No. 80-2094.United States Court of Appeals, Eighth Circuit.Submitted November 9, 1981.
Decided December 11, 1981. Rehearing Denied January 14, 1982.
Page 1157
James W. Jeans, Sr. (argued), Platte City, Mo., for plaintiffs-appellants.
George T. O’Laughlin (argued), Kansas City, Mo., for defendant-appellee Maurice Knox Griffin.
Appeal from the United States District Court for the Western District of Missouri.
Before ROSS and ARNOLD, Circuit Judges, and WOODS,[*]
District Judge.
WOODS, District Judge.
[1] This is a diversity case brought by the parents of Ronald Garman, the eleven-year-old decedent, under the Missouri Wrongful Death Act. Ronald was run over and killed on January 12, 1977 by a school bus from which he had alighted in front of his parents’ farm home near Chillicothe, Missouri. They subsequently moved to Michigan and sued the school bus driver, a Missouri resident, on a negligence theory. Shortly before the statute of limitations would have run, plaintiffs amended their complaint and joined Superior Bus Sales, Inc., the alleged seller of the bus, on a strict liability theory. Paragraph IV of the amended complaint stated that the casualty was the “direct result of the concurring acts and omissions of the defendants.” The fault of Superior was alleged as follows:[2] It later developed that plaintiffs had sued the wrong company in their amended complaint and a summary judgment was granted in favor of Superior. The case against Griffin was tried to a jury on September 5, 1980 and judgment was entered on a jury verdict in favor of the defendant. The case against Griffin was principally grounded on his failure to keep a proper lookout for the child after the latter had left the bus. During the course of the trial, the defendant’s counsel, over plaintiffs’ objection, was permitted to read the above strict liability allegation against the alleged bus seller, who had been previously dismissed from the case. The plaintiffs were permitted to read the denial of the allegation in the answer. The plaintiffs’ principal contention on appeal is that the admission of this evidence constituted prejudicial error. We agree and reverse for a new trial. [3] The use of trial pleadings as admissions has been a thorny issue in the law of evidence. There are situations in which they are generally admitted.[1] If the plaintiffs’ complaint alleged that an automobile accident occurred because defendant was driving too fast on an icy road and the. . . defendant Superior Bus Sales placed into the channels of trade and sold to the Chillicothe School District a bus which was defective in that it was so constructed and its mirrors so positioned that a full and complete view of the area within the path of the bus was not discernible by a person positioned in the driver’s seat.
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proof showed that the accident occurred on the Fourth of July, this type of admission will generally be received in evidence. It is a factual admission by an adverse party in a pleading on which the issue is being tried. Stolte v. Larkin, 110 F.2d 226
(8th Cir. 1940), on which defendant places considerable reliance, is this type of case. Plaintiff motorcyclist (Larkin) sued a forward automobile driver (Smith) who was proceeding in the same lane and also sued an approaching motorist (Stolte) who, in passing on a hill, entered the motorcycle’s lane, collided with it and caused it to strike the forward vehicle (Smith). The trial proceeded against both defendants. On cross-examination of the plaintiff the attorney for the passing motorist (Stolte) offered in evidence a portion of the complaint reading: “That at the time and place above mentioned the defendant H.W.J. Smith suddenly and without any signal or warning negligently and carelessly slackened the speed of his automobile and operated the same to a stop or practically so.” Id. at 231, n. 1. The evidence was excluded by the trial court. A verdict was subsequently directed in favor of Smith. The jury returned a verdict against the remaining defendant (Stolte). The court reversed because the testimony was improperly excluded. Like the example given above of the icy road in July, Stolte involved a pleading admission in the nature of a fact allegation about the conduct of an adversary party who was still a party at the time the evidence was affirmed at trial. The only difference is that the adversary party-defendant whose conduct was the basis of the admission was not the party defendant who offered the evidence. We do not view this as a significant difference. When factual allegations in the pleadings relate to conduct of the same defendant who is offering the evidence, the evidence is generally admitted,[2] even though the particular pleading has been abandoned or dismissed.[3] Where a party has made a statement in a pleading about his own conduct which is at variance with his position in the matter being litigated, the evidence is generally admitted.[4]
[6] McCormick, Evidence, § 265 at 634 (2d ed. 1972). [7] In situations closely akin to the case under submission, such pleading admissions have been generally excluded.[5] We believe that Continental Insurance Co. of New York v. Sherman, 439 F.2d 1294. . . The modern equivalent of the common law system is the use of inconsistent, alternative, and hypothetical forms of statement of claims and defenses. It can readily be appreciated that pleadings of
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this nature are directed primarily to giving notice and lack the essential character of an admission. To allow them to operate as admissions would render their use ineffective and frustrate their underlying purpose. Hence the decisions with seeming unanimity deny them status as judicial admissions, and generally disallow them as evidential admissions.
(5th Cir. 1971) states the better view and indeed what is now the majority view. In Continental Insurance there were inconsistencies in the third-party defendant’s cross-claim and answer. In closing argument the defendant’s attorney argued that the allegations of the cross-claim constituted an admission of liability even though the cross-claim had been dismissed. Holding that the admission of these pleadings was improper, the court said:
[8] Tort law, particularly in the field of product liability, has reached a point where in many cases several theories of liability are advanced — negligence, warranty, strict liability, absolute liability, deceit and nuisance among others. Often these theories involve inconsistent and contradictory allegations in the pleadings. This has been recognized and indeed encouraged by Rule 8(e)(2), Fed.R.Civ.P.[6] A further complicating problem in the unbridled use of pleading admissionsAs a general rule the pleading of a party made in another action, as well as pleadings in the same action which have been superseded by amendment, withdrawn or dismissed, are admissible as admissions of the pleading party to the facts alleged therein, assuming of course that the usual tests of relevancy are met. (Citations omitted.) Strictly applied, however, this rule would place a litigant at his peril in exercising the liberal pleading and joinder provisions of the Federal Rules of Procedure in that inconsistent pleadings under Rule 8(e)(2) could be used, in the proper circumstances, as admissions negating each other and the allegations in third-party complaints and cross-claims seeking recovery over in the event of liability in the principal action could be used in that action as admissions establishing liability. Thus, as a necessary exception in the general rule, there is ample authority that one of two inconsistent pleas cannot be used as evidence in the trial of the other. Giannone v. United States Steel Corporation, supra, 238 F.2d at 544, n. 4; McCormick on Evidence, § 242, pp. 509-520 (1954); Note, 17 Tex. Law Rev. 191 (1939). It would seem that this principle would also include inconsistent positions taken in pleadings in a complicated joinder situation, involving, as here, the contingent liability of third parties.
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is the liberal third-party and joinder practice contemplated by the Federal Rules of Civil Procedure. The almost universal adoption of statutes permitting contribution among tortfeasors and the widespread use of indemnity provisions in many types of contracts have given additional impetus to third-party practice and joinder. The use of pleading admissions in situations akin to the case under submission seems to us to be contrary to the spirit of the Federal Rules. Furthermore, it simply does not seem quite fair to these plaintiffs. A pleader in the Federal Courts should not have to forego a potential claim rather than run the risk of having such a claim used as an admission.
[9] We have considered the other points urged by plaintiff-appellants and with one exception consider them to be without merit. Defendant’s counsel inquired of defendant why he had quit driving the school bus after the accident. Defendant responded that “it is just like trying to haul a truck load of diamonds. Every one of those kids were precious and I just did not have the heart to go back.” At this point the defendant became emotional. His attorney asked if he needed a drink of water, and he said, “No, I am okay. I am just sensitive.” Plaintiffs’ counsel argued that the question and the response was a contrived predicate for a display of sympathy engendering emotion on defendant’s part. We do not accept this argument in the face of the ruling by the able and experienced trial judge, and a retrial would not be ordered on the basis of the admission of this evidence. We do, however, seriously question the relevancy of this evidence. How is the fact that defendant had quit driving a bus relevant on the issue of his negligence at the time of the fatal accident? Defendant-appellee urged that it is relevant because plaintiffs alleged that the death “was attended upon aggravated circumstances.” Surely this must mean his conduct at the time of the accident and not whatever he may have done thereafter. This line of inquiry should be excluded in the retrial of this cause. [10] Reversed and remanded.2 Man. G. 208, 234 (C.P. 1840). With reference to this quotation, the author comments as follows: “The quoted passage indicates the reasoning upon which most courts rely in refusing to permit one count to be used as evidence against another. They first recognize that alternative and inconsistent pleading is necessary for the attainment of justice, because the plaintiff, when he draws his petition, cannot always be sure what he will be able to prove on trial; and having recognized the right to plead inconsistently, the courts feel that it would be contradictory to hold in the next breath that one of the inconsistent counts may be used to defeat the other. Such a holding would virtually destroy the right to plead in the alternative because no plaintiff could afford to do so if he should have to run the risk of having one of his counts used to defeat the other.” Note, 17 Texas L.Rev. 191, 192 (1939).
(10th Cir. 1971) where customer sued lessee of parking lot after fall and lessee’s allegations of faulty maintenance against lessor in previous suit against latter were properly admitted.
[14] 110 F.2d at 232 (citations omitted). [15] Stolte quite clearly indicates, moreover, that the fact that a pleading is directed against a person no longer a party to the case, does not affect its admissibility. In Stolte, id., this Court referred to a Minnesota case, Bakkensen v. Minneapolis Street Railway Co., 184 Minn. 274, 238 N.W. 489 (1931), and had the following to say:That statements in pleadings in the nature of admissions . . . are admissible is established not only in federal courts and in Minnesota, but generally.
[16] Stolte has never been overruled or even spoken of in a disapproving fashion in any of this Court’s subsequent opinions. Indeed, its principle was reaffirmed in Ross v. Philip Morris Co., 328 F.2d 3, 14-15 (8th Cir. 1964). Most of the authorities in other circuits are in accord. In Giannone v. United States Steel Corp., 238 F.2d 544 (3d Cir. 1956), for example, it was said that “[b]y the weight of authority even withdrawn or superseded pleadings are admissible.” Id. at 547 (footnote omitted). To the same effect is Continental Ins. Co. of N.Y. v. Sherman, 439 F.2d 1294, 1298 (5th Cir. 1971) (emphasis supplied):In this respect the Bakkensen case, supra, seems particularly apposite because there the pleading offered had to do with statement
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in a cause of action against both the operator of a street car and the operator of an automobile where, upon death of the automobile driver, a new action was filed against the street car operator alone and in the second action the former pleading was introduced. Here, plaintiff stated a cause against the drivers of two automobiles but on trial virtually abandoned the action against one driver (Smith) and a verdict was directed for that defendant.
[17] These principles were scrupulously followed by the District Court in this case. One of the issues at the trial, perhaps the most important issue, was how much Griffin could see from the driver’s seat in the bus. Griffin was of course maintaining that there was a blind spot from which he could not see the Garman boy. The plaintiffs, on the other hand, took the position that “it wasn’t the adequacy or the inadequacy of the mirrors that was the problem, it was his [Griffin’s] misunderstanding as to where the boy was.”[1] Obviously a statement by plaintiffs that in fact there was a blind spot because of how the bus was constructed is material to that issue. It is not contended that the portion of the pleading read to the jury contained a legal conclusion, as opposed to an allegation of fact. The allegation read to the jury by defense counsel was that “the bus was defective in that it was so constructed and its mirrors so positioned that a full and complete view of the area within the path of the bus was not discernible by a person positioned in the driver’s seat.” Tr. 164. The allegation, if believed, would tend to lessen the driver’s fault. [18] The District Court examined the matter fully and took pains to eliminate any unfairness to the Garmans. The court permitted plaintiffs’ counsel to read to the jury Griffin’s answer denying the allegations of the amended complaint. The court also observed:As a general rule the pleading of a party made in another action, as well as pleadings in the same action which have been superseded by amendment, withdrawn or dismissed, are admissible as admissions of the pleading party to the facts alleged therein, assuming of course that the usual tests of relevancy are met.
[19] Tr. 163-64. The jury could have been told, for example, that the pleading had been filed at a time when the bus company was also a party defendant, and that the bus company sued had subsequently been dismissed because it was not the company that had manufactured or sold the bus involved in the accident. Counsel for plaintiffs did not request any clarifying or explanatory instruction. [20] How does the Court today seek to distinguish Stolte and avoid the force of this reasoning? It is suggested, ante, p. 1158, that in Stolte the allegation admitted concerned “the conduct of an adversary party [Smith] who was still a party at the time the evidence was admitted at trial.” True enough, but th Stolte opinion, as is shown by portions already quoted, stresses that theI believe any prejudicial aspect, any improper prejudicial aspect, can be taken care of through some further instruction by the Court regarding the bus company if that is desired.
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action against Smith had been virtually abandoned, and treats this circumstance as a factor cutting in favor of admissibility, not against it. We are told also, ante, pp. 1158-1159, that the pleading admitted here did not involve the conduct either of the plaintiff or of the defendant against whom it was offered. With deference, I disagree. A statement that a bus is so constructed that the driver cannot see out of it most certainly concerns the driver’s conduct. In Stolte, furthermore, the pleading admitted involved the conduct of Smith, not of Stolte, who offered it in evidence. It is true that the pleading was filed right before the period of limitations would have expired. But why is this circumstance relevant? Fed.R.Civ.P. 11 provides, without exception, that
[21] As the Third Circuit remarked in Giannone v. United States Steel Corp., supra, 238 F.2d at 547, “[m]ost of the authorities considering admissions as evidence conclude that pleadings today are supposed to be factual rather than fictional and therefore should be regarded as probative and admissible.” [22] I quite agree that allowing pleadings to be used as admissions may in some cases run afoul of the permission given in Fed.R.Civ.P. 8(e)(2) to plead hypothetically, inconsistently, or in the alternative. If, for example, a defendant brings in a third-party defendant and in the course of doing so hypothetically alleges its own liability, it would be both unfair and illogical to use the hypothetical admission as evidence against the defendant and third-party plaintiff. That, and only that, is the holding o Continental Ins. Co. of N.Y. v. Sherman, supra, on which the Court today relies. Or if a complaint contains two counts, each setting forth an alternative and mutually inconsistent theory of liability, it would be unjust to admit the allegations of one count as evidence on the trial of the other. That, and only that, is the holding of Gould v. Oliver, 2 Man. G. 208, 133 Eng.Rep. 723 (C.P. 1840). As the court said there, “If not guilty, and a justification be pleaded to a declaration in trespass, the admission of the trespass in the justification [a species of confession and avoidance] will not entitle the plaintiff to a verdict on the plea of Not guilty.” 2 Man. G. at 234, 133 Eng.Rep. at 734. [23] The difficulty with using this line of argument to reverse the judgment in the instant case is that the amended complaint here was not hypothetical, alternative, or inconsistent. It did not allege two theories of liability, (1) that Griffin, but not the bus company, was at fault, and (2) that the bus company, but not Griffin, was at fault. It alleged that both Griffin and the bus company were responsible for the Garman boy’s death, through “concurring acts and omissions . . . .” Amended Complaint ¶ IV, Designated Record (D.R.) 9. There is a tension, so to speak, built into this allegation, because the very circumstance alleged to create liability on the part of the bus company also has some tendency to exculpate Griffin. But the same thing could have been said in Stolte v. Larkin, supra, where the more Smith appeared to be at fault, the less any negligence of Stolte’s would seem to have to do with Larkin’s injuries. [24] I do not claim that the situation is entirely free of the danger of jury confusion or unfair prejudice. Usually, however, the judgment whether such dangers outweigh the probative value of a given piece of evidence is left to the trial court. Fed.R.Evid. 403. The district courts are in the front line of the battle for justice. They make many decisions on each day of trial, often necessarily without much time for the luxury of reflection. Here, the District Court carefully weighed the situation, limited the portion of the pleading read to the jury strictly to matters of fact, permitted opposing counsel to read a portion of another pleading, invited counsel to propose a clarifying instruction, and at length exercised its discretion in favor of admissibility. This decision, it seems to me, was fully warranted by our cases and the generalThe signature of an attorney constitutes a certificate by him that he has read the pleading [and] that to the best of his knowledge, information, and belief there is good ground to support it . . . .
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preference of the modern law of evidence to resolve doubts in favor of admissibility, so that the triers of fact may exercise their judgment on the basis of as much relevant information as possible.
[25] The cases in this Court are legion that counsel against disturbing this kind of exercise of judgment by a district court, in the absence of “a clear and prejudicial abuse of discretion.”Wade v. Haynes, 663 F.2d 778, 783 (8th Cir. 1981). What Judge Matthews, joined by Judges Van Oosterhout and Mehaffy, said in 1964 bears repeating now:[26] Ross v. Philip Morris Co., supra, 328 F.2d at 14. [27] I respectfully dissent.We approach the question whether the exclusion of evidence offered by plaintiff was prejudicial error, mindful that under Rule 61, Fed.R.Civ.P., no error in the admission or exclusion of evidence is ground for granting a new trial or for vacating a judgment, unless a refusal to do so is inconsistent with substantial justice. See Great American Insurance Company v. Horab, 8 Cir., 309 F.2d 262 (1962). In Hawkins v. Missouri Pac. R. Co., 8 Cir., 188 F.2d 348, 351-352 (1951), in speaking for the court, Judge Johnsen, now Chief Judge, stated the applicable rule in this manner:
“* * * [T]he admission or exclusion of any evidence, as being properly relevant or being too remote, is in the federal courts a matter primarily for the trial court’s judgment, and its rulings in this respect will not be disturbed except for clear and prejudicial abuse of the discretion.”