Dennis Ray Hennefer v. Blaine County School District 61 , 158 Idaho 242 ( 2015 )


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  •                 IN THE SUPREME COURT OF THE STATE OF IDAHO
    Docket No. 41286
    DENNIS RAY HENNEFER and MARYANN )
    HENNEFER, individually, and as the parents )
    of AUSTIN HENNEFER, deceased,                )
    )
    Plaintiffs-Respondents-Cross Appellants, )
    )
    v.                                           )
    Boise, January 2015 Term
    )
    BLAINE COUNTY SCHOOL DISTRICT                )
    2015 Opinion No. 33
    #61,                                         )
    )
    Filed: March 30, 2015
    Defendant-Appellant-Cross               )
    Respondent,                             )
    Stephen W. Kenyon, Clerk
    )
    and                                          )
    )
    SERGIO LOPEZ-RODRIGUEZ,                      )
    )
    Defendant.                              )
    _______________________________________ )
    Appeal from the District Court of the Fifth Judicial District of the State of Idaho,
    Blaine County. Hon. Robert J. Elgee, District Judge.
    The judgment and post-trial orders of the district court are affirmed.
    Anderson, Julian & Hull LLP, Boise, and Powers Tolman Farley, PLLC, Boise,
    for appellant. Brian K. Julian argued.
    Jeffrey J. Hepworth, P.A. & Associates, Twin Falls, for respondents. Jeffrey J.
    Hepworth argued.
    _____________________
    J. JONES, Justice
    The appellant, Blaine County School District #61 (School), appeals from a jury verdict
    and post-trial orders favoring the respondents, Dennis and Maryann Hennefer, the parents of
    Austin Hennefer, who died in a T-bone type automobile accident while performing a three-point
    turnabout at the instruction of Jeffrey Mecham, a School driver training instructor. The jury
    returned a special verdict, finding Austin’s death resulted from Mecham’s reckless conduct. It
    1
    found Mecham 100% responsible for the death and the School, Mecham’s employer, liable for
    non-economic damages totaling $3.5 million. The School timely appealed.
    I.
    FACTUAL AND PROCEDURAL BACKGROUND
    Austin Hennefer died in a motor vehicle accident on October 26, 2010, on Highway 20 in
    Blaine County. At the time, Austin was in a Driver’s Education vehicle under the supervision of
    a School driver training instructor, Jeffrey Mecham. Another student, Jennifer Mares, was also a
    passenger in the vehicle. Prior to this accident, Austin had regularly driven a motorcycle, four-
    wheeler, and/or small pickup to help feed cattle on his family’s farm. However, Austin had
    logged only 3.33 hours of driving on highways with an instructor.
    The day of the accident, Austin and Mares were scheduled to begin their drive at 7:00
    a.m. As their parents drove each student into Carey, there was snow on the ground and the roads
    were slick. Austin was to be the first driver of the morning and was to drive west from Carey on
    Highway 20, a 65 mph highway. Mares testified that as they left the school to begin the drive,
    the roads looked slick and it was foggy and cloudy. She said the roads stayed about the same
    throughout the drive. All witnesses who were present at the scene of the accident testified that
    the roads were slick, though their specific descriptions of the conditions varied.
    The general consensus among the witnesses was that the lighting conditions were very
    poor due to the time of day. The testimony varied on how much traffic was present around the
    time of the accident. Heading west from Carey, Highway 20 eventually intersects with Highway
    75, and the Driver’s Education vehicle reached this intersection roughly thirty minutes into the
    drive. Mecham instructed Austin to proceed through the intersection on Highway 20 and they
    would shortly turn around and switch drivers.
    Shortly after the Driver’s Education vehicle passed the intersection, Mecham instructed
    Austin to pull to the side of the road, perform a three-point turnabout, and switch drivers.
    Though she had her eyes closed at the time, Mares testified she could feel Austin begin the first
    stage of the three-point turn by turning left across both lanes of the highway. She then felt him
    perform the second stage of the three-point turn by reversing back across the lanes. She opened
    her eyes again when Austin was shifting gears into Drive to go into the final stage of the three-
    point turn. When she opened her eyes, she looked out her window from the back seat on the
    driver’s side of the vehicle and saw the headlights of Lopez-Rodriguez’ car coming straight
    2
    toward them, approximately forty feet away. At the speed Lopez-Rodriguez was estimated to be
    traveling, it would have taken less than one second for Lopez-Rodriguez’ car to drive the
    remaining forty feet before colliding with the Driver’s Education vehicle.
    Lopez-Rodriguez’ account of the accident was taken in a police statement and introduced
    at trial through Officer Ornelas. Lopez-Rodriguez believed the Driver’s Education vehicle was
    parked on the side of the road when he first saw it and then pulled out right in front of him at the
    last second. Contrary to Lopez-Rodriguez’ perception of the circumstances, the majority of the
    evidence at trial showed the Driver’s Education vehicle was in the middle or final stages of the
    three-point turn when Lopez-Rodriguez first saw it. The Hennefers called Joellen Gill, a human-
    factors expert, to explain why Lopez-Rodriguez may have thought he saw the Driver’s Education
    vehicle to the side of the road and then pulling out in front of him.
    The fall semester when the accident occurred was the first and only time Mecham taught
    Driver’s Education, having become certified the summer preceding the accident. It appears that
    the snow on the day of the accident was the first snow of the fall, so Mecham had never had the
    opportunity to teach driving in snowy conditions before the day of the accident. The course to
    become certified in teaching Driver’s Education was taught by Brian Johns, who testified at trial.
    Johns testified he teaches that three-point turns are inherently hazardous and should be used
    rarely. Mecham admits he was taught and understood this information on three-point turns.
    Following the accident, Hennefers filed a wrongful death action against the School,
    Mecham, and Lopez-Rodriguez, though the claim against Mecham was later dropped. 1 The
    Hennefers did not pursue a case theory that involved Lopez-Rodriguez’ negligence. 2
    Both the School and the Hennefers called accident reconstructionists to testify about the
    accident. Each reconstructionist had conducted test three-point turns to determine approximately
    how long such a maneuver takes, and they agreed the turnabout may have taken someone of
    Austin’s experience level twenty-five seconds or more under the conditions.
    At trial, the Hennefers proceeded under a theory that Mecham’s conduct in causing the
    accident was “reckless,” which would allow them to exceed the cap on non-economic damages
    in Idaho Code section 6-1603. The jury returned a special verdict, finding Mecham 100%
    1
    Mecham was dismissed as an individual defendant because the School admitted Mecham was acting in the course
    and scope of his employment at the time of the accident.
    2
    Lopez-Rodriguez remained a named defendant and was represented at trial because, as a defense, the School
    attempted to prove that Lopez-Rodriguez was negligent in his conduct surrounding the accident.
    3
    responsible for causing the accident and that his conduct in doing so was reckless. To Austin’s
    father, the jury awarded approximately $7,500 in economic damages and $1.5 million in non-
    economic damages. To Austin’s mother, the jury awarded $2 million in non-economic damages.
    The School thereafter moved for judgment notwithstanding the verdict (JNOV) and for a new
    trial. Hennefers moved for attorney fees. All three motions were denied. The School appealed
    and the Hennefers cross-appealed.
    II.
    ISSUES ON APPEAL
    1.      Whether the School is entitled to judgment as a matter of law that Mecham did not act
    recklessly in causing the accident.
    2.      Whether the district court erred in instructing the jury.
    3.      Whether the district court erred in refusing to grant the School’s motion for a new trial.
    4.      Whether the district court erred by allowing Joellen Gill to testify.
    5.      Whether the district court erred in denying the Hennefers’ claim for attorney fees.
    6.      Whether the Hennefers are entitled to attorney fees on appeal.
    III.
    DISCUSSION
    A.      The School is not entitled to judgment as a matter of law on the issue of Mecham’s
    recklessness.
    Idaho Code section 6-1603 imposes a $250,000 3 maximum limit on non-economic
    damages in tort actions seeking damages for personal injury or death. I.C. § 6-1603(1) & (2).
    However, this limitation on non-economic damages does not apply in cases where the cause of
    action arises “out of willful or reckless misconduct.” I.C. § 6-1603(4)(a). This statute does not
    define “willful or reckless misconduct.” See I.C. §§ 6-1601, 6-1603; Kuntz v. Lamar Corp., 
    385 F.3d 1177
    , 1186 (9th Cir. 2004). The jury in this case returned a verdict far exceeding the
    statutory cap on damages. It also found that Mecham acted recklessly, meaning the cap does not
    apply. The School argues that throughout this case the district court employed an incorrect
    standard of “recklessness” under applicable Idaho law and that, had the correct standard been
    used, the School would have been entitled to judgment as a matter of law that Mecham did not
    3
    This cap is adjusted annually according to the percentage of Idaho Industrial Commission adjustments to the
    average annual wage, computed pursuant to Idaho Code section 72-409(2). I.C. § 6-1603(1).
    4
    act recklessly. The issues then become whether the trial court erred in the standard of
    recklessness it applied to the School’s various motions and whether the School is entitled to
    judgment as a matter of law.
    1.    Appropriate standard of “recklessness.”
    With respect to the standard of recklessness that should apply under Idaho Code section
    6-1603, the School argues that the correct standard involves an analysis of only the actor’s
    subjective knowledge of a risk, subjective knowledge of the high probability that harm will result
    from that risk, and a conscious decision to proceed with the course of action despite that risk.
    The Hennefers argue a more objective test applies. We agree with the Hennefers.
    Idaho Pattern Civil Jury Instruction 2.25 provides the definition of “willful and wanton,”
    and the comment to this instruction provides that “[t]here appears to be no distinction between
    ‘reckless’ and ‘willful and wanton.’” The instruction says:
    The words “willful and wanton” . . . mean more than ordinary negligence. The
    words mean intentional or reckless actions, taken under circumstances where the
    actor knew or should have known that the actions not only created an
    unreasonable risk of harm to another, but involved a high degree of probability
    that such harm would actually result.
    IDJI 2.25. In Carrillo v. Boise Tire Co., where an instruction on the definition of recklessness
    was given that was substantively identical to IDJI 2.25, this Court discussed the definition of
    “willful or reckless misconduct” as it is used in Idaho Code section 6-1603. 
    152 Idaho 741
    , 751,
    
    274 P.3d 1256
    , 1266 (2012). There, the Court affirmed the trial court’s determination that
    “reckless or willful misconduct is simply a degree of negligence . . . that involves both
    intentional conduct and knowledge of a substantial risk of harm.” 
    Id.
     Though at first glance the
    Court’s use of the words “intentional” and “knowledge” might indicate a purely subjective
    standard for recklessness, we showed there is an objective element to the recklessness standard
    when we elaborated on the differences between recklessness and ordinary negligence. We said:
    Reckless misconduct . . . differs from that form of negligence which consists in
    mere inadvertence, incompetence, unskillfulness or a failure to take precautions to
    enable the actor adequately to cope with a possible or probable future emergency
    in that reckless misconduct requires a conscious choice of a course of action
    either with knowledge of the serious danger to others involved in it or with
    knowledge of facts which would disclose this danger to any reasonable man.
    
    Id.
     (quoting State v. Papse, 
    83 Idaho 358
    , 362, 
    362 P.2d 1083
    , 1086 (1961)) (emphasis added). A
    “serious danger” in the passage above “involves a risk substantially greater in amount than that
    5
    which is necessary to make [the] conduct negligent.” 
    Id.
    In Phillips v. Erhart, we interpreted the meaning of language in an instruction essentially
    identical to IDJI 2.25. 4 
    151 Idaho 100
    , 107, 
    254 P.3d 1
    , 8 (2011). There, the defendant argued
    there was insufficient evidence to prove recklessness because “[t]here [was] no evidence that
    [he] was consciously indifferent to a high probability of harm.” 
    Id.
     We stated that the wording of
    this instruction does “not require the jury to find that [defendant] subjectively knew of the high
    probability of harm. It would be sufficient if he ‘should have known’ that his actions created a
    high probability that harm would actually result.” 
    Id.
     Finally, though not directly in the context
    of Idaho Code section 6-1603, this Court has upheld the use of IDJI 2.25 in the past. Hall v.
    Farmers Alliance Mut. Ins., 
    145 Idaho 313
    , 325, 
    179 P.3d 276
    , 288 (2008); O’Guin v. Bingham
    Cnty., 
    139 Idaho 9
    , 14, 
    72 P.3d 849
    , 854 (2003) (citing with approval the prior version of this
    pattern instruction that is the same in substance though worded differently).
    Phillips, Carrillo, and IDJI 2.25 show that an objective, “should-have-known” standard is
    the appropriate standard of recklessness under Idaho Code section 6-1603. Though the actor
    must make a conscious choice as to his or her course of action, the actor need not subjectively be
    actually aware of the risk or the high probability that harm will result. It is sufficient for a finding
    of recklessness that the actor makes the choice as to his or her course of conduct under
    circumstances where the risk and high probability of harm are objectively foreseeable. Although
    the School cites several cases and statutes that apply a more subjective standard for recklessness,
    none of these sources directly address the use of the term “reckless” within the context of Idaho
    Code section 6-1603. Therefore, we find no reason to deviate from the directly applicable
    authority supporting the more objective approach.
    2.    Motions for judgment as a matter of law.
    a. The School is not entitled to judgment as a matter of law on its appeal of
    the district court’s denial of the School’s motion for summary judgment.
    The School moved for partial summary judgment on the issue of whether Mecham acted
    recklessly or willfully. The district court ruled from the bench, denying the motion. Although the
    School appeals that decision, Idaho strictly adheres to the rule precluding appellate review of a
    district court’s denial of summary judgment where the case has gone through to the finder of
    4
    Although we did not expressly endorse the instruction in Phillips as a correct statement of law since that issue was
    not before the Court, 
    151 Idaho at 107
    , 
    254 P.3d at 8
    , our interpretation of what the identical language means is
    instructive to its meaning in the case at hand.
    6
    fact. Tiegs v. Robertson, 
    149 Idaho 482
    , 485, 
    236 P.3d 474
    , 477 (Ct. App. 2010); see also Hunter
    v. State, Dep’t of Corrs., Div. of Prob. & Parole, 
    138 Idaho 44
    , 46, 
    57 P.3d 755
    , 757 (2002)
    (“An order denying a motion for summary judgment is not an appealable order itself, nor is it
    reviewable on appeal from a final judgment.”). Therefore, we do not address this argument.
    b. The district court did not err by denying the School’s motions for directed
    verdict and JNOV.
    At the close of the Hennefers’ case at trial, and then again at the end of its case, the
    School moved for a directed verdict on the issue of recklessness. These motions were denied.
    The School argues the trial court erred in denying the motions because (1) the trial court applied
    a negligence standard instead of the correct recklessness standard, and (2) had the trial court
    applied the correct standard, the School would have been entitled to a directed verdict because
    there was insufficient evidence to support a claim of recklessness.
    When reviewing a grant or denial of a motion for directed verdict, this Court applies the
    same standard as the trial court that originally heard the motion. April Beguesse, Inc. v. Rammell,
    
    156 Idaho 500
    , 508–09, 
    328 P.3d 480
    , 488–89 (2014). We must determine
    whether there was sufficient evidence to justify submitting the claim to the jury,
    viewing as true all adverse evidence and drawing every legitimate inference in
    favor of the party opposing the motion for a directed verdict. This test does not
    require the evidence be uncontradicted, but only that it be of sufficient quantity
    and probative value that reasonable minds could conclude that a verdict in favor
    of the party against whom the motion is made is proper. Where a non-moving
    party produces sufficient evidence from which reasonable minds could find in its
    favor, a motion for directed verdict should be denied.
    Id. at 509, 328 P.3d at 489. Therefore, to uphold the district court’s denial of the motion, there
    must have been sufficiently quantitative and probative evidence that, viewing all evidence and
    inferences in favor of the Hennefers, reasonable minds could conclude that Mecham acted
    recklessly.
    In addition to the motions for directed verdict, the School also appeals the denial of its
    motion for JNOV. Again arguing the purely subjective standard of recklessness, the School
    argues there was not sufficient evidence to support a jury determination that (1) Mecham actually
    perceived the danger in this case and continued his course of conduct, and (2) Mecham’s course
    of conduct involved a high degree of probability that harm would actually result. When
    reviewing a grant or denial of a motion for JNOV, this Court applies the same standard as the
    trial court that originally heard the motion. Id. We must uphold a jury verdict
    7
    if there is evidence of sufficient quantity and probative value that reasonable
    minds could have reached a similar conclusion to that of the jury. In reviewing a
    grant or denial of a motion for JNOV the court may not reweigh evidence,
    consider witness credibility, or compare its factual findings with that of the jury.
    The court reviews the facts as if the moving party had admitted any adverse facts,
    drawing reasonable inferences in favor of the non-moving party.
    Id.
    In their case at trial, Hennefers brought forth significant evidence that Mecham acted
    recklessly, including: (1) the weather was snowy and foggy; (2) the roads were icy and slick; (3)
    visibility was poor; (4) the road was a 65 mph highway; (5) there were other cars in the vicinity;
    (6) Austin had only three hours driving experience on highways; (7) there were safer places to
    turn around; (8) Mecham had been taught that a three-point turn is the most hazardous type of
    turnabout; (9) Mecham did not use a route plan for the drive, which he had been taught to do;
    and (10) despite all this, Mecham instructed Austin to conduct the three-point turn at the location
    of the accident.
    Viewing the evidence in favor of Hennefers, the weather the morning of the accident was
    foggy, and the roads were very slick. Jennifer Mares testified that when they began their student
    drive the day of the accident, the roads looked slick. She testified that Austin had to turn his high
    beams off because it was foggy and Austin “couldn’t really see very well.” Hugh Derham, the
    first to arrive at the scene of the accident, described the weather and road conditions as “cold,
    wet, icy.” The second witness to arrive at the scene, Officer Ornelas, described the weather
    conditions as follows:
    I remember that the snow that was on the roadway, it was very slick, that nasty
    dry snow that gets packed down into the asphalt and it’s pretty much like black
    ice. . . . And it was pretty much the whole way there, all the way up to what would
    later be the crash scene. It was the same way.
    Officer Miller was called to the scene the morning of the accident. He said as he drove toward
    the accident the road conditions got worse turning “from wet to black ice to a measureable
    amount of ice on the roadway.” He said, as he got closer to the scene,
    there was what I would call a measurable amount of ice on the roadway. You
    could really hear your tires on the—almost as if you were on a gravel road, you
    could sense that you were not traveling on smooth pavement anymore. You could
    see the frozen snow, frozen slush, ice, on the road. It wasn’t what I would call
    black ice. You could definitely see that there was something on the roadway.
    Although at trial there was testimony from Driver’s Education instructors that having a student
    8
    drive in snowy conditions can be a good opportunity for practice, there was no testimony that a
    three-point turn would be appropriate under those conditions.
    In addition to the fog and slick roads, the lighting conditions made visibility very poor, as
    the accident happened within a few minutes of civil twilight. Brian Johns, the person who trained
    Mecham on how to teach Driver’s Education, testified that “the grey hours of twilight and dawn
    are the most dangerous times of the day” because “[v]isibility is reduced but, also, the eyes
    haven’t had time to adjust to the change in light.” He said that during twilight and dawn,
    headlights are more difficult to see because the lighting conditions outside are still slightly light,
    meaning there is less contrast between the headlights and the outdoor lighting conditions. This is
    in contrast to the situation where headlights are easier to see because it is pitch black out and
    there is more contrast between the outdoor lighting conditions and the brightness of the
    headlights. Jamie Maddux, the School’s accident reconstructionist testified that the accident
    occurred right around the most dangerous time of day as far as visibility is concerned. Officer
    Ornelas said the lighting conditions required headlights to be used, but said that one still could
    not “make things out very clear in the distance.” He said that “[t]he dark eats the headlights.”
    The evidence shows the accident happened on Highway 20, a 65 mph highway, and there
    had been other cars in the vicinity. Mares testified that during the drive there were other cars in
    the vicinity. Shortly before the accident, the Driver’s Education vehicle came to the intersection
    with Highway 75. Mares testified they were stopped at that intersection for “a minute or two,
    maybe more,” waiting for traffic to clear. She said “there were a few cars coming down that
    Shoshone Hill—you know like going towards Shoshone, and there was a few cars coming, like,
    from where we were going past west to Boise.” There were also cars coming down off
    Timmerman Hill toward Bellevue. In addition to the cars at the intersection of Highways 75 and
    20, Lopez-Rodriguez’ vehicle was obviously in relatively close proximity to the Driver’s
    Education vehicle, and Hugh Derham’s vehicle was traveling closely enough behind Lopez-
    Rodriguez that Derham could see Lopez-Rodriguez’ taillights and brake lights at the time of the
    crash. Officer Ornelas’ commute to work brought him to the accident scene shortly after it
    occurred. Although Officer Ornelas testified he did not recall there being much traffic the
    morning of the accident, the accident happened during typical commute hours, and by the time
    Ornelas left the scene, roughly an hour after the accident, traffic was backed up a long distance
    in both directions.
    9
    The School attempts to present Austin as being an experienced driver due to his driving a
    motorcycle, four-wheeler, and/or small pickup in connection with work on his family’s farm.
    However, the evidence shows that Austin had not driven on the highway other than in Driver’s
    Education. Additionally, there is no evidence that he had ever performed three-point turns other
    than in Driver’s Education. Austin had just over three total hours driving in Driver’s Education.
    Following the accident, Austin’s father went to the area of the accident to determine
    whether there were other places to turn around that would have been safer than doing a three-
    point turn on Highway 20. He pointed out that there are several driveways visible from the
    location of the accident, and down the road a short distance there were several other locations
    that would have been safe to pull into and turn around. He specifically identified one driveway
    that is brightly lit and would be visible in the dark due to a large yard light. Even the School’s
    expert Jamie Maddux agreed that “[t]here would have been safer maneuvers to perform on that
    morning in those conditions.” He testified, “there were more suitable locations where the turn
    could have been made aided by the use of driveways or turnouts.” And he agreed that there was a
    farmhouse shown in the crash photos and the driveway to that farmhouse would have been a
    safer place to turn around.
    All evidence presented on three-point turns in general tends to show they are the most
    hazardous type of turnabout and should only be used in rare circumstances. Brian Johns testified
    that he teaches all Driver’s Education instructors that three-point turns are hazardous to perform
    because the driver has to cross traffic lanes, the vehicle will be stopped across a traffic lane, and
    “executing this maneuver may put you in a high-risk situation.” He teaches the instructors that
    “[a] three-point turnabout should rarely be used. Use this turnabout only when you are on a dead-
    end street or on a rural roadway with no driveways.” He testified that he taught “the three-point
    turn is the most dangerous” of the types of turnabouts. Mecham testified that he was “taught that
    because a car doing a three-point turn crosses two traffic lanes for a long period of time, that’s a
    high-risk maneuver to do.”
    Brian Johns also testified that Driver’s Education instructors were required to use route
    plans for their drives. These route plans list where the instructor plans to go on the drive and
    what skills the instructor plans to have the students practice during the drive. Johns testified that
    teaching three-point turns is the kind of objective that would appear on a route plan. Although
    teaching three-point turns was part of the curriculum, Johns also testified that, had Mecham
    10
    submitted to Johns a route plan that included a “plan to practice three-point turns on Highway
    20, which is a 65-mile-per-hour road, at twilight, on icy roads,” Johns would not have approved
    that route plan. The evidence shows that Mecham did not use a route plan as he was taught to do.
    Mares testified that after the Driver’s Education vehicle crossed the intersection of Highways 75
    and 20 and had driven a way beyond it, “after a while Mr. Mecham said up ahead you’re going
    to pull over and you’re going to do a three-point turn and then we’re going to switch drivers.”
    Mares testified that it did not seem as though Mecham had altered his plans for the turnabout
    when he had Austin do the three-point turn. She said there was nothing to indicate the three-point
    turn was not Mecham’s plan all along.
    Given the facts above, we find there was sufficient evidence of recklessness to send the
    question to the jury. First, the evidence shows that Mecham made a conscious choice as to his
    course of conduct. Mares testified that Mecham told Austin to perform the three-point turn at the
    location where the accident occurred. Second, Mecham had knowledge of facts that would have
    caused a reasonable person to apprehend the risk under the circumstances in this case. It is clear
    that Mecham knew the weather conditions and road conditions, as they would be apparent to
    anyone in the vehicle. Mecham knew of the lighting conditions and should have known that such
    conditions make it more difficult to see other vehicles. He would have known that they were
    driving on a 65 mph highway and that they had seen several other cars that morning. He knew
    that conducting a three-point turn would cause their vehicle to block both lanes of traffic, that
    their vehicle would be stopped across both lanes, and that a three-point turn is the most
    hazardous turnabout to perform. He knew such a turnabout should only be used on dead-end
    streets or on rural roads with no driveways.
    Further, Mecham knew of facts that would cause a reasonable person to apprehend the
    fact that the risk of harm was substantially greater in amount than the risk necessary to
    characterize one as negligent. Given the inherent hazardousness of the three-point turn and the
    inexperience of the student drivers, any of the aggravating circumstances individually (weather,
    road conditions, lighting conditions, etc.) would raise the question of whether Mecham was
    negligent in telling Austin to perform the maneuver. However, when all those circumstances are
    added together, the degree of risk and likelihood of the harm is significantly compounded.
    Considering the totality of the facts in evidence, the jury could reasonably have concluded that
    Mecham’s conduct rose to a risk-creating level far exceeding that necessary for a finding of
    11
    negligence. Because there is sufficient evidence for reasonable minds to find that Mecham acted
    recklessly, the district court did not err in denying the School’s motions for directed verdict and
    JNOV.
    B.      The district court did not err in instructing the jury.
    The School argues the district court erred in instructing the jury because (1) there was not
    sufficient evidence to support an instruction on recklessness, and the instruction on recklessness
    was an incorrect statement of the law, (2) the order of the special verdict questions over-
    emphasized the element of recklessness and influenced the jury award, and (3) the court’s failure
    to give an instruction on a driver’s duty to keep a proper lookout allowed the jury to unfairly
    place 100% of the fault on Mecham and none on either Austin or Lopez-Rodriguez.
    We exercise free review over the propriety of jury instructions. Mackay v. Four Rivers
    Packing Co., 
    151 Idaho 388
    , 391, 
    257 P.3d 755
    , 758 (2011). The standard for whether a
    particular instruction “should or should not have been given is whether there is evidence at trial
    to support the instruction, and whether the instruction is a correct statement of the law.” 
    Id.
     We
    must review the district court’s “jury instructions as a whole to determine whether the
    instructions fairly and adequately present the issues and state the law.” 
    Id.
     Finally, the district
    court does not err in the use of a special verdict form unless the form incorrectly instructs the
    jury as to the law or the form was confusing. Id.
    1.   The district court did not err in its instruction on “recklessness.”
    Jury instruction 20 provided the following definition of recklessness:
    The words “willful or reckless misconduct” when used in these instructions and
    when applied to the allegations in this case, mean more than ordinary negligence.
    The words mean intentional or reckless actions, taken under circumstances where
    the actor knew or should have known that the actions not only created an
    unreasonable risk of harm to another, but involved a high degree of probability
    that such harm would actually result.
    This instruction is nearly identical to IDJI 2.25, which we approved in Part III.A.1 as the
    appropriate standard for Idaho Code section 6-1603. Jury instruction 20 is a correct statement of
    the law in this case and there was substantial evidence to show Mecham acted recklessly.
    2.   The district court did not err in refusing to re-order the questions on the
    special verdict form.
    Question five on the special verdict form asked the jury to determine whether Mecham
    acted recklessly. Question six then asked the jury to calculate damages sustained by each
    12
    plaintiff. The School argues that placing the question of recklessness immediately preceding the
    question of damages over-emphasized the element of recklessness and influenced the jury award.
    To establish error with a special verdict form, one must show either that the form incorrectly
    instructed the jury on the law or the form was confusing to the jury. Le’Gall v. Lewis Cnty., 
    129 Idaho 182
    , 186, 
    923 P.2d 427
    , 431 (1996).
    The School does not provide any authority or argument to show the special verdict form
    contained a misstatement of the law, nor does the School provide any authority or argument
    tending to show that the jury in this case was somehow confused by the special verdict form. The
    School simply argues that the placement of the recklessness question immediately before the
    damages question would cause the jury to have reckless conduct on its mind as it calculated
    damages, potentially resulting in a higher damage award. However, the jury was otherwise
    instructed on what it was permitted to consider in calculating damages. There is no evidence the
    order of the questions on the special verdict form somehow confused the jury into thinking it
    could deviate from the standards for damages laid out in the jury instructions. There is nothing to
    suggest the jury incorrectly thought it could consider the severity of Mecham’s conduct in
    calculating damages. The School believes the damages to be too high but points to nothing that
    suggests the amount of damages was actually affected by the order of the questions. Therefore,
    the School has not shown the district court erred in including the recklessness question before the
    damages question on the special verdict form.
    3.     The district court did not err in refusing to include an instruction on a driver’s
    responsibility to maintain a proper lookout.
    The School argues it was critical to its case that Austin and Lopez-Rodriguez were not
    keeping a proper lookout as drivers, and the district court erred in failing to allow an instruction
    explaining that every driver has a duty to keep a proper lookout. 5 The Hennefers counter that
    such an instruction, applying only to drivers, is misleading and would have been prejudicial to
    their case because testimony at trial indicated that Mecham had a duty to keep a proper lookout
    5
    The School’s requested and rejected instruction provides:
    The law requires that all drivers keep a proper lookout. Vehicle operators are required to keep
    their vehicles under control at all times, considering actual and potential hazards. It is not only the
    duty of the operator to look, but it is his duty to see and be cognizant of that which is plainly
    visible or obviously apparent, and a failure on his part in this regard, without proper justification
    or reason, makes him chargeable for a failure to see what he should have seen had he been in the
    exercise of reasonable care.
    (Citing Vaughn v. Porter, 
    140 Idaho 470
    , 473, 
    95 P.3d 88
    , 91 (Ct. App. 2004)).
    13
    while driving with students and, by mentioning only “drivers,” this instruction suggests that
    Mecham did not have such a duty. The district court decided that the drivers’ duty to keep a
    proper lookout was adequately covered by the other jury instructions and the testimony that had
    been given at trial. The question then becomes whether the jury was fairly and adequately
    instructed on a driver’s duties of care, considering the instructions as a whole.
    A requested instruction need not be given if it is adequately covered by other instructions.
    Craig Johnson Constr. v. Floyd Town Architects, 
    142 Idaho 797
    , 800, 
    134 P.3d 648
    , 651 (2006).
    Repetitious instructions are improper if the effect is to give undue emphasis to a particular
    theory. Watson v. Navistar Intern. Transp. Corp., 
    121 Idaho 643
    , 667, 
    827 P.2d 656
    , 680 (1992).
    “In all but the most intricate negligence cases, the general definition of negligence sufficiently
    outlines the required standard of care.” McPheters v. Peterson, 
    108 Idaho 107
    , 108, 
    697 P.2d 447
    , 448 (1985) In McPheters, parents brought a tort action against a driver who hit their five-
    year-old child with his car. 
    Id. at 107
    , 
    697 P.2d at 447
    . The district court denied the parents’
    requested jury instructions explaining the standard of care required of the operator of an
    automobile more particularly than the standard definition of negligence. 
    Id.
     at 107–08, 
    697 P.2d 447
    –48. Even though the requested instructions were correct statements of the law taken from
    Idaho Supreme Court opinions, the district court stated that in the circumstances of that case, the
    instructions were “unnecessary, as the approved [Idaho pattern jury] instructions adequately set
    forth the standard of care” in a negligence case. Id. at 108, 
    697 P.2d at 448
    . This Court upheld
    the trial court’s decision to use only the general negligence instructions from the Idaho pattern
    jury instructions, finding that the record did not show the “case was so intricate as to require
    additional instructions amplifying on this general standard of care.” 
    Id.
    Jury instruction 9 said “[i]t was the duty of Jeffrey Mecham, Sergio Lopez-Rodriguez,
    and Austin Hennefer, before and at the time of the occurrence, to use ordinary care for the safety
    of themselves and each other.” Instruction 10 provided the definition of “negligence” and
    “ordinary care,” showing that both drivers and Mecham must have acted with “the care a
    reasonably careful person would use under circumstances similar to those shown by the
    evidence.” Instruction 15 stated that
    [a]ll drivers, including a minor operating a motor vehicle on a public highway, are
    charged with the same standard of conduct as an adult. A person learning to
    operate a motor vehicle under the tutelage of another is liable for injuries resulting
    from his own negligence in the operation of such vehicle.
    14
    Instruction 16 provided that a driving instructor assumes a duty to act with due care in his/her
    instruction, and that failure to act as an ordinarily reasonable driving instructor would constitute
    negligence. Instruction 18 applied expressly to drivers, providing that the drivers cannot turn a
    vehicle around unless they can do so “in safety and without interfering with other traffic.”
    Instruction 19 expressly applied to drivers and provided that a vehicle cannot be driven at a
    speed greater than reasonable and prudent under the conditions, and having regard to actual and
    potential hazards, including inclement weather.
    Taken as a whole, these instructions fairly and adequately cover a driver’s duties of care
    and an additional instruction on a driver’s duties would have been unnecessarily repetitive and
    placed undue emphasis on the drivers’ duties over Mecham’s duties. Under instructions 9 and 10
    the jury could take everything into account that it believed should be done by a reasonably
    prudent driver and instructor. This would include keeping a lookout. Although the School argues
    the jury may have thought it could not find Austin at fault because he was only doing as he was
    instructed when he performed the turnabout, instruction 15 specifically shows that Austin was
    not absolved from responsibility for any negligent acts on his part purely by reason of being a
    minor or a driving student. Instructions 16 and 18 show that both Mecham and Austin were
    responsible for the safe execution of the turnabout because Mecham must have instructed Austin
    prudently and Austin must have executed the turnabout safely. Finally, instruction 19 would
    cover Lopez-Rodriguez’ duty to keep a lookout under the circumstances because it provides that
    one is negligent if he/she does not have regard for the potential hazards on the road and must
    drive at a prudent speed considering those potential hazards. Given that the instructions clearly
    apply duties of care to Austin and Lopez-Rodriguez that would include keeping a lookout, the
    lookout duty is adequately covered by other instructions and an additional instruction on the
    matter would be unnecessarily repetitious. Mecham also had a duty to keep a proper lookout and,
    as the Hennefers point out, a specific lookout instruction would be misleading to the jury in that
    it would suggest only the drivers and not Mecham had such a duty. Even though the School’s
    proffered instruction may have been a correct statement of law, this case is not so intricate as to
    require the court to expand upon the duties contained in the other instructions.
    C.     The district court did not err in refusing to grant the School’s motion for a new
    trial.
    1.    The School was not entitled to a new trial based on the amount of the verdict.
    The jury returned a verdict of $1.5 million non-economic damages for Mr. Hennefer and
    15
    $2 million non-economic damages for Ms. Hennefer. Following trial, the School moved the
    district court to grant a new trial under Idaho Rule of Civil Procedure 59(a)(5). The district court
    denied this motion. The School argues the amount of the verdict entitles the School to a new trial
    because (1) the district court refused to weigh the evidence and decide what award it would have
    given as compared to the award given by the jury; (2) the amount of the award was the product
    of passion or prejudice; and (3) the amount of the award was punitive in nature.
    The main thrust of the School’s argument is that the Hennefers’ attorney sought to
    inflame the jury during his closing statement by misstating and misrepresenting the facts and law
    and that the district judge did not act as an appropriate check on the excessive amount of the
    consequent award by properly comparing it with what he would have awarded. The School
    complains, for instance, that counsel told the jury Austin only had three hours of driving
    experience, whereas Austin had driven a motorcycle, a four-wheeler, and other vehicles around
    the farm for at least two years prior to the accident. Counsel for the Hennefers was likely
    referring to the 3.33 hours Austin had logged in driving on highways with an instructor. Riding a
    motorcycle or four-wheeler around the farm is not quite comparable to driving on a state
    highway. That may be why the Legislature requires a license for one of the activities but not the
    other. It is hard to find a misrepresentation and, if there was one, counsel for the School could
    certainly have either objected to the argument or pointed out the distinction in his own closing
    argument.
    The School claims that Hennefers’ counsel introduced new evidence by telling the jury
    he came up with the amount of damages he was asking for on behalf of the Hennefers based on
    studies done by the government. When the School’s counsel objected on the basis of there being
    “no evidence of this type of thing,” the district judge said: “There’s not. You’re arguing
    something that’s not in evidence.” The jury could properly have concluded that the district court
    was correct—that there was no evidence of such studies.
    The School argues that, “most significantly,” the Hennefers’ counsel told the jury “the
    inclusion of a jury instruction on recklessness was a comment on the evidence by the judge.”
    Counsel argued, “[w]e contend the School District was reckless because it was, and the Judge
    has instructed you on recklessness because he thinks the facts support it.” One might interpret
    this as the School does—a remark tending to show that the judge was siding with the Hennefers
    on the issue of recklessness—but it could also be construed as meaning the judge had decided to
    16
    give an instruction on recklessness merely because he determined that there was sufficient
    evidence to allow the recklessness question to go to the jury. In any event, the School made no
    objection to the comment at the time and therefore did not preserve the issue for appeal.
    Furthermore, in jury instruction 1, the judge instructed the jury, “[w]hile the arguments and
    remarks of attorneys may help you understand and apply the instructions, what they say is not
    evidence. If an attorney’s argument or remark has no basis in the evidence, you should disregard
    it.” There is no evidence that the jury failed to follow this instruction.
    A new trial may be granted if there has been an award of “[e]xcessive damages, . . .
    appearing to have been given under the influence of passion or prejudice.” I.R.C.P. 59(a)(5);
    April Beguesse, Inc., 156 Idaho at 513, 328 P.3d at 493. In deciding whether a jury award was
    excessive, the district court must weigh the evidence, determine the award it would have granted
    under the circumstances, and compare its award to the amount awarded by the jury. Id. If there is
    such a disparity between the amounts that the jury award appears to have been awarded under the
    influence of passion or prejudice, the award should not be upheld. Id. The trial court has broad
    discretion in making this determination and may draw upon its experiences with previous cases
    to reach its determination of an appropriate award. Quick v. Crane, 
    111 Idaho 759
    , 766, 769, 
    727 P.2d 1187
    , 1194, 1197 (1986). Appellate review of the trial court’s discretionary decision asks
    (1) whether the district court correctly perceived the issue as one of discretion; (2)
    whether the district court acted within the outer boundaries of its discretion and
    consistently with the legal standards applicable to the specific choices available to
    it; and (3) whether the district court reached its decision by an exercise of reason.
    Hughes v. State, Idaho Dep’t of Law Enforcement, 
    129 Idaho 558
    , 561, 
    929 P.2d 120
    , 123
    (1996).
    In deciding whether the jury award was so excessive as to merit a new trial, the district
    court noted its experience with Blaine County juries determining damages in personal injury
    cases since 1992. Noting a juror’s comment during jury selection, the court remarked that the
    whole question of damages was, “[w]hat’s a human life worth. I think the plaintiff proved its
    case and the jury gave their opinion of what a human life is worth—or what this human life was
    worth.” The court suggested that every case is different and every jury is different. It would be
    unlikely for two different juries to come up with identical awards under a particular personal
    injury case. Again noting its task to compare the award it would have given with the award the
    17
    jury gave, the court stated, “I cannot say the [jury] verdict shocks the conscience.” 6
    The court’s ruling on the issue of excessive damages culminated in the following
    language:
    The Court’s role is to search the record, view credibility, determine whether there
    is evidence or an inference of passion or prejudice or something wrong with the
    verdict before the Court acts. The plaintiff has pointed to multiple verdicts that
    run from $250,000 to $9 million. I want to point out that the verdict here was
    unanimous. I would say that any person who could stand here and say that the
    jury got it wrong in this case did not listen to the evidence. I agree with Mr.
    Hepworth that the relationship of the parents to the child was very close. I think
    the jury measured that. I cannot say that the disparity between the jury’s award
    and what the Court would have awarded was so great as to suggest the award was
    what might have been expected of a jury acting under the influence of passion or
    prejudice. If I had been on that jury, I cannot say my verdict would have been any
    different. . . . In measuring this [award] under the standards the law provides, is
    this a result of passion or prejudice? I cannot say that. I think the jury valued a
    human life.
    Although the court also expressed its distaste for having the task of second-guessing the jury
    award, it is evident the court drew upon its experience in past cases to determine an appropriate
    award based on the evidence in this case. It specifically stated one of the factors it considered
    was the relationship Austin had with his parents. By saying that one who claims the jury got the
    award wrong must not have listened to the evidence, the court implies that one who did hear the
    evidence, including the court, would agree with the jury’s award. The judge suggested that, had
    he been on the jury instead of acting as the judge, he would have agreed to the award the jury
    gave. Though the court did not expressly state a dollar amount it would have awarded, the
    court’s analysis shows it went through the necessary steps of weighing the evidence, comparing
    what it would have awarded to the amount the jury actually awarded, and determining there was
    not a disparity between those amounts sufficient to warrant a new trial. Therefore, the court acted
    within the bounds of its discretion and consistently with the applicable legal principles.
    Additionally, by explaining the applicable standard, going through an analysis of the
    steps in that standard, and concluding a new trial was not appropriate, the district court showed it
    reached its determination by an exercise of reason. Therefore, we hold that the district court did
    not abuse its discretion in deciding a new trial was not warranted by virtue of the amount of the
    6
    “Shocking the conscience” is one articulation of how disparate the jury’s award and the court’s hypothetical award
    must be before the court should grant a new trial based on excessive damages. Quick, 
    111 Idaho at
    769–70, 
    727 P.2d at
    1197–98.
    18
    award.
    2.   The School was not entitled to a new trial by reason of insufficient evidence or
    an error in law occurring at trial.
    In addition to seeking a new trial based on the claim of an excessive verdict, the School
    also moved for a new trial under Idaho Rules of Civil Procedure 59(a)(6) & (7). Under these
    sections, the trial court may grant a new trial if the evidence is insufficient to justify the verdict,
    or there was an error in law that occurred at trial. I.R.C.P. 59(a)(6) & (7). The School argues the
    error in law was the standard for recklessness applied by the court. It argues that the court
    ignored the elements of knowledge and foreseeability. As discussed above, the court applied the
    appropriate standard for recklessness in the context of Idaho Code section 6-1603 so there was
    no error of law as the School argues.
    As to the question of sufficiency of the evidence, the School’s arguments are without
    merit. In its briefing and argument on its Rule 59(a)(6) motion, the School’s primary argument to
    the trial court was that the evidence presented at trial could not justify the jury’s verdict that
    Lopez-Rodriguez was not negligent with respect to the accident. The School appears to have
    abandoned this theory on appeal since its appellate briefs do not mention Lopez-Rodriguez’
    alleged negligence in the Rule 59(a)(6) arguments. The arguments the School does make under
    Rule 59(a)(6) are all premised on the School’s position that the district court should have applied
    a purely subjective recklessness standard requiring proof that Mecham had actual knowledge of
    Lopez-Rodriguez’ approaching vehicle, actually apprehended the risk associated with that
    vehicle, and instructed Austin to make the turnabout anyway. Because this is the incorrect
    standard, the School’s argument fails.
    D.       The district court did not err by allowing Joellen Gill to testify.
    The School argues it was error to allow the testimony of Joellen Gill at trial because (1)
    the Hennefers called Gill as a rebuttal witness, but her testimony was not actually rebuttal to
    anything; (2) Lopez-Rodriguez was available to testify at trial as to what he saw, rather than
    having Gill testify as to what Lopez-Rodriguez saw; (3) Gill’s testimony speculated as to others’
    states of mind; (4) Gill did not testify to anything the jurors could not have concluded on their
    own; and (5) her testimony invaded the province of the court by attempting to show Austin had
    no legal duty of care.
    In response to the School’s first argument, the Hennefers argue they called Gill to rebut
    the School’s arguments that Lopez-Rodriguez should have seen the Driver’s Education vehicle
    19
    with plenty of time to stop and that Austin was negligent in making the turnabout in front of
    Lopez-Rodriguez. “Rebuttal evidence is evidence which explains, repels, counteracts, or
    disproves evidence which has been introduced by or on behalf of the adverse party. The mere
    fact that testimony might well have been presented during [a party’s] case in chief does not, by
    itself, make it inadmissible for rebuttal.” State v. Moses, 
    156 Idaho 855
    , 867, 
    332 P.3d 767
    , 779
    (2014) (internal quotation marks and citations omitted).
    The School retained accident reconstructionist Jamie Maddux to testify about the
    circumstances surrounding the accident. Maddux made the following representations in his
    testimony: he “reached the conclusion that [Lopez-Rodriguez] had plenty of time to have been
    able to have seen what was going on up the road ahead of him, and he had enough time that he
    could have slowed down and come to a stop long before the collision ever occurred”; “the
    actions of Mr. Lopez, the excessive speed and the failure to notice the Buick from a reasonable
    distance, was the primary contributing factor to the crash”; “there is a very good likelihood that
    had [Lopez-Rodriguez] stayed in the westbound lane, the collision would not have occurred.”
    This testimony by Maddux was offered for the purpose of establishing that Lopez-Rodriguez’
    negligence caused the accident. The Hennefers called Gill, a human factors expert, 7 to rebut this
    testimony. Gill testified as to experiments she performed under lighting conditions similar to
    those at the time of the accident in order to determine what each person involved was capable of
    seeing under the circumstances of this accident. She also explained from a human factors
    perspective how, in her opinion, Lopez-Rodriguez may have interpreted what he was seeing
    when he first saw the marker lights on the Driver’s Education vehicle. Maddux’ testimony was
    offered by the School to show Lopez-Rodriguez was driving in an unreasonable way, given the
    conditions, and that he did not act reasonably when he first saw the marker lights. Gill’s
    testimony on the matter was in direct rebuttal to the School’s argument and was an attempt to
    show Lopez-Rodriguez did act reasonably based on how he perceived what he saw.
    Additionally, throughout litigation in this case, the School maintained that Austin acted
    7
    Ms. Gill is employed by Applied Cognitive Sciences, a human factors engineering consulting firm. Her firm does
    theoretical research in the area of human factors, sets up safety programs, and does forensic work like that in this
    case “where there is a need for someone to evaluate the circumstances from a human factors and safety perspective.”
    Gill described “human factors engineering” as:
    the combination of two seemingly very different sciences; that would be the science of design
    engineering on one hand and the science of cognitive psychology on the other hand. In other
    words, it’s a discipline that takes into account how people think, how people interact with their
    environment, how people process and perceive information. . . .
    20
    negligently in performing the three-point turnabout. Despite the School’s concession that Austin
    performed the turnabout at Mecham’s instruction, the School contends Austin should have
    known better than to do so. The Hennefers argued that Austin was not negligent because he
    simply did as he was instructed to do. The Hennefers called Gill to testify that even if Austin did
    know better than to do a three-point turn under the circumstances, Austin may not have acted
    unreasonably from a psychological perspective by failing to question Mecham’s authority.
    Because Gill’s testimony on this issue was offered to explain Austin’s actions and disprove
    Austin’s negligence, it is proper rebuttal evidence.
    The School secondly argues it was inappropriate for Gill to testify to what Lopez-
    Rodriguez saw as he approached the Driver’s Education vehicle because Lopez-Rodriguez was
    available to testify as to what he saw or thought he saw. However, the Hennefers did not use Gill
    to introduce any evidence as to what Lopez-Rodriguez saw. Lopez-Rodriguez’ statement as to
    what he thought he saw as he approached the Driver’s Education vehicle was already in
    evidence. Gill was merely asked to explain her opinion as to how Lopez-Rodriguez’ statement
    that he saw the Driver’s Education vehicle parked to the side of the road just before impact
    conforms to what the rest of the testimony shows—that the Driver’s Education vehicle was
    actually positioned across both lanes in the process of a three-point turn. Lopez-Rodriguez was
    likely not qualified from a psychological, human-factors perspective to explain how his
    perception of the Driver’s Education vehicle fit with the rest of the evidence.
    Lopez-Rodriguez’ statement as to what occurred to cause the accident was admitted
    through Officer Ornelas, who spoke with Lopez-Rodriguez at the scene of the accident. 8 Lopez-
    Rodriguez’ account of the accident was as follows:
    He said after he had got on 20 and he was traveling, he said he noticed a vehicle
    off the side of the road up ahead of him. Mr. Lopez told me that he—as he got
    closer, he slowed down, and as he got really close up to the vehicle, he moved
    over . . . to his left, towards the center of the road. I remember Mr. Lopez was
    shaking his head. He goes, I don’t know why they did it, but the car turned in
    front of me. Mr. Lopez told me that he tried to stop. But he was not able to stop
    his car, and he hit the car when it was right in the middle of the road.
    Given Maddux’ testimony that Lopez-Rodriguez would have been able to see the other vehicle
    and had time to stop, Gill’s testimony was necessary to explain from a psychological, human-
    8
    Lopez-Rodriguez’ statement was admitted through Ornelas under Idaho Rule of Evidence 803(2) concerning
    excited utterances and the district court’s ruling on that matter has not been appealed.
    21
    factors perspective why it was reasonable for one to interpret the scene as Lopez-Rodriguez had.
    Because Lopez-Rodriguez was not qualified to give testimony from this human-factors
    perspective, Lopez-Rodriguez’ availability is immaterial as to whether Gill’s testimony on the
    matter was admissible.
    Thirdly, the School argues Gill’s testimony included speculation as to Lopez-Rodriguez’
    and Austin’s states of mind, and there was no evidence to suggest she knew what Lopez-
    Rodriguez or Austin was thinking. This argument is unpersuasive. Contrary to the School’s
    argument, Gill did not testify to Lopez-Rodriguez’ state of mind. The statement of what Lopez-
    Rodriguez thought he saw as he approached the other vehicle was already in evidence. Lopez-
    Rodriguez, himself, explained his state of mind to Ornelas at the scene of the accident. From
    Lopez-Rodriguez’ perspective, the Driver’s Education vehicle was parked to the side of the road
    and then turned out in front of him at the last second. Gill’s testimony was simply used to
    explain, based on scientific evidence about typical driver behavior, driver expectation, and driver
    visual gaze, why Lopez-Rodriguez’ state of mind was reasonable, given what he thought he had
    seen. It was Lopez-Rodriguez—not Gill—who stated what Lopez-Rodriguez thought he had
    seen. Therefore, Gill was not speculating as to Lopez-Rodriguez’ state of mind.
    Additionally, Gill did not speculate as to Austin’s state of mind. She explained general
    psychological studies about transference of authority and stated “even if [Austin] believed and
    knew that a three-point turn in this location was something that he shouldn’t do because it was
    hazardous,” he was not likely to protest Mecham’s instruction. (Emphasis added). She did not
    speculate and opine that Austin did in fact think it was dangerous to perform a three-point turn
    under the circumstances. She simply explained that if the jury thought Austin knew the
    maneuver was unsafe, he would not necessarily be unreasonable in performing the maneuver
    anyway.
    Fourth, the School argues Gill testified unnecessarily to conclusions the jury was
    qualified to make based on its experience and knowledge. A witness “qualified as an expert by
    knowledge, skill, experience, training, or education” may testify to his or her opinion regarding a
    fact in issue “if scientific, technical, or other specialized knowledge will assist the trier of fact to
    understand the evidence.” I.R.E. 702. The purpose of allowing an expert witness to testify is to
    “provide testimony on subjects that are beyond the common sense, experience and education of
    the average juror. Where the normal experience and qualifications of lay jurors permit them to
    22
    draw proper conclusions from given facts and circumstances, then expert conclusions or opinions
    are inadmissible.” Rockefeller v. Grabow, 
    136 Idaho 637
    , 647, 
    39 P.3d 577
    , 587 (2001) (internal
    citations omitted). The layout and circumstances surrounding an accident scene are often
    complicated. This is especially true here where Lopez-Rodriguez, as one of only two people with
    a memory of the accident, testified to perceiving the circumstances significantly differently than
    Mares and the accident reconstructionists. It is likely the typical juror could not have reconciled
    why Lopez-Rodriguez’ account of the accident varied from the others. This may have caused the
    jury to question whether Lopez-Rodriguez was simply trying to avoid liability by stating that the
    Driver’s Education vehicle pulled in front of him at the last second. Gill’s testimony was
    necessary to explain from a scientific perspective that Lopez-Rodriguez was reasonable in how
    he interpreted what he saw. It is unlikely the jury would have been able to reach that conclusion
    on its own.
    It is likewise unlikely that the jury would have had an explanation for why Austin may
    have been reasonable in performing a three-point turn under circumstances he may have known
    were unsafe. Gill holds qualifications in human-factors analysis and spends a significant amount
    of time analyzing human behavior. While the jury could have discussed what each of the jurors
    may have done under similar circumstances, without Gill’s testimony, the jury would likely not
    have known the extent to which people are typically willing to transfer decision-making
    authority to authority figures. The jury may not have been able to conclude such a transference
    of authority is reasonable.
    Lastly, the School argues Gill’s testimony was an attempt to show Austin had no duty of
    care, which invaded the province of the court. This argument is also unpersuasive. Gill’s
    testimony contained no mention of Austin’s duty to act reasonably or to operate his vehicle in a
    reasonable manner. Her testimony simply attempted to show that the way Austin acted under the
    circumstances was reasonable, and that therefore, he did not breach his duty. Additionally, the
    jury was given specific instructions showing Austin did have a duty to act reasonably for the
    safety of himself and others. Therefore, even if Gill’s testimony could have been interpreted as
    an attempt to show Austin did not have a duty, given the prevalence of the instructions showing
    Austin did have a duty, any error in allowing Gill’s testimony in this respect is harmless.
    E.     The district court did not err in denying the Hennefers’ claim for attorney fees.
    During pre-trial discovery, the Hennefers requested that the School admit (1) Austin was
    23
    not negligent with respect to the accident, and (2) Mecham was negligent in his conduct with
    respect to the accident. The School refused to admit either proposition. Following trial, the
    Hennefers moved for costs and fees pursuant to Idaho Rule of Civil Procedure 37(c) for the
    School’s failure to admit these propositions. Rule 37(c) states in relevant part:
    (c) Expenses on Failure to Admit. If a party fails to admit . . . the truth of any
    matter as requested under Rule 36, and if the party requesting the admissions
    thereafter proves . . . the truth of the matter, the requesting party may apply to the
    court for an order requiring the other party to pay the reasonable expenses
    incurred in making that proof, including reasonable attorney's fees. The court
    shall make the order unless it finds that . . . (3) the party failing to admit had
    reasonable ground to believe that the party might prevail on the matter, or (4)
    there was other good reason for the failure to admit.
    I.R.C.P. 37(c). In opposition to this motion, the School argued that Idaho Code section 6-918A
    precludes the award of attorney fees absent a showing by clear and convincing evidence that the
    School “was guilty of bad faith in the . . . defense of the action.” 9 I.C. § 6-918A. Additionally,
    the School argues that its denial of the Hennefers’ requested admissions falls within one of the
    exceptions in Rule 37(c), meaning attorney fees are not appropriate. The trial court agreed with
    the School on both of these arguments.
    We hold that sanctions are not warranted for the School’s failure to make the requested
    admissions. Despite the phrase in Rule 37(c) stating that “the court shall make the order unless . .
    . ,” the “decision to award fees under this section is discretionary and is accordingly reviewed
    under the abuse-of-discretion standard.” I.R.C.P. 37(c) (emphasis added); Schwan’s Sales Enters.
    v. Idaho Transp. Dep’t, 
    142 Idaho 826
    , 835, 
    136 P.3d 297
    , 306 (2006). The determination of
    whether an exception applies is also within the discretion of the trial court. Contreras v. Rubley,
    
    142 Idaho 573
    , 577, 
    130 P.3d 1111
    , 1115 (2006).
    In deciding not to award attorney fees under Rule 37(c), the district court stated that one
    of the exceptions in that section applied because the School had reasonable grounds to think it
    would prevail on the matter. The court stated that, although the jury did not agree, the School
    was reasonable in believing it could have proven Austin and/or Lopez-Rodriguez were negligent
    and partially responsible for the accident. The Hennefers cite three cases, arguing each has
    upheld the trial court’s award of attorney fees under Rule 37(c). However, only one of these
    cases, Contreras, is a decision of this Court and it is easily distinguishable.
    9
    We need not decide whether attorney fees would be appropriate under the bad faith standard of Idaho Code section
    6-918A because the Hennefers specifically stated they were not claiming fees under that section at the trial level.
    24
    First, in Contreras we upheld the trial court’s discretionary decision to award attorney
    fees under Rule 37(c), while here the Hennefers ask the Court to reverse the trial court’s
    discretionary decision to deny attorney fees. See 
    id.
     Second, the facts in Contreras as to the
    defendant’s negligence were more compelling there than they are in the case at hand. There, after
    being involved in a car accident, defendant was cited for driving too fast for the conditions and
    the responding police officer concluded in his report that defendant’s driving was a contributing
    circumstance to the resulting accident. 
    Id.
     at 577–78, 
    130 P.3d at
    1115–16. These facts tend to
    show that the Contreras defendant was at least partially negligent in causing the accident.
    Conversely, Mecham was not issued any kind of citation, charged with any crime, nor was it
    alleged that he violated a statute. The facts of the case at hand are not so closely analogous to
    Contreras to convince this Court that the district court abused its discretion in deciding the
    School acted reasonably in denying the requested admissions.
    In deciding whether attorney fees were appropriate under Rule 37(c), the trial court
    analyzed the language of that section and found that one of the exceptions applied. The
    Hennefers have not made any convincing arguments that the trial court acted outside the bounds
    of its discretion or failed to reach its conclusion by an exercise of reason. Therefore, we uphold
    the trial court’s decision declining to award attorney fees under Rule 37(c).
    F.      The Hennefers are not entitled to attorney fees on appeal.
    The Hennefers argue they are entitled to attorney fees on appeal under Idaho Code
    section 6-918A because the School essentially asked the Court to second-guess the jury’s
    findings of fact and used the appeal as a delay tactic. Idaho Code section 6-918A provides in
    relevant part that:
    reasonable attorney fees may be awarded to the claimant, . . . as costs, in actions
    under this act, upon petition therefor and a showing, by clear and convincing
    evidence, that the party against whom or which such award is sought was guilty
    of bad faith in the . . . defense of the action.
    There are not facts in this case that amount to a showing of bad faith on the School’s part. While
    the School does ask the Court to re-examine the facts considered by the jury, the main focus of
    the School’s argument is that those facts were examined below using an incorrect legal standard.
    Idaho law employs different legal standards for “recklessness” in a number of different contexts,
    and the School used a line of Idaho case law to reasonably argue the incorrect standard was used.
    Additionally, if the Court decided the School had argued the correct legal standard for
    25
    recklessness, it would be necessary to re-examine the facts under that standard. Therefore, the
    School was not acting in bad faith in arguing that the facts needed to be re-examined under its
    proposed standard.
    The Hennefers admitted below that the School did not defend the cause of action against
    it frivolously when it stated, “I’m not claiming that their defense was frivolous. . . . I’ve never
    alleged that the defense was frivolous.” As is the case on appeal, much of the School’s argument
    below centered around its claim that Idaho law supported a different standard for recklessness
    than the district court applied. If those arguments were not frivolous before the district court, it
    would likewise not be frivolous to make the argument to this Court that the district court erred on
    those matters. Because the Hennefers have not shown that the School maintained its defense in
    bad faith, attorney fees under Idaho Code section 6-918A are not appropriate.
    IV.
    CONCLUSION
    We affirm the judgment and post-trial orders of the district court. Costs to the Hennefers.
    Chief Justice BURDICK, and Justices EISMANN and HORTON CONCUR.
    Justice W. JONES dissents without opinion.
    26