Dewane Beasey v. Ford Motor Company ( 2020 )


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  •            RENDERED: SEPTEMBER 25, 2020; 10:00 A.M.
    NOT TO BE PUBLISHED
    Commonwealth of Kentucky
    Court of Appeals
    NO. 2018-CA-0724-MR
    DEWANE BEASEY                                         APPELLANT
    APPEAL FROM JEFFERSON CIRCUIT COURT
    v.          HONORABLE DARRYL LAVERY, JUDGE
    ACTION NO. 16-CI-001184
    FORD MOTOR COMPANY; ABEL
    CONSTRUCTION COMPANY, INC.;
    AND ESIS, ON BEHALF OF ALLIED
    BARTON SECURITY SERVICES, LLC                          APPELLEES
    AND                  NO. 2018-CA-0824-MR
    ABEL CONSTRUCTION COMPANY, INC.             CROSS-APPELLANT
    CROSS-APPEAL FROM JEFFERSON CIRCUIT COURT
    v.          HONORABLE DARRYL LAVERY, JUDGE
    ACTION NO. 16-CI-001184
    DEWANE BEASEY; FORD MOTOR
    COMPANY; AND ESIS, ON BEHALF
    OF ALLIED BARTON SECURITY
    SERVICES, LLC                                                CROSS-APPELLEES
    AND                           NO. 2019-CA-0105-MR
    DEWANE BEASEY                                                        APPELLANT
    APPEAL FROM JEFFERSON CIRCUIT COURT
    v.               HONORABLE ANNIE O’CONNELL, JUDGE
    ACTION NO. 16-CI-001184
    FORD MOTOR COMPANY; ABEL
    CONSTRUCTION COMPANY, INC.;
    AND ESIS, ON BEHALF OF ALLIED
    BARTON SECURITY SERVICES, LLC                                          APPELLEES
    OPINION
    AFFIRMING
    ** ** ** ** **
    BEFORE: ACREE, CALDWELL, AND LAMBERT, JUDGES.
    CALDWELL, JUDGE: While working as a fire and security officer, Dewane
    Beasey injured himself by stepping into a water-filled hole at a construction site at
    the Ford Motor Company (Ford) plant in Louisville in 2016. Beasey sued, among
    others, Ford and Abel Construction Company, Inc. (Abel), who was helping
    -2-
    construct an addition to Ford’s facility. A jury ruled in favor of Ford but found
    Abel 60% at fault on a negligence per se claim alleging a breach of the Kentucky
    Building Code (the Code), assigning the other 40% of fault to Beasey. The trial
    court then, unusually, issued two judgments. Though there are stylistic differences
    between them, the main substantive difference, for purposes of these appeals, is
    that the first judgment stated that Beasey was entitled to interest but the second
    made no mention of interest. Beasey appealed, listing both judgments; Abel cross-
    appealed, listing only the second judgment. Appeal Nos. 2018-CA-0724-MR and
    2018-CA-0824-MR.
    Beasey asserted Abel’s cross-appeal was untimely. Therefore, Abel
    successfully asked us to stay the already-pending appeals while it sought relief
    under Kentucky Rule of Civil Procedure (CR) 60.02 in the trial court to clear up
    which judgment controlled. The trial court’s ruling did not address CR 60.02, but
    instead held the second judgment was intended to supersede the first and the lack
    of language indicating that intent in the second judgment was a clerical error
    subject to correction at any time under CR 60.01. Beasey then filed appeal No.
    2019-CA-0105-MR, asserting the trial court’s order was improper. We elect to
    resolve all three related appeals in this opinion.
    -3-
    RELEVANT FACTUAL AND PROCEDURAL HISTORY
    Procedurally, these three appeals are reminiscent of a civil procedure
    final exam in their complexity. The underlying facts which gave rise to Beasey’s
    suit are simpler, however.
    In January 2016, Beasey, a fire and security officer for Allied Barton
    Security Services (Allied), responded to a call about a burst or leaking pipe at the
    Ford plant. Beasey tried to locate the riser to drain the pipe. In so doing, he
    stepped into the construction site. Plastic sheeting and/or a plywood barricade
    erected by Abel to, ostensibly, prevent entry to the construction site had been
    removed or pushed aside. Beasey saw water on the floor near a column but
    thought it was only a puddle. Unfortunately, the water filled a roughly three-feet-
    deep hole. Beasey stepped into the hole and injured his knee and shoulder.
    Beasey then filed the underlying action, alleging ordinary negligence
    against Abel for failing to warn/properly barricade the construction site and
    negligence per se for failing to insulate properly the burst pipe, as allegedly
    required by the Code via adoption of a national set of standards, the National Fire
    Protection Agency Standards (the NFPA). Beasey also alleged Ford was negligent
    for failing to maintain the aging pipe.
    The matter progressed to a lengthy trial held in March 2018. The jury
    found against Beasey on all ordinary negligence claims. However, on the
    -4-
    negligence per se claim, the jury found that Abel had failed to meet its duties under
    the Code and that failure was a substantial factor in Beasey’s injuries, assigning
    60% of the fault to Abel and 40% to Beasey. The jury awarded Beasey a total of
    $314,253.53 in damages, $250,000.00 of which was for pain and suffering and
    $64,253.53 of which was for past medical expenses.
    On April 2, 2018, Beasey’s counsel e-filed a proposed judgment
    which contained photocopies of the verdict forms completed by the jury and an
    additional page stating that Beasey was entitled to recover $188,552.11 from Abel
    (a forty-percent reduction from the jury’s verdict due to its finding Beasey forty-
    percent at fault), which “shall accrue interest at the rate of SIX PERCENT (6%)
    compounded annually . . . .” Apparently, counsel did not circulate the proposed
    judgment amongst opposing counsel before tendering it. The next day, the trial
    court issued a short order requiring Beasey to file within ten days “a proposed
    judgment consistent with the jury’s verdict. Prior to filing, Plaintiff shall provide a
    copy to counsel for each Defendant for each to sign off and approve as to form
    only.”1
    Counsel for the various defendants were not satisfied with Beasey’s
    proposed judgment because, inter alia, it failed to address the trial court’s directed
    verdict rulings. On April 11, counsel for Ford circulated a proposed judgment. No
    1
    The judge signed that order on April 2, but it was not filed until April 3.
    -5-
    party, however, alerted the court to any objection it had to Beasey’s proposed
    judgment. Thus, the court signed Beasey’s tendered judgment, and that signed
    judgment was entered by the clerk of court on April 12, 2018 (hereafter the “first
    judgment.”).2 Abel contends it did not timely receive copies of the first judgment.
    On April 18, 2018, counsel for Ford tendered another judgment. That
    judgment did not say that it amended, superseded, or supplemented the extant
    judgment. Indeed, it did not mention the first judgment, nor did it mention any
    entitlement by Beasey to interest. It did, however, contain a statement that all
    counsel, including counsel for Beasey, agreed for it to be entered. Despite the
    existence of the first judgment, and even though the second judgment did not
    comply with the court’s order because it was not tendered by Plaintiff’s counsel or
    within the ten-day deadline for submitting proposed judgments, the circuit judge
    signed the second tendered judgment (hereafter the “second judgment”) on April
    20, 2018, and it was entered by the clerk of court on April 23, 2018.3
    On May 10, 2018, Beasey filed a notice of appeal stating that he was
    appealing from both the first and second judgments. On May 30, 2018, Abel filed
    its notice of cross-appeal, stating that it was appealing from the second judgment.
    2
    Curiously, the trial judge signed the judgment on April 3, but it was not entered for nine days.
    The reason for that unusually lengthy gap is not apparent from the face of the record.
    3
    April 20, 2018, was a Friday; April 23, 2018, was the following Monday.
    -6-
    The date of Abel’s cross-appeal is important because CR 74.01(1) provides in
    relevant part that a cross-appeal must be filed “not later than 10 days after the last
    day allowed for the filing of a notice of appeal.” A party has thirty days after the
    judgment to file a notice of appeal under CR 73.02(1), so Beasey’s appeal from the
    first judgment would have been due May 14, 2018,4 meaning Abel’s cross-appeal
    from the first judgment would have been due ten days later (May 24, 2018). In
    short, Abel’s May 30, 2018 cross-appeal is timely if the appellate window is
    calculated from the entry of the second judgment but untimely if calculated from
    the entry of the first judgment.
    Given Beasey’s position that Abel’s cross-appeal was untimely, in
    October 2018, Abel filed a motion to vacate the first judgment pursuant to CR
    60.02 or, in the alternative, to vacate that order under CR 60.01, which generally
    permits correction of clerical mistakes at any time. Ford argued the motion should
    be granted; Beasey, unsurprisingly, opposed it. In November 2018, we granted
    Abel’s motion to abate these appeals to permit the trial court to rule on Abel’s
    4
    Thirty days from April 12, 2018, was May 12, but that was a Saturday so Beasey had until the
    following Monday—May 14—to file the notice of appeal via application of CR 6.01, which
    provides in relevant part:
    In computing any period of time . . . the day of the act . . . after which the
    designated period of time begins to run is not to be included. The last day of the
    period so computed is to be included, unless it is a Saturday, a Sunday or a legal
    holiday, in which event the period runs until the end of the next day which is not a
    Saturday, a Sunday or a legal holiday.
    .
    -7-
    then-pending CR 60.02 motion. Our order did not mention the request for
    alternative relief under CR 60.01.
    In December 2018, the trial court granted Beasey’s motion.5 The trial
    court held that a court has ten days to amend a judgment on its own initiative under
    CR 59.04, and so the second judgment was timely.6 The trial court held it was
    “clear that it was the intention of the Court for the April 23, 2018, Order and
    Judgment to amend and vacate the previous Order and be controlling in this case.”
    The trial court also held that CR 60.01 applied because “[t]he fact that the second
    order did not state ‘Amended Order and Judgment’ is a clerical error that the Court
    now corrects.”
    Id. Finally, the trial
    court noted that only the second judgment had
    been approved by all parties’ counsel. Oddly, the trial court did not address CR
    60.02. Dissatisfied, Beasey appealed that ruling. Appeal No. 2019-CA-0105-MR.
    5
    Circuit Judge Annie O’Connell granted the motion to vacate; Circuit Judge Darryl Lavery
    conducted the trial and signed the two judgments.
    6
    Ten days after the first judgment was April 22, 2018, which was a Sunday. The second
    judgment was entered the next day, Monday, April 23, 2018. As the parties have not cited
    authority to the contrary, we assume arguendo that CR 6.01 applied to deem the second
    judgment having been entered within ten days of the first. Regardless, as will be discussed later,
    CR 59.04 expressly applies to a court sua sponte ordering a new trial and thus is inapplicable
    here.
    -8-
    ANALYSIS7
    Abel’s Cross-Appeal Was Timely Filed
    Because it impacts whether Abel’s cross-appeal is timely, we must
    begin by addressing the most recent appeal—Beasey’s appeal from the trial court’s
    order granting post-judgment relief under CR 59.04/60.01.
    CR 59.04 Is Inapplicable
    Adding to an already thorny procedural thicket, the trial court
    curiously relied upon CR 59.04 in its post-judgment order. CR 59.04 provides:
    Not later than 10 days after entry of judgment the court
    of its own initiative may order a new trial for any reason
    for which it might have granted a new trial on motion of
    a party. After giving the parties notice and an
    opportunity to be heard on the matter, the court may
    grant a motion for a new trial, timely served, for a reason
    not stated in the motion. In either case, the court shall
    specify in the order the grounds therefor.
    Obviously, the trial court’s post-trial order construing the second judgment as
    having superseded the first was issued well more than ten days after the entry of
    both previous judgments, and the trial court did not mandate a new trial in the
    7
    The plethora of briefs submitted by the parties totals roughly 140 pages. We have carefully
    read them but, to avoid making an already lengthy opinion truly unwieldy, we will discuss only
    the matters we deem necessary to resolve properly these appeals.
    -9-
    second judgment (nor has it ever so held). Consequently, we agree with Beasey
    that the trial court’s reliance upon CR 59.04 was erroneous.8
    The Trial Court Did Not Err by Using CR 60.01 to Clarify
    that the Second Judgment Amended the First
    The trial court also relied upon CR 60.01 in its post-judgment order.
    That rule provides:
    Clerical mistakes in judgments, orders or other parts of
    the record and errors therein arising from oversight or
    omission may be corrected by the court at any time of its
    own initiative or on the motion of any party and after
    such notice, if any, as the court orders. During the
    pendency of an appeal, such mistakes may be so
    corrected before the appeal is docketed in the appellate
    court, and thereafter while the appeal is pending may be
    so corrected with leave of the appellate court.
    We stayed the first two appeals to permit the trial court to rule on
    Abel’s post-judgment CR 60.02 motion, but the trial court ignored CR 60.02 in its
    order. Nonetheless, we will not elevate rigid form over practical function and will
    8
    Perhaps the trial court meant to cite to CR 59.05, which provides that “[a] motion to alter or
    amend a judgment, or to vacate a judgment and enter a new one, shall be served not later than 10
    days after entry of the final judgment.” However, when tendering the second judgment, no party
    explicitly moved to alter, amend, or vacate the first. Ford and/or Abel have contended that
    tendering the second judgment “had the same effect” and thus “should be construed as” a CR
    59.05 motion. Record (R.) at 2559. But we need not resolve that interesting argument since we
    conclude the trial court properly relied upon CR 60.01. Similarly, our conclusion that CR 60.01
    was properly applied renders moot Abel’s alternate argument that its post-judgment motion
    could have been granted under CR 60.02.
    -10-
    leniently construe our stay order as being sufficiently broad to permit the trial court
    to decide the matter under CR 60.01.
    Our substantive analysis begins with the fundamental fact that “[t]here
    can be only one judgment or one final judicial determination upon a single cause of
    action . . . .” 46 AM. JUR. 2D Judgments § 9 (2020). Therefore, either the first or
    second judgment must control—both cannot do so simultaneously.
    Generally, “[a] judge, having rendered and signed one final judgment,
    has no authority to sign another one” so “the entry of a second final judgment in
    the same cause does not vacate the first, and if there is nothing to show that the
    first is vacated, then the second is a nullity.”
    Id. Accord 49 C.J.S.
    Judgments §107
    (2020) (“In the absence of a statute to the contrary it is a general rule that there can
    be only one final judgment in any action . . . [thus] [i]t follows as a necessary
    consequence of the general rule that, when a final judgment has once been entered,
    no second or different judgment may be rendered between the same parties and in
    the same suit, until the first has been vacated and set aside or reversed on appeal or
    error. Where a second judgment is entered by a court after the first judgment has
    become final the second judgment is void.”) (footnotes omitted). Application of
    that general rule would lead to a preliminary conclusion that the second judgment
    here was void. However, as with many general rules, there are exceptions. Most
    pertinent here is an exception by which a second judgment issued when a court
    -11-
    retains “plenary power” over the action (i.e., during the period when the court
    retains jurisdiction) “is treated as a modified or reformed judgment that implicitly
    vacates and supercedes [sic] the prior judgment, unless the record indicates a
    contrary intent.” Price Construction, Inc. v. Castillo, 
    147 S.W.3d 431
    , 441 (Tex.
    App. 2004).
    That general rule and the exception thereto align roughly with CR
    52.02, which provides in relevant part that “[n]ot later than 10 days after entry of
    judgment the court of its own initiative, or on the motion of a party made not later
    than 10 days after entry of judgment, may amend its findings or make additional
    findings and may amend the judgment accordingly.” In other words, a trial court
    may modify its judgments within ten days after their entry; it may not do so after
    that ten-day period expires. Thus, a second judgment issued after the trial court
    lost jurisdiction would be void. See, e.g., Harris v. Camp Taylor Fire Protection
    Dist., 
    303 S.W.3d 479
    , 482 (Ky. App. 2009) (explaining that a judgment becomes
    final after ten days and, thus, a trial court loses jurisdiction ten days after its final
    judgment is entered). But a second judgment issued within that ten-day period
    must logically have been intended to supersede, or at least amend, the first
    judgment. After all, there would be no reason for a trial court to issue a second
    judgment if it did not intend to impact an extant judgment.
    -12-
    Here, the second judgment was issued (via application of CR 60.01)
    ten days after the first judgment and, thus, was issued while the trial court retained
    jurisdiction. Of course, better practice would have been for the second judgment to
    have explicitly stated how it related to the first. But the regrettable lack of such
    information is not dispositive. Instead, the second judgment’s silence as to its
    relationship with the first means this case falls squarely within the presumption
    that a second judgment issued while a court retains jurisdiction implicitly
    supersedes the first judgment sub silentio. Price Construction, 
    Inc., 147 S.W.3d at 441
    .
    That conclusion could be rebutted upon a showing of contrary intent.
    But the parties have not made that showing. In fact, since all parties agreed to the
    second judgment, but not the first, and the trial court expressly ordered the parties
    to submit a judgment upon which all parties had agreed, it logically follows that
    the trial court intended the second judgment to control. Indeed, that is exactly
    what the court held when it granted relief under CR 60.01.
    Speaking thereof, we agree with the trial court that amending the
    second judgment to merely state that it was an amended judgment was a
    permissible correction of a clerical error. Based upon the sheer number of cases in
    which the appellate courts of this Commonwealth have been tasked with
    determining whether an error is clerical or judicial, it is an understatement to say
    -13-
    the answer to that ever-vexing question is not always “readily apparent.”
    Machniak v. Commonwealth, 
    351 S.W.3d 648
    , 653 (Ky. 2011). The potential for
    confusion is heightened by the fact that, despite the name, even a judge may
    commit a “clerical error.” Javier Steel Corp. v. Central Bridge Co. LLC, 
    353 S.W.3d 356
    , 359 (Ky. App. 2011). Despite the difficulty in doing so, properly
    categorizing an error is crucial because only a clerical error may be corrected at
    any time under CR 60.01. See Wides v. Wides, 
    300 Ky. 344
    , 
    188 S.W.2d 471
    , 473
    (1945) (explaining that “unlike clerical errors, judicial errors cannot be corrected at
    any time, but must be done seasonably, in accordance with statutory or code
    provisions for the correction of erroneous judgments”).
    “[T]he distinction between clerical error and judicial error does not
    turn on whether the correction of the error results in a substantive change in the
    judgment.” Cardwell v. Commonwealth, 
    12 S.W.3d 672
    , 674 (Ky. 2000). Instead,
    for nearly a century Kentucky has based the distinction on whether the error “was
    the deliberate result of judicial reasoning and determination, regardless of whether
    it was made by the clerk, by counsel, or by the judge.” Buchanan v. West
    Kentucky Coal Co., 
    218 Ky. 259
    , 
    291 S.W. 32
    , 35 (1927) (quotation marks and
    citation omitted).
    Clerical errors cannot be mistakes “of substance, of judgment, or of
    law[,]” but instead generally are “inadvertences or oversights . . . apparent on the
    -14-
    face of the document or record in which they appear, and are, therefore,
    discoverable by inspection.”
    Id. at 35-36
    (internal quotation marks and citation
    omitted). Thus, errors which are plainly clerical include “an incorrect or missing
    date on a document in the record; a mistake made when transcribing numbers; or a
    mathematical error when calculating a judgment . . . .” 
    Machniak, 351 S.W.3d at 652
    (citations omitted).
    Here, Beasey appears to misconstrue what the error actually is. The
    error is not that the second judgment did not mention interest. Indeed, the failure
    to include interest in a judgment may, or may not, be a clerical error. Whittenberg
    Engineering & Const. Co. v. Liberty Mut. Ins. Co., 
    390 S.W.2d 877
    , 884 (Ky.
    1965) (“It is our view that where failure to include interest is a clerical error it is
    correctible under CR 60.01, but where no clerical error is shown, and certainly
    none is shown here, then relief may be had only under the provisions of CR 59 or
    CR 60.02 or by appeal.”). Instead, as the trial court aptly noted, the error manifest
    from the face of the second judgment is the lack of a notation as to how it relates to
    the first judgment.
    We are unpersuaded that the failure to include the word “amended” in
    the caption of the second judgment was a reasoned, deliberate decision by the trial
    court. Given the incontrovertible principle that there may be only one final
    judgment in a case, it is difficult to fathom that a judge would intentionally issue
    -15-
    two judgments without providing any guidance as to their relationship. Thus, the
    lack of an indication in the caption as to whether the second judgment superseded
    the first, such as by adding one word, “amended,” must logically be deemed an
    oversight, easily perceptible from viewing the record.
    As the trial court noted in its order granting CR 60.01 relief, the court
    intended the parties to all agree to (at least as to the form of) a judgment; only the
    second judgment contained such agreement. Thus, we agree with the trial court
    that the court intended for the second, agreed judgment to control over the first, to
    which only Beasey agreed.9 That conclusion also fits within the previously
    discussed principle that a second judgment issued within the narrow window in
    which a trial court retains jurisdiction of a case implicitly supersedes any extant
    judgments. In short, we affirm the trial court’s decision to correct a clerical error
    in the second judgment to add the word “amended” in the caption thereof, meaning
    that the second judgment is the operative judgment. That conclusion, in turn,
    9
    Beasey’s attorneys stated in affidavits that they agreed to the second judgment with the
    expectation that it would only supplement the first judgment, and that they believed the omission
    of interest in the second judgment was unintentional. We are unsure as to the basis of those
    beliefs. Based upon email discussions amongst counsel, it is uncontested that only Beasey’s
    counsel agreed to the first judgment and there is nothing concrete to show that interest was
    somehow unintentionally omitted from the second judgment. If Beasey’s counsel believed
    Beasey to be entitled to interest, counsel should have raised the omission of interest in the second
    judgment before agreeing to it instead of relying upon a curious, idiosyncratic interpretation of it.
    -16-
    means Abel’s cross-appeal was timely filed.10 As will be seen later, however, that
    does not mean Abel is entitled to relief.
    Beasey’s First Appeal, No. 2018-CA-0724-MR11
    There Was Not a “Mary Carter” Agreement
    Beasey contends Ford and Abel entered into a secret “Mary Carter”
    agreement prior to trial which they failed to disclose to the trial court until each
    had received three peremptory challenges. See CR 47.03(1) (“In civil cases each
    opposing side shall have three peremptory challenges, but co-parties having
    antagonistic interests shall have three peremptory challenges each.”). Actually,
    the agreement was a routine contractual indemnification agreement, not an
    improper “Mary Carter” agreement.
    Ford’s position on indemnification was known well before the trial.
    Ford filed a motion for summary judgment in June 2017 arguing, in part, that it
    was contractually entitled to indemnification from Abel. The indemnification
    portion of the contract between Ford and Abel was attached as an exhibit to Ford’s
    motion for summary judgment, and provided in relevant part:
    10
    A prevailing party typically is entitled to post-judgment interest under Kentucky Revised
    Statute (KRS) 360.040, unless there are unusual factors which make interest “inequitable.”
    Strunk v. Lawson, 
    447 S.W.3d 641
    , 650 (Ky. App. 2013). The second judgment contains no
    mention of interest and we express no opinion on whether Beasey is entitled to interest or, if so,
    the amount, or rate, thereof.
    11
    Beasey offers to forego the issues presented in his first appeal if we deem Abel’s cross-appeal
    untimely. But since we conclude the cross-appeal is timely, we must address the issues.
    -17-
    [Abel] will indemnify [Ford] . . . for all expenses . . .
    incurred by [Ford] in connection with all claims
    (including lawsuits . . . and other proceedings to recover
    for personal injury or death . . .) that are related in any
    way to [Abel’s] . . . performance or obligations . . . .
    [Abel’s] obligation to indemnify under this Section will
    apply regardless of whether the claim arises in tort,
    negligence, contract, warranty, strict liability or
    otherwise except to the extent of the negligence of
    [Ford].
    ....
    [Abel] shall be exclusively responsible for, shall bear,
    and shall relieve [Ford] from liability for all loss,
    expense, damage or claims resulting from bodily injury
    . . . sustained by any person or persons . . . arising out of,
    or in connection with the performance of work on
    [Ford’s] premises except that [Abel] shall not be
    responsible for or relieve [Ford] from liability for claims
    arising from the willful misconduct or the sole
    negligence of [Ford].
    The trial court denied Ford’s summary judgment motion in August 2017, many
    months prior to trial.
    On the first day of the trial, the trial court asked the defendants if their
    interests were antagonistic, and Abel’s counsel generally responded in the
    affirmative. No one objected or stated a contrary position. Thus, the trial court
    granted Abel and Ford three peremptory challenges each.
    During a conference the court conducted with counsel outside the
    jury’s presence later during the trial, Beasey’s counsel asked whether Abel had
    agreed to indemnify Ford because Beasey’s counsel wanted to use that agreement
    -18-
    to show bias by Ford’s risk manager, who had allegedly changed his opinion as to
    who/what caused Beasey’s injuries. Abel’s counsel stated that Abel’s insurance
    carrier had agreed to indemnify Ford pursuant to the contract. After discussion, the
    trial court directed the parties to brief the indemnification/bias issues.
    A few days later, the trial court asked counsel why they had not
    mentioned the indemnification agreement when asked if Ford and Abel had
    antagonistic interests. Abel’s counsel responded that Abel and Ford were not
    entirely aligned, as exemplified by Ford blaming Abel for not adequately
    insulating the pipe that froze and burst. The trial court ruled that Beasey could not
    mention the indemnification agreement to the jury, stating that the alleged bias was
    too tenuous, and inadmissible under Kentucky Rule of Evidence (KRE) 403 as its
    probative value was outweighed by its prejudicial effect.
    We begin by disagreeing with Beasey that the indemnification
    agreement was a “Mary Carter” agreement. A “Mary Carter” agreement, so named
    because of a notorious case from Florida,12 is defined in relevant part as:
    A contract, usu. secret, by which one or more, but not all,
    codefendants settle with the plaintiff and obtain a release,
    along with a provision granting them a portion of any
    recovery from the nonparticipating codefendants. • In a
    Mary Carter agreement, the participating codefendants
    agree to remain parties to the lawsuit and, if no recovery
    is awarded against the nonparticipating codefendants, to
    12
    Booth v. Mary Carter Paint Co., 
    202 So. 2d 8
    (Fla. Dist. Ct. App. 1967), abrogated by
    Dosdourian v. Carsten, 
    624 So. 2d 241
    (Fla. 1993).
    -19-
    pay the plaintiff a settled amount.
    BLACK’S LAW DICTIONARY (11th ed. 2019). Here, Abel’s insurance carrier agreed
    to indemnify Ford. That agreement did not involve Beasey, nor did either Abel or
    Ford agree to pay Beasey a sum certain, regardless of the jury’s verdict. Thus,
    there was no “Mary Carter” agreement.
    Having made that important distinction, we must now determine
    whether the trial court erred by refusing to permit the jury to learn of the
    indemnification agreement. We deferentially review a trial court’s evidentiary
    decisions for abuse of discretion. See, e.g., Barnett v. Commonwealth, 
    317 S.W.3d 49
    , 61 (Ky. 2010).
    At its core, the indemnification agreement is a type of settlement
    agreement. Settlement agreements are generally inadmissible in Kentucky.
    Goodin v. White, 
    342 S.W.3d 282
    , 286 (Ky. App. 2011). However, settlement
    agreements may be admissible “for purposes of impeachment concerning prior
    inconsistent statements and bias[,]”
    id. at 287,
    because ‘“[a]ny proof that tends to
    expose a motivation to slant testimony one way or another satisfies the requirement
    of relevancy.’” Miller ex rel. Monticello Banking Co. v. Marymount Medical
    Center, 
    125 S.W.3d 274
    , 281-82 (Ky. 2004) (quoting Robert G. Lawson, THE
    KENTUCKY EVIDENCE LAW HANDBOOK § 4.15, at 183 (3d ed. 1993)).
    -20-
    That rubric aligns with KRE 411, which provides that “[e]vidence that
    a person was or was not insured against liability is not admissible upon the issue
    whether the person acted negligently or otherwise wrongfully” but is admissible to
    show, among other things, “bias or prejudice of a witness.” But even if an
    agreement is relevant, “[t]here is always the danger that a jury will show less
    sympathy to an insured defendant, inappropriately resulting in a verdict for the
    plaintiff.” Woolum v. Hillman, 
    329 S.W.3d 283
    , 287 (Ky. 2010). Therefore, a
    court must determine whether the agreement’s probative value is substantially
    outweighed by the danger of undue prejudice under KRE 403.
    Id. In making that
    admissibility determination, a trial court is vested with “broad discretion to
    evaluate the proof of bias on a case-by-case basis.”
    Id. at 289
    (citing Wallace v.
    Leedhanachoke, 
    949 S.W.2d 624
    , 628 (Ky. App. 1996)). However, “dual
    concerns—the general inclusionary thrust of the Rules of Evidence and the more
    particular preference to allow evidence of bias—weigh heavily in favor of
    admissibility” of evidence of bias, though there may be “unusual circumstances
    wherein the evidence would be either extremely prejudicial or minimally probative
    . . . .” Baker v. Kammerer, 
    187 S.W.3d 292
    , 296 (Ky. 2006).
    The main thrust of Beasey’s bias claim is that a risk manager for Ford,
    Danny Huffman, changed his theory of who was responsible for Beasey’s injuries
    -21-
    after Ford and Abel reached their indemnification agreement. However, Beasey
    offers nothing concrete to support his self-serving conjecture.
    A report made by, or approved by, Huffman shortly after the accident
    indicated a “root cause” of the injuries was Abel “not hav[ing] adequate barriers
    and lighting used to identify and block access to the excavation/hole where
    [Beasey] fell.” Huffman apparently continued to believe the lack of
    barriers/lighting was a root cause of the accident at his February 2017 deposition.
    However, at a later deposition,13 and at trial, Huffman no longer believed those to
    be root causes of Beasey’s injuries. Huffman testified that he did not believe the
    investigation which preceded the initial report was thorough and had gained
    additional information from “educating” himself.
    There is nothing inherently nefarious about a witness having an
    opinion which evolves over time due to additional familiarity with the subject at
    issue. Moreover, Beasey has not contradicted Ford’s assertion that the
    indemnification agreement was not reached until after Huffman’s “trial” deposition
    occurred. Logically, therefore, Huffman cannot have changed his mind based
    13
    Huffman was unavailable for a previously-scheduled trial date, so his trial deposition was
    taken in September 2017. Later, the trial was continued and so he testified live. Beasey has not
    cited exactly where in the voluminous record, which is nearly 2700 pages long, we may find a
    transcript of Beasey’s “trial” deposition. We again remind the parties that it is their affirmative
    duty to cite to exactly where we may find matters in the record because we shall not sift through
    the record to try to find them. However, since no party seems to disagree, we will assume solely
    for the sake of argument that Huffman’s testimony at his trial deposition was similar to his trial
    testimony.
    -22-
    upon a then-nonexistent agreement. Indeed, Huffman’s avowal testimony at trial
    indicated that he did not even know what “assumption of defense” meant. In short,
    Beasey only has a subjective theory, not grounded upon any tangible evidence, that
    Huffman changed his testimony about causation as a reaction to Abel’s insurance
    carrier indemnifying Ford.
    As the trial court aptly noted, the allegations of bias here are
    extremely attenuated. Therefore, we cannot find that the court abused its discretion
    by refusing to permit Beasey to present testimony about the indemnification
    agreement because “absent a more compelling degree of connection[,]” there is not
    “clearly evince[d]” bias by Huffman and thus the “arguable relevance or probative
    value” of the indemnification agreement “is insufficient to outweigh the well-
    established rule as to the inadmissibility of evidence as to the existence of
    insurance.” 
    Wallace, 949 S.W.2d at 628
    .
    By contrast, our Supreme Court approved admitting testimony that an
    expert doctor shared an insurance carrier with a defendant doctor in a wrongful
    death action because of overwhelming evidence that the expert doctor “was biased
    by their commonality of insurance because he believed that a judgment against his
    insurance company could adversely affect his own premiums[,]” which the Court
    deemed to demonstrate a “strong connection between common insurance and
    witness bias . . . .” 
    Woolum, 329 S.W.3d at 287
    , 290. The conjectural bias offered
    -23-
    by Beasey falls well short of being “strong” and is much more akin to the facts of
    Wallace.14
    No Error in Allowing Additional Peremptory Challenges
    Somewhat related to his argument regarding the indemnification
    agreement, Beasey contends the trial court erred by granting Ford and Abel three
    peremptory strikes apiece since the indemnification agreement caused their
    interests to not be antagonistic. We disagree.
    Before we examine the merits of Beasey’s claim, we note that Abel
    and Ford have not provided a satisfactory explanation of why they failed to tell the
    trial court about the indemnification agreement prior to trial or, at the latest, when
    the court asked if their interests were antagonistic. Nearly seventy years ago
    Kentucky’s then-highest court reminded the bar that, as an officer of the court, “an
    attorney owes the duty of good faith and honorable dealing to the courts before
    whom he practices . . . .” Lewis v. Rice, 
    261 S.W.2d 804
    , 805 (Ky. 1953). We are
    disappointed counsel did not timely, fully, and voluntarily divulge the relationship
    between their clients to the court. The trial court was entitled to know the full
    picture before having to allocate peremptory challenges.
    14
    It is unclear what tangible relief Beasey would like us to afford him, even if we agreed with his
    position on the indemnification agreement. In his brief, Beasey asks us to issue a “strong
    reprimand” to the trial court. Beasey’s brief in No. 2018-CA-0724-MR at 17. But even a
    “strong” reprimand would have no practical effect as it would not impact Beasey’s damage
    award nor would it result in a new trial. Thus, a reprimand would be a toothless tiger, “full of
    sound and fury, [s]ignifying nothing.” William Shakespeare, Macbeth, Act 5, Scene 5.
    -24-
    CR 47.03(1) provides that “[i]n civil cases each opposing side shall
    have three peremptory challenges, but co-parties having antagonistic interests shall
    have three peremptory challenges each.” The question is whether Abel and Ford
    had antagonistic interests. Of course, the trial court unfortunately had to make that
    determination before the indemnification agreement was brought to light. Indeed,
    trial judges always must make that determination before the proof is presented and
    so we must view the question as it existed when the court made its decision, not
    based upon the perfect acuity only afforded by omniscient hindsight. Davis v.
    Fischer Single Family Homes, Ltd., 
    231 S.W.3d 767
    , 774 (Ky. App. 2007). Our
    review of a trial court’s decision is deferential, so “if the findings of fact are not
    clearly erroneous or the opposite result is not compelled by the facts before the
    trial court, the decision of the trial court will not be disturbed, even if we would
    have come to a different conclusion.”
    Id. at 773.15 15
      Some cases state that we review an “antagonistic interests” decision under an abuse of
    discretion standard. See, e.g., Sommerkamp v. Linton, 
    114 S.W.3d 811
    , 814-15 (Ky. 2003)
    (“The Court of Appeals should not substitute its judgment for that of the trial judge in
    determining whether antagonistic interests exist for the purpose of awarding peremptory
    challenges in the absence of an abuse of discretion.”). Usage of that standard of review is
    curious since our Supreme Court held more than forty years ago, albeit in a case pre-dating the
    adoption of CR 47.03, that “the allocation of peremptory challenges in civil cases has occupied a
    settled role as part of the trial process in this jurisdiction from 1830 to the present day. It is a
    defined mechanism and does not depend on the exercise of judicial discretion.” Kentucky Farm
    Bureau Mut. Ins. Co. v. Cook, 
    590 S.W.2d 875
    , 877 (Ky. 1979) (emphasis added).
    -25-
    However, if the issue has been properly preserved, a party does not
    have to show prejudice to obtain appellate relief from an improper allocation of
    peremptory challenges. Kentucky Farm Bureau Mut. Ins. 
    Co., 590 S.W.2d at 877
    .
    Here, the issue is not preserved because Beasey did not object contemporaneously
    when the trial court afforded Abel and Ford additional peremptory challenges.16
    The issue under these facts, therefore, is whether the trial court’s decision warrants
    relief under CR 61.02, which provides that a “palpable error which affects the
    substantial rights of a party may be considered . . . by an appellate court on appeal,
    even though insufficiently raised or preserved for review, and appropriate relief
    may be granted upon a determination that manifest injustice has resulted from the
    error.” An error is palpable if it is “so egregious that it jumps off the page . . . and
    cries out for relief[,]” Chavies v. Commonwealth, 
    374 S.W.3d 313
    , 323 (Ky. 2012)
    (internal quotation marks and citation omitted), and is so elemental as to be “easily
    perceptible, plain, obvious and . . . so serious that it would seriously affect the
    16
    It is difficult to know how much Beasey’s counsel knew of the indemnification agreement
    when the peremptory challenge allocation occurred. In its brief, Ford accuses Beasey’s counsel
    of “[e]xpressing feigned surprise and outrage about the contractual indemnity provision of which
    he had been long aware” but also states, seemingly contradictorily, that “it never occurred to
    anyone to advise Beasey’s counsel when Abel or its liability insurer finally agreed to” enforce
    the contractual indemnity provision. Ford’s brief in No. 2018-CA-0724-MR at 8, 12.
    Regardless, Beasey did not contemporaneously object or press opposing counsel for information
    about indemnification when the trial court asked if Ford and Abel had antagonistic interests, so
    the issue was not properly preserved. Even if Beasey had preserved the issue, however, we
    would still affirm the trial court.
    -26-
    fairness to a party if left uncorrected.” Hibdon v. Hibdon, 
    247 S.W.3d 915
    , 918
    (Ky. App. 2007) (internal quotation marks and citation omitted).
    To determine if parties have antagonistic interests courts consider:
    1) whether the coparties are charged with separate acts of
    negligence; 2) whether they share a common theory of
    the case; and 3) whether they have filed cross-claims.
    Additional important factors are whether the defendants
    are represented by separate counsel; whether the alleged
    acts of negligence occurred at different times; whether
    the defendants have individual theories of defense; and
    whether fault will be subject to apportionment.
    
    Sommerkamp, 114 S.W.3d at 815
    (citations omitted). A court should not “give
    disqualifying weight to a single factor . . . .”
    Id. at 816.
    Abel and Ford did not file cross-claims. However, they were:
    represented by separate counsel, charged with discrete acts of negligence, did not
    entirely share the same theory of the case, and were subject to apportionment of
    fault. Moreover, a plain reading of the indemnification clause shows that Abel was
    not required to indemnify Ford if Ford’s sole negligence led to the injuries. Under
    the instructions given here, a jury could theoretically have found Ford alone was
    negligent. In short, though Abel’s and Ford’s financial interests did align to a
    degree, we find no error, palpable or otherwise, in the trial court’s decision to grant
    them additional peremptory challenges under CR 47.03(1).17
    17
    Beasey also contends the trial court erred by instructing the jury that they could apportion fault
    to Allied. The jury ultimately apportioned no fault to Allied, and Beasey states the argument is
    -27-
    Abel’s Cross-Appeal, No. 2018-CA-0824-MR
    Abel contends the trial court erred, for various reasons, by denying its
    motion for summary judgment and for directed verdict. Before we may address
    those arguments on the merits, however, we must address Abel’s brief’s lack of
    compliance with the requirements of CR 76.12.
    CR 76.12(4)(c)(i) provides that an appellant’s brief should contain an
    introduction “not exceeding two simple sentences” but Abel’s introduction
    contains four paragraphs and is over a page long. CR 76.12(4)(c)(iv) requires an
    appellant’s statement of the case to contain “ample references to the specific pages
    of the record, or tape and digital counter number in the case of untranscribed
    videotape or audiotape recordings,” but Abel’s brief cites infrequently and
    insufficiently to the written record and cites mainly to Beasey’s deposition
    testimony, not trial testimony. Similarly, CR 76.12(4)(c)(v) requires an appellant’s
    argument section to provide “ample supportive references to the record . . . .”
    As we explained over three decades ago, “depositions not read into
    evidence at a jury trial . . . should not be included in the record on appeal.” Lucas
    v. Lucas, 
    720 S.W.2d 352
    , 353 (Ky. App. 1986). Abel does not show where
    Beasey’s deposition was read into evidence at the trial. Perhaps this deficiency in
    premised upon the matter being retried. Because we are not ordering a retrial, the issue is moot,
    and we decline to address it.
    -28-
    Abel’s brief is best highlighted by the fact that Abel argues vehemently that the
    trial court erred in denying its motion for summary judgment but fails to specify
    where we may find its motion in the nearly 2,700-page record. Again, “[i]t is not
    the job of the appellate courts to scour the record in support of an appellant or
    cross-appellant’s argument.” Dennis v. Fulkerson, 
    343 S.W.3d 633
    , 637 (Ky. App.
    2011). Simply put, Abel’s brief contains insufficient citations to the record.18
    Perhaps most egregiously, Abel fails to state in its argument section
    where, or how, it preserved any of its sundry claims of error for our review, despite
    CR 76.12(4)(c)(v) requiring a statement “at the beginning of the argument” as to
    “whether the issue was properly preserved for review and, if so, in what manner.”
    This omission is critical because the nature of our review depends on whether an
    issue has been preserved. Specifically, as previously discussed, we generally may
    review unpreserved claims of error only for a palpable error under CR 61.02, but
    even then, we typically only do so upon request. See, e.g., Webster v.
    Commonwealth, 
    438 S.W.3d 321
    , 325 (Ky. 2014).
    18
    Specifically, Abel’s statement of the case is over five pages long but contains only about three
    citations to the written record and about three citations to the trial (not pretrial depositions); the
    argument section of Abel’s brief is roughly sixteen pages long but contains approximately only
    seven citations to the trial testimony, four of which are in the same sentence. Abel’s brief in No.
    2018-CA-0824-MR at 21. In fact, Abel begins its argument section on page seven of its brief,
    but it does not cite to any trial testimony until page fourteen. Glaringly, Abel’s roughly five-
    page argument that the trial court erred by overruling its motion for summary judgment contains
    a couple of citations to Beasey’s deposition but no other citations to the trial. Finally, Abel’s
    argument section provides us with little to no citations to the written record.
    -29-
    Abel did not ask for palpable error relief, instead contending its issues
    were adequately preserved. To show preservation, Abel relies upon a few citations
    in the statement of the case section of its brief (not the argument section, as
    required by CR 76.12) where it alleges it preserved its issues. But those citations
    do not show preservation of all issues.
    Abel raises three overarching issues. First, it contends the trial court
    erred in denying its motion for summary judgment but does not cite to where its
    motion may be found in the record, nor does that section of its brief adequately cite
    otherwise to relevant portions of the record.
    Regardless, the argument is not properly reviewable. “The general
    rule under CR 56.03 is that a denial of a motion for summary judgment is, first, not
    appealable because of its interlocutory nature and, second, is not reviewable on
    appeal from a final judgment where the question is whether there exists a genuine
    issue of material fact.” Transp. Cabinet, Bureau of Highways, Commonwealth of
    Ky. v. Leneave, 
    751 S.W.2d 36
    , 37 (Ky. App. 1988). There is a limited exception,
    commonly known as the Gumm exception, which permits appellate review when
    “(1) the facts are not in dispute, (2) the only basis of the ruling is a matter of law,
    (3) there is a denial of the motion, and (4) there is an entry of a final judgment with
    an appeal therefrom. Then, and only then, is the motion for summary judgment
    properly reviewable on appeal . . . .”
    Id. (citing Gumm v.
    Combs, 
    302 S.W.2d 616
    -30-
    (Ky. 1957)). Here, as Beasey accurately notes, the trial court expressly held that
    there were genuine issues of fact in the order denying summary judgment. R. at
    1050. Therefore, the Gumm exception is inapplicable. Recbar, LLC v. Drake, 
    579 S.W.3d 198
    , 201 (Ky. App. 2019). Consequently, we decline to address further
    Abel’s summary judgment-based arguments.
    Abel’s second main argument is that the trial court erred by denying
    its motion for directed verdict on Beasey’s negligence per se claim, for three main
    reasons. First, Abel contends Beasey was not within the class of persons intended
    to be protected by the NFPA. See, e.g., Alderman v. Bradley, 
    957 S.W.2d 264
    , 267
    (Ky. App. 1997) (explaining that negligence per se is “the violation of a statute,
    ordinance, or administrative regulation” but that “[i]n order for a violation to
    become negligence per se, the plaintiff must be a member of the class of persons
    intended to be protected by the regulation, and the injury suffered must be an event
    which the regulation was designed to prevent”). Second, Abel argues it could not
    be found liable for negligence per se for not meeting requirements of the NFPA
    which were not adopted by Kentucky. Third, Abel argues the alleged violation of
    the NFPA was not a substantial factor in causing Beasey’s injuries.
    Under the familiar standard, a directed verdict is proper only if “there
    is a complete absence of proof on a material issue or if no disputed issues of fact
    exist upon which reasonable minds could differ” even while drawing “all fair and
    -31-
    reasonable inferences from the evidence in favor of the party opposing the
    motion.” Argotte v. Harrington, 
    521 S.W.3d 550
    , 554 (Ky. 2017) (internal
    quotation marks and citations omitted). Thus, a party inherently raises an
    insufficiency of the evidence argument when it claims entitlement to a directed
    verdict.19
    Abel has cited to where it moved for a directed verdict at the close of
    Beasey’s case-in-chief based upon an argument that Beasey was not within the
    class of persons encompassed within the protection of the Code. Abel also cites to
    what it believes to be where it argued for a directed verdict at the close of Beasey’s
    proof due to Kentucky not having adopted the portion of the NFPA which Beasey
    relies upon for his negligence per se claim.20 However, the cited portion of Abel’s
    19
    Abel also offers a one-sentence argument that the trial court erred by instructing the jury on
    negligence per se. Such an argument is conclusory and insufficiently developed to warrant
    discussion.
    20
    815 Kentucky Administrative Regulation (KAR) 7:120, §5(b) adopts the Kentucky Building
    Code by reference. Section 905.2 of the Code as it existed at the time of Beasey’s injuries states
    that “[s]tandpipe systems required by this code shall be installed in accordance with this section
    and NFPA 14 as referenced herein.”
    http://dhbc.ky.gov/Documents/2013%20KBC%202nd%20Edition%20(February%202014)%20-
    %204.8.2014.pdf (emphasis added). But, as Abel’s argument goes, the Code does not later
    “reference herein” NFPA 14, and so NFPA 14 was not adopted into the code which, in turn,
    means a violation of NFPA 14 may not constitute negligence per se. The current version of the
    Code remedies that situation by eliminating the “as referenced herein” language and instead
    simply stating in Section 905.2 that “[s]tandpipe systems shall be installed in accordance with
    this section and NFPA 14.”
    http://dhbc.ky.gov/Documents/Proposed%202018%20Kentucky%20Building%20Code%20Seco
    nd%20Edition.pdf.
    Abel also points out that the version of Section 905.2.1 of the Code in effect when
    Beasey was injured provided that “[t]he riser piping, supply piping and the water service piping
    shall be hydraulically designed or pipe scheduled in accordance with NFPA 14 as referenced in
    -32-
    directed verdict argument does not actually contain such a discussion. Indeed, our
    review of Abel’s motion for directed verdict did not reveal where it explicitly
    argued that Kentucky did not adopt the NFPA sections at issue. Crucially, Abel
    does not cite to where it moved for a directed verdict at the close of Beasey’s
    proof, or at the close of all evidence, based upon its argument that any alleged
    failure to comply with NFPA was not a substantial factor in causing Beasey’s
    injuries.
    In sum, Abel has shown us where it argued at the close of Beasey’s
    case he was not within the class of persons protected by the Code. Abel has not
    Chapter 35 of this code.”
    http://dhbc.ky.gov/Documents/2013%20KBC%202nd%20Edition%20(February%202014)%20-
    %204.8.2014.pdf (emphasis added). According to Abel, however, Chapter 35 of the Code,
    which may also be viewed using the link above and scrolling down further, did not reference the
    section(s) of NFPA 14 relied upon by Beasey. Although Abel’s novel arguments are interesting,
    we do not need to definitively opine on them due to the fatal preservation issues discussed
    herein.
    In any event, we would likely be disinclined to afford Abel relief on the merits. Courts
    interpret administrative regulations using the same fundamental tools and rubric used in
    interpreting statutes. Commonwealth v. Estate of Cooper, 
    585 S.W.3d 253
    , 257 (Ky. App.
    2019). We generally interpret statutes—and, thus, administrative regulations—as written,
    affording the terms therein their normal meaning. Gooch v. Commonwealth, 
    496 S.W.3d 492
    ,
    495 (Ky. App. 2016). However, the paramount objective in interpreting statutes—and
    administrative regulations—is to carry out the intent of the General Assembly—or, here, the
    Housing Department.
    Id. We also will
    not interpret a statute literally if doing so would lead to
    an absurd or unreasonable result.
    Id. It is plain
    that the Housing Department intended to adopt
    NFPA 14. Abel’s hyper-technical construction thwarts that obvious intent. It would be
    unreasonable and absurd to conclude the Housing Department failed to adopt any of the relevant
    portions of the NFPA when its clear intent was to the contrary, but that would be the practical
    impact of adopting Abel’s arguments. Indeed, it is uncontested that Beasey offered expert
    testimony that the construction industry seems to believe the NFPA was applicable, drafting
    errors in the Code notwithstanding. Thus, Abel’s argument—though superficially appealing—
    would likely fail on the merits.
    -33-
    shown where it raised the other arguments, nor has it shown where it renewed its
    arguments at the close of all the evidence or moved for a JNOV.21
    Precedent clearly holds that a party:
    can only prevail on an insufficiency of the evidence
    claim if preserved through a motion for a JNOV, which
    in turn must be predicated on a directed verdict motion at
    the close of all the proof. A mid-trial directed verdict
    motion alone, like the one made and relied on in part now
    by [Abel], is insufficient to preserve an insufficiency of
    the evidence claim . . . . Failure to show preservation of
    claims prohibits this Court's review of those claims.
    Steel Techs., Inc. v. Congleton, 
    234 S.W.3d 920
    , 926 (Ky. 2007), abrogated on
    other grounds by Osborne v. Keeney, 
    399 S.W.3d 1
    (Ky. 2012). Therefore, Abel
    has not shown where it fully preserved any of its three directed verdict issues for
    our review. As previously stated, we will not independently sift through this
    colossal record to try to judicially triage Abel’s deficient brief.
    As federal courts have colorfully held when encountering similar
    situations, “[j]udges are not like pigs, hunting for truffles that might be buried in
    the record.” Emerson v. Novartis Pharmaceuticals Corp., 446 Fed. App’x 733,
    736 (6th Cir. 2011) (internal quotation marks and citation omitted). We also will
    21
    Abel did not rectify the situation by providing a citation to where it renewed its directed
    verdict motion at the close of proof in its reply brief.
    -34-
    not engage in palpable error review since Abel neither requested nor briefed it. In
    short, we affirm the trial court’s denial of Abel’s motion for directed verdict. 22
    CONCLUSION
    For the foregoing reasons, the Jefferson Circuit Court is affirmed in
    all three appeals resolved herein.
    ALL CONCUR.
    22
    Briefly, even if the claim had been properly preserved, we likely would have rejected Abel’s
    argument that Beasey was not within the class of persons protected by the Code because the
    NFPA was explicitly designed only to protect for loss due to fire. The General Assembly stated
    in KRS 198B.050(3)(c) that the Code is expansively intended to “[p]rotect the public health,
    safety, and welfare within the state.” KRS 198B.050(3)(c). Similarly, the Housing Department
    also took a broad view of the class of persons the Code was designed to protect. Section 101.3
    of the Code, as it existed at the time of Beasey’s injuries and as incorporated by reference at 815
    KAR 7:120 §5, also sweepingly states that its provisions are designed to protect the public
    health, safety and general welfare. See
    http://dhbc.ky.gov/Documents/2013%20KBC%202nd%20Edition%20(February%202014)%20-
    %204.8.2014.pdf. The General Assembly’s broad statement of intent controls over the
    apparently more cramped scope of the NFPA. Adoption of the NFPA, in whole or part, via the
    Code did not abrogate the broad scope of coverage expressed by the General Assembly and the
    Housing Department.
    -35-
    BRIEFS FOR APPELLANT/CROSS-     BRIEFS FOR APPELLEE/CROSS-
    APPELLEE DEWANE BEASEY:         APPELLANT ABEL
    CONSTRUCTION COMPANY,
    James Bolus                     INC.:
    Louisville, Kentucky
    B. Scott Jones
    Robert C. Heuke, Jr.            Louisville, Kentucky
    Louisville, Kentucky
    BRIEFS FOR APPELLEE FORD
    Kevin C. Burke                  MOTOR COMPANY:
    Jamie K. Neal
    Louisville, Kentucky            R. Thad Keal
    A. Michelle Turner
    Louisville, Kentucky
    NO BRIEF FOR APPELLEE ESIS,
    ON BEHALF OF
    ALLIED BARTON SECURITY
    SERVICES, LLC
    -36-