule 103(b), noting that the rule speaks
    of “preserv[ing] . . . for appeal” rather than avoiding “forfeiture.” Post, at 9. The
    dissent perceives a difference between these phrases, insisting that “[n]ot forfeiting
    an objection is different than preserving it.” 
    Id.
     Contra Muiruri v. Lynch, 
    803 F.3d 984
    , 987 (8th Cir. 2015) (“An error . . . is forfeited—that is, not preserved for
    appeal—by the failure to make timely assertion of the right.” (internal quotation
    marks omitted)). Although we fail to see the distinction, we need not quibble over
    semantics. While Rule 103(b) undoubtedly provides that failure to renew an
    objection after a definitive ruling does not constitute failure to preserve the objection
    (i.e., forfeiture), it simply does not address what might constitute a waiver of the
    objection. For example, suppose that, after a definitive ruling, the objecting party
    changes its mind and decides to stipulate to the admissibility of the evidence. In that
    case, we presume, the party has waived its objection, Rule 103(b) notwithstanding.
    See Blodgett v. Comm’r, 
    394 F.3d 1030
    , 1040 (8th Cir. 2005) (indicating that
    stipulation constitutes waiver). Likewise if the party “decide[s] preemptively to
    introduce” the evidence. Canny, 
    439 F.3d at 904
    .
    -5-
    “made it abundantly clear that the nature of [the plaintiffs’] objections were known
    and that the trial court was overruling those objections.” 
    991 F.2d at 467
    . We did
    not deny that the exception existed or that it may have excused the plaintiffs from
    having to renew their objection at trial to avoid forfeiting it on appeal. Instead, we
    held the exception inapplicable because the plaintiffs’ “strategy” of “attacking the
    issue head-on and introduc[ing the] evidence” first “waive[d] any objection that
    [they] may have had.” 
    Id. at 467-68
    . Rule 103(b) merely confirms what our caselaw
    had already implied and Huff explicitly acknowledged; namely, that the plaintiffs
    may have had an objection that they need not have renewed at trial to avoid forfeiting
    on appeal. As Huff points out, this is consistent with holding that the plaintiffs
    waived any such objection by preemptively introducing the evidence.
    Furthermore, the notion that the 2000 amendment to Rule 103 abrogated Huff
    does not square with our 2006 decision in Canny, for two reasons. First, Canny
    reiterated that “a party introducing evidence” has “waived its challenge to the
    admission of the evidence.” 
    439 F.3d at 904
    . If the 2000 amendment to Rule 103
    abrogated Huff, then this statement would have been false. Second, although Canny
    did not cite Huff, it did cite Ohler, 
    529 U.S. at 755
    , in which the Supreme Court held
    that “a party introducing evidence” has “waived his objection” to the admission of
    the evidence and therefore “cannot complain on appeal that the evidence was
    erroneously admitted.” See Canny, 
    439 F.3d at 904
    . But if the 2000 amendment to
    Rule 103 abrogated Huff, then it also abrogated Ohler, which was decided on May
    22, 2000, roughly six months before the amendment to Rule 103 took effect on
    December 1, 2000. Therefore, if the 2000 amendment to Rule 103 abrogated Huff,
    then Canny’s reliance on Ohler would have been misplaced. The notion that the
    2000 amendment to Rule 103 abrogated Huff thus conflicts with both Canny’s
    reasoning and Canny’s reliance on Ohler. Consequently, even if Rule 103(b) were
    susceptible to an interpretation on which it abrogated Huff, our decision in Canny
    would foreclose this interpretation.
    Second, the Reinards argue that Huff is factually distinguishable from this
    case. As the Reinards point out, by the time they introduced the simulations, Crown
    -6-
    had not only referenced the simulations during its opening statement at trial but also
    displayed photographs from the filming of some of the simulations to the prospective
    jurors during its “mini-opening” before voir dire.
    Although Crown’s use of the photographs during its “mini-opening” does
    mark a difference between this case and Huff, this difference is immaterial. Crown
    did not play the video simulations or even excerpts from the video simulations.
    Indeed, Crown did not even display freeze-frames from the video simulations.
    Crown merely displayed still photographs—no more than three—that were taken
    while some of the simulations were being filmed. We view this as analogous to
    referencing the simulations during an opening statement. And Huff held that
    preemptively introducing evidence constitutes a waiver of any objection to the
    evidence’s admission even if the opposing party referenced the evidence in its
    opening statement. 
    991 F.2d at 465, 467
    ; see also Jordan v. Binns, 
    712 F.3d 1123
    ,
    1134-35 (7th Cir. 2013) (indicating that using a demonstrative during an opening
    statement is not the same as introducing it as evidence). Therefore, the Reinards’
    preemptive introduction of the simulations constitutes a waiver of their objections
    to the simulations’ admission even though Crown displayed photographs from the
    filming of some of the simulations during its “mini-opening.”
    Third, the Reinards argue that even if they waived their objections to the
    admission of the simulations, we should review the district court’s admission of the
    simulations for plain error. This contention finds support in Spencer v. Young, where
    we proceeded to “review the district court’s evidentiary ruling for plain error” after
    concluding that the appellant had “waived his right to appeal the issue” by
    “introduc[ing] the . . . evidence” at trial. 
    495 F.3d 945
    , 950 (8th Cir. 2007).
    On this point, however, Spencer is contradicted by prior circuit precedent
    holding that waiver, as distinguished from forfeiture, precludes appellate review.
    See, e.g., Blodgett, 
    394 F.3d at 1040
     (holding that waiver eliminates “any right to
    appellate plain error review”). “[F]aced with conflicting panel opinions,” we must
    follow “the earliest opinion.” Mader v. United States, 
    654 F.3d 794
    , 800 (8th Cir.
    -7-
    2011) (en banc). Accordingly, we refrain from reviewing the district court’s
    admission of the simulations for plain error.
    Having addressed the district court’s admission of the simulations, we turn to
    the district court’s denial of the Reinards’ motion for a new trial. The Reinards’ only
    argument that the district court abused its discretion in denying their motion for a
    new trial is based on the claim that the admission of the simulations was prejudicial
    error. As we have explained, the Reinards waived this claim by preemptively
    introducing the simulations. Therefore, they have failed to show that the district
    court abused its discretion in denying their motion for a new trial.
    III.
    For the foregoing reasons, we affirm.
    GRASZ, Circuit Judge, dissenting.
    The district court correctly characterized Crown’s experimental evidence (its
    videos) as “the most critical in the case.” And it forthrightly stated that if it
    improperly admitted that evidence, doing so “was prejudicial” and would “entitle[]
    the Reinards to a new trial.” Several issues, then, must be addressed to decide if the
    Reinards are entitled to a new trial. Specifically, they need favorable answers to
    three questions: (1) Did they preserve their challenge to the videos’ admission?;
    (2) Was that admission legal error (and thus, an abuse of discretion)?; and (3) Was
    that error harmful? The court answers “no” to the first question and ends its analysis.
    Because I would answer “yes” to each question, I dissent.
    A party preserves an evidentiary error with a timely, specific objection about
    an error affecting its substantial rights. Fed. R. Evid. 103(a)(1). “Once the court
    rules definitively on the record—either before or at trial—a party need not renew an
    objection . . . to preserve a claim of error for appeal.” Fed. R. Evid. 103(b). Today,
    this court concludes that the Reinards waived their ability to challenge error because
    -8-
    they introduced Crown’s videos—videos of crash-test dummies dressed in overalls
    slamming their heads or backs onto hard surfaces—first. 4 Ante at 4. To reach that
    conclusion, the court treats Rule 103(b) as unhelpful to the Reinards and relies on
    cases which, I believe, are distinguishable.
    The court explains that “[o]n its face, Rule 103(b) merely provides” that a
    definitively-rejected-yet-unrenewed objection “does not constitute a forfeiture[.]”
    Ante at 5. However, I read the plain text (which says nothing about forfeiture) to
    mean that a definitive evidentiary ruling preserves a party’s right to appeal that
    ruling. See Fed. R. Evid. 103(b). As the court notes, the Supreme Court has defined
    “forfeiture” as “the failure to make the timely assertion of a right.” Ante at 3.
    Reading “forfeiture” into Rule 103(b) seems to render the words “preserve . . . for
    appeal” meaningless if those words somehow mean that a party “did not fail to
    timely assert its right to object.” Not forfeiting an objection is different than
    preserving it. 5
    4
    In deciding that waiver renders the claim of error unreviewable, the court
    concludes that the Reinards cannot receive plain-error review. In reaching that
    conclusion, the court relies on the waiver-versus-forfeiture distinction that stems
    from a seminal criminal case, United States v. Olano, 
    507 U.S. 725
    , 732–36 (1993),
    which interprets Fed. R. Crim. P. 52(b), the plain-error standard for criminal cases.
    Ante at 3, 7. While a prior panel seems to have extended Olano’s plain-error review
    standard to at least some civil cases, it did so only when error was not preserved.
    See Wiser v. Wayne Farms, 
    411 F.3d 923
    , 927 (8th Cir. 2005) (recognizing that
    “[t]he law in our circuit on the plain-error test in a civil context . . . [wa]s not entirely
    clear” but deciding “an unpreserved error in the civil context must meet at least the
    Olano standard to warrant correction”) (emphasis added)).
    5
    I believe that this distinction between error-preservation and forfeiture-
    avoidance tracks Supreme Court guidance on the difference between waiver and
    forfeiture. See Olano, 
    507 U.S. at 733
     (“Waiver is different from forfeiture.”). The
    difference between waiver and forfeiture matters a great deal to parties whose
    appeals we cannot hear.
    -9-
    Along similar lines, I agree that the advisory committee did not decide if a
    party can challenge a definitive, unfavorable evidentiary ruling after offering the
    same evidence (that it tried but failed to keep out) to “remove the sting” of that
    evidence’s “anticipated prejudicial effect[.]” See Fed. R. Evid. 103, cmt. to 2000
    amendments. But in explaining what it did not decide, the advisory committee only
    cited cases when parties tried to “remove the sting” from their own actions (and
    mostly with prior-conviction evidence). See 
    id.
     (citing cases).6
    Further, even if the cases relied upon by the court can be harmonized with the
    amended Rule 103(b), those sting-removing cases all dealt with evidence of a party’s
    own conduct. See Huff v. Heckerndorn Mfg., Co., 
    991 F.2d 464
    , 467 (8th Cir. 1993)
    (after an unfavorable ruling on evidence about his own negligent use of a product, a
    mechanic preemptively introduced evidence to show the manufacturer failed to warn
    buyers about product use); Ohler, 
    529 U.S. at 755
     (after an unfavorable ruling that
    would allow the government to use a prior conviction for impeachment purposes,
    testifying criminal defendant introduced that evidence on direct examination);
    Canny v. Dr. Pepper/Seven-Up Bottling Grp., Inc., 
    439 F.3d 894
    , 904 (8th Cir. 2006)
    (after a favorable ruling limited an employee’s use of an employer’s settlement letter
    to the contents of the letter, the employer preemptively introduced that letter’s
    contents on direct examination).
    6
    See United States v. Fisher, 
    106 F.3d 622
    , 627–29 (5th Cir. 1997) (criminal
    defendant did not waive error by introducing prior-conviction on direct examination
    after government received favorable ruling to use that evidence on cross-
    examination), abrogated by Ohler v. United States, 
    529 U.S. 753
    , 755 (2000) (“[W]e
    conclude that a defendant who preemptively introduces evidence of a prior
    conviction on direct examination may not on appeal claim that the admission of such
    evidence was error.”); Judd v. Rodman, 
    105 F.3d 1339
    , 1340–42 (11th Cir. 1997)
    (plaintiff introduced evidence about her own sexual history, plastic surgery, and
    work history when she alleged defendant wrongfully transmitted a sexually-
    transmitted disease to her); Gill v. Thomas, 
    83 F.3d 537
    , 539–41 (1st Cir. 1996)
    (plaintiff introduced evidence about his prior criminal convictions in excessive force
    suit); United States v. Williams, 
    939 F.2d 721
    , 722–23 (9th Cir. 1991) (criminal
    defendant introduced evidence about his prior criminal conviction).
    -10-
    That is not what happened here. Instead, the evidence went straight to the
    merits. To prevail, the Reinards needed to prove all six design-defect elements. See
    Verdict Form at 1, ECF No. 106, July 26, 2018 (“On the Reinards’ ‘design defect’
    claim, as explained in Instruction No. 5, in whose favor do you find?”); see also Jury
    Instrs. at 12–14, ECF No. 107, July 30, 2018 (providing six elements for design-
    defect claim). Of those six elements, four hinged on whether the forklift door
    presented “a reasonable alternative safer design[.]” See Jury Instrs. at 12–13, ECF
    No. 107, July 30, 2018 (elements two through five). So, deciding against the door
    as an alternative safer design would also decide the case against the Reinards.
    Two times before the Reinards presented any evidence, Crown emphasized
    how it would use the videos. First, in its mini-opening, Crown showed the jury
    pictures of the testing used in its videos. Then, in its opening statement, Crown told
    the jury that its videos would show that adding a door would create “a fatal risk” to
    operators seven times out of ten. The Reinards’ expert addressed that evidence to
    discredit Crown’s already-presented central defensive theory (that a door would kill
    operators) which also contradicted the Reinards’ theory of the case (that a door
    would not). Cf. L. Timothy Perrin, Pricking Boils, Preserving Error: On the Horns
    of a Dilemma After Ohler v. United States, 
    34 U.C. Davis L. Rev. 615
    , 670 (2001)
    (“Ohler addresses the disclosure of a prior conviction under Rule 609 and is
    particularly concerned with the prosecution’s right to decide for itself whether to use
    the conviction during cross-examination. Those concerns do not exist with evidence
    that relates to the merits of the dispute[.]”).
    Because I conclude waiver does not apply here, I would reach the merits of
    this case.
    “[W]e have explained that ‘experimental evidence falls on a spectrum and the
    foundational standard for its admissibility is determined by whether the evidence is
    closer to simulating the accident or to demonstrating abstract scientific principles.’”
    Dunn v. Nexgrill Indus., Inc., 
    636 F.3d 1049
    , 1055 (8th Cir. 2011) (quoting
    -11-
    McKnight v. Johnson Controls, Inc., 
    36 F.3d 1396
    , 1402 (8th Cir. 1994)). We have
    also explained that “[a] court may properly admit experimental evidence if the tests
    were conducted under conditions substantially similar to the actual conditions.”
    McKnight, 
    36 F.3d at
    1401 (citing Champeau v. Fruehauf Corp., 
    814 F.2d 1271
    ,
    1278 (8th Cir. 1987) (cleaned up)). “[W]here the experimental tests do not purport
    to recreate the accident, but instead . . . are used to demonstrate only general
    scientific principles, the requirement of substantially similar circumstances no
    longer applies.” 
    Id.
     (citing Champeau, 
    814 F.2d at 1278
    ). In McKnight, we
    connected the “foundational standard” for admissibility to the need to avoid juror
    confusion. 
    Id.
     We predicted that jurors were not likely to confuse abstract
    demonstrations of scientific principles with events on trial, but we also
    acknowledged that “more troublesome cases” could be “rife with the risk of
    misunderstanding” of experimental evidence that demonstrates “some [scientific]
    principles of some kind . . . but in a fashion that looks very much like a recreation of
    the event that gave rise to the trial.” 
    Id.
     (cleaned up) (quoting Fusco v. Gen. Motors
    Corp., 
    11 F.2d 259
    , 264 (1st Cir. 1993)).
    The district court did not apply the foundational admissibility standard for
    experimental-evidence. Compare McKnight, 
    36 F.3d at 1401
    , with Doc. 79 at 24,
    31. On appeal, Crown argues that it used the videos not as recreations but to show
    the “forces generated” during certain accidents (i.e., how hard and fast the forklifts
    would fall or tip over). In turn, its experts relied on those videos to testify that if
    operators stayed inside forklifts during accidents, the “forces” could cause “serious
    injury or death.” Crown, however, stops short of describing the crashes in its videos
    as illustrating general principles about physics (or any other scientific discipline).
    I am skeptical any juror needed any help (let alone, a scientific demonstration)
    to know that a fast crash into a hard surface could cause serious injury or death. So
    then, what scientific principle did the dummies demonstrate? Under McKnight, the
    district court needed to ask. McKnight, 
    36 F.3d at 1401
    . Crown does not suggest
    that the dummies were connected to a scientific principle. So, without an articulated
    scientific principle, and with no argument about substantial similarity, that
    -12-
    experimental evidence could not come in. 
    Id.
     Because the district court admitted
    that evidence without applying McKnight, it based its ruling on an erroneous view
    of the law and abused its discretion. See Cooter & Gell v. Hartmarx Corp., 
    496 U.S. 384
    , 405 (1990) (“A district court would necessarily abuse its discretion if it based
    its ruling on an erroneous view of the law or on a clearly erroneous assessment of
    the evidence.”); see also Doc. 79 at 24, 31.
    We will only disturb the jury’s verdict if the evidentiary error affected the
    Reinards’ substantial rights. See Fed. R. Civ. P. 61 (harmless-error review). We
    look at the jury’s verdict to decide if the challenged evidence prejudiced the Reinards
    and affected their substantial rights. See, e.g., Coterel v. Dorel Juvenile Grp., Inc.,
    
    827 F.3d 804
    , 808 (8th Cir. 2016).
    As mentioned, the design-defect verdict required the jury to unanimously
    agree that a safety door was a reasonable alternative safer design. See Verdict Form
    at 1, ECF No. 106, July 26, 2018 (directing the jury to Instruction No. 5 to decide
    the design-defect claim); see also Jury Instrs. at 12–14, ECF No. 107, July 30, 2018
    (providing six elements for design-defect claim). A “no” answer would decide the
    case for Crown. 
    Id.
     The verdict does not require speculation about how Crown’s
    evidence impacted the outcome. Cf. Coterel, 827 F.3d at 808.
    Nor did the district court. It was “virtually certain that this evidence
    substantially affected the jury’s deliberations and verdict.” See Order Den. Pls.’
    Mot. New Trial at 2, ECF No. 115, Oct. 15, 2018. It characterized the videos as “the
    foundation of Crown’s defense” as well as “the most critical” evidence in the case
    “because many of Crown’s trial witnesses relied on [it].” In recognition of this,
    when the district court denied a new trial, it candidly stated that if it had improperly
    admitted Crown’s evidence, then that error “was prejudicial and entitle[d] the
    Reinards to a new trial.”
    -13-
    If Federal Rule of Civil Procedure 61’s harmless-error standard applies here,
    as I conclude it does, we should reverse because “justice requires” it and the errors
    “affect[ed]” the Reinards’ “substantial rights.”
    ______________________________
    -14-