Justia Injury Law Opinion Summaries

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The Supreme Court reversed the judgment of the court of appeals reversing the trial court's partial denial of Defendant's motion for summary judgment in this dog bite case, holding that a genuine issue of material fact existed, precluding summary judgment.Defendant in this case was a deputy sheriff and K-9 handler who hosted a cookout for friends at his home. Plaintiff, who attended the cookout, was bitten by Defendant's canine partner, Xyrem. Plaintiff brought suit, asserting a common-law negligence claim and a claim under Ohio Rev. Code 955.28, which imposes strict liability for injuries caused by a dog in certain situations. The trial court granted Defendant's motion for summary judgment in part, determining that Defendant was immune from liability under section 955.28(B). Defendant appealed the denial of summary judgment on the negligence claim. The court of appeals reversed, holding that, as a matter of law, Defendant was not manifestly acting outside the scope of his employment or official responsibilities during the evening of the dog bite. The Supreme Court reversed, holding that reasonable minds could differ regarding whether Defendant was manifestly acting outside the scope of his employment during the events leading up to Plaintiff's injury. View "Harris v. Hilderbrand" on Justia Law

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Plaintiff Brian Carr appealed a trial court’s grant of summary judgment in favor of the City of Newport Beach (the City) an action arising from injuries plaintiff sustained after diving headfirst into shallow harbor waters. The court concluded the City was immune from liability pursuant to Government Code section 831.7, which concerned hazardous recreational activities. It also found no triable issue of fact as to plaintiff’s claim alleging a dangerous condition of public property. Plaintiff contended the decision was error because there are triable issues of fact regarding the City’s claimed immunities and his dangerous condition claim. The Court of Appeal affirmed, finding record evidenced otherwise. "As a matter of law, the hazardous recreational activity immunity insulates the City from the alleged liability, so thus affirm the judgment." View "Carr v. City of Newport Beach" on Justia Law

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Plaintiff brought an action against Defendants-Appellees Holy Cross College, Inc. and Congregation of Holy Cross Moreau Province, Inc. (collectively, “Holy Cross”) in the district court. Plaintiff alleged that he suffered from sexual abuse carried out by Holy Cross teacher on two separate occasions while attending summer camp at Holy Cross as a 10- or 11-year-old boy in either 1968 or 1969. Plaintiff asserted that Holy Cross is liable for the teacher’s conduct under the doctrine of respondeat superior. At the time of the alleged abuse, such an offense was subject to a one-year liberative prescriptive period. Plaintiff invoked the Revival Provision as his basis to bring a suit. The district court granted Holy Cross’s motion and dismissed Plaintiff’s complaint.   The Fifth Circuit vacated and remanded. The court explained that while the appeal was pending, the Louisiana Supreme Court issued its decision in T.S v. Congregation of Holy Cross Southern Province, Inc., 2023 WL 4195778. The court wrote that with the benefit of the T.S. decision, the court is now certain as to how this case should be resolved under Louisiana law. As previously noted, the facts of both cases are nearly identical. Therefore, it is apparent that the district court should not have ruled on the Revival Provision’s constitutionality. Instead, it is now clear that the Revival Provision’s wording makes it inapplicable to Plaintiff’s claims. Accordingly, his complaint should be dismissed for that sole reason. The court directed that on remand, the district court may consider whether Plaintiff should be provided with leave to amend his complaint. View "Lousteau v. Holy Cross College" on Justia Law

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After an elementary school teacher grabbed and twisted A.S.’s arm, his mother (and guardian ad litem) filed a complaint form with the Palmdale School District (District) on his behalf. They then filed a lawsuit for damages against the District, its superintendent, the assistant superintendent, the elementary school principal, and the teacher. The trial court sustained the District’s demurrer to Appellant’s third amended complaint on the ground Appellant failed to file a claim with the District in compliance with Government Code section 910.2 Appellant appealed from the subsequent judgment of dismissal.   The Second Appellate District affirmed. The court explained that Appellant specified several administrative actions that he wanted the District to take but did not state he was seeking monetary damages and made no attempt at all to estimate, even roughly, an amount of damages or state whether or not the claim would be a limited civil case. Accordingly, the court held that the complaint form does not substantially comply with section 910. Further, the court explained that even if it assumes that all of the elements of equitable estoppel were initially present, the law recognizes that circumstances may change and render estoppel no longer appropriate. Here, Appellant’s counsel is charged with the knowledge that Appellant needed to file a claim for damages with the District and with the knowledge of what was required for such a claim. Given that counsel possessed the relevant facts about the incident, had the original complaint form, and was actually aware of the statutory requirements for suing a governmental entity, this was ample time. View "A.S. v. Palmdale Sch. Dist." on Justia Law

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In June 2020, Plaintiff’s father died from COVID-19. He allegedly contracted the disease at his nursing home, NHC HealthCare-Maryland Heights, LLC. Plaintiff brought suit in Missouri state court against the nursing home, three corporate entities that own the facility, and twelve administrators and medical professionals employed by NHC HealthCare-Maryland Heights, LLC. The nursing home and the three corporate entities removed the case to federal court, but the district court concluded that it lacked subject matter jurisdiction and remanded the case to state court. The NHC entities appealed and argued that removal was proper.   The Eighth Circuit affirmed the remand order of the district court. The court explained that the PREP Act immunizes covered individuals from suit for injuries “caused by, arising out of, relating to, or resulting from the administration to or the use by an individual of a covered countermeasure.” The Act provides no immunity where a covered person’s “willful misconduct” is the proximate cause of a person’s injuries. The statute creates an exclusive federal cause of action for claims based on willful misconduct. The court explained that the NHC entities assert that the nursing home “acted under” the direction of a federal officer because the government designated nursing homes as “critical infrastructure” during the COVID-19 pandemic and subjected these facilities to extensive regulation. However compliance with even pervasive federal regulation is not sufficient to show that a private entity acted under the direction of a federal officer. Thus, the court found that removal is not authorized under 28 U.S.C. Section 1442. View "Zane Cagle v. NHC Healthcare" on Justia Law

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Appellants-Cross-Appellees Konstantine W. Kyros and his law firm, Kyros Law P.C. (together, “Kyros”), appealed from a judgment imposing sanctions for litigation misconduct under Rules 11 and 37 of the Federal Rules of Civil Procedure. In 2014 and 2015, Kyros brought several lawsuits against Appellees-Cross-Appellants World Wrestling Entertainment, Inc. and Vincent K. McMahon (together, “WWE”). Subsequently, the district court imposed sanctions against Kyros in the amount of $312,143.55—less than the full amount requested by WWE. Kyros now appeals these final sanctions determinations. On cross-appeal, WWE challenged the district court’s reduction of the requested fee award by application of the “forum rule,” under which a court calculates attorney’s fees with reference to the prevailing hourly rates in the forum in which the court sits.   The Second Circuit affirmed. The court held that the district court did not abuse its discretion by imposing Rule 11 sanctions on Kyros. WWE’s sanctions motions and the district court’s order that reserved ruling on those motions gave abundant notice to Kyros of the repeated pleading deficiencies that risked imposition of sanctions, and he was afforded sufficient opportunity to be heard. The district court did not abuse its discretion by imposing Rule 37 sanctions on Kyros because Kyros failed to make a good-faith effort to comply with the district court’s order compelling responses to WWE’s interrogatories. The district court did not abuse its discretion by applying the forum rule to award WWE less than the requested amount of sanctions. View "Kyros Law P.C. v. World Wrestling Entertainment, Inc." on Justia Law

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The Third Circuit Court of Appeals certified a question of law to the Delaware Supreme Court. The question arose in connection with a toxic tort class action in the federal district court for the District of Delaware that was appealed to the Third Circuit. Delaware resident Catherine Baker filed suit individually and on behalf of fellow residents who lived near Atlas Point, a chemical plant that regularly used and emitted ethylene oxide, a dangerous chemical. The question asked whether an increased risk of illness, without present manifestation of a physical harm, was a cognizable injury under Delaware law. Put another way: did an increased risk of harm only constitute a cognizable injury once it manifested in a physical disease? To this, the Supreme Court answered: an increased risk of illness without present manifestation of a physical harm is not a cognizable injury under Delaware law. View "Baker v. Croda Inc." on Justia Law

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Brown injured his knee when he fell at his former prison. He received medical care and was placed on “special needs,” which included being assigned a lower bunk, a wheelchair, and crutches. Weeks later, Brown was transferred. Over the first few months, he spent time in segregation. Brown repeatedly asked several times for medical care but received none. He was later moved to a shared cell where his cellmate, who was disabled, slept in the lower bunk. While climbing to his top bunk, Brown fell. Afterward, Brown saw a doctor who said that Brown needed surgery but that the prison would not provide it. Brown then asked the prison’s “special needs committee” to provide him “accommodations,” and he “filed an ADA reasonable accommodation request.” He also alleged violations of his Eighth Amendment rights. The district court dismissed.The Seventh Circuit reversed, in part. Brown alleged a viable failure-to-accommodate claim, 42 U.S.C. 12132. Brown’s complaint did not need to identify any particular legal theory, nor did it need to allege all legal elements of a particular claim. Brown’s alleged knee injury renders him disabled under the ADA and he alleged failure to accommodate his disability. No rule of law required Brown to identify a particular accommodation in his complaint. The ADA “does not create a remedy for medical malpractice” but Brown’s claim is not about allegedly substandard medical care. View "Brown v. Fofana" on Justia Law

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L.W.’s appendix ruptured during her incarceration, and she subsequently died from sepsis. Plaintiff, as special administrator of L.W.’s estate, filed suit against the county in which L.W. was incarcerated, as well as against the individuals involved in her incarceration and medical care, alleging civil rights claims under 42 U.S.C. Section 1983 and tort claims under state law. The medical malpractice claim against the jail physician, Defendant, went to trial. Defendant moved for judgment as a matter of law at the close of Plaintiff’s evidence. The district court granted the motion. The jury returned a verdict for Plaintiff and awarded $1.3 million in damages. The district court granted Defendant a credit against the verdict for the value of the settlement, amending the judgment to $800,000. Defendant appealed the denial of judgment as a matter of law on the medical malpractice claim. Plaintiff appealed the grant of judgment as a matter of law on the punitive damages claim, as well as the grant of credit against the verdict.   The Eighth Circuit affirmed. The court explained that it does not believe that the court’s decision to preclude the use of legal terms like “reckless” would have had any bearing on its decision to grant judgment as a matter of law on punitive damages. The court explained that it does not matter that separate wrongdoings caused L.W.’s injuries. UCATA does not focus on the cause of the injury or the policy reason for imposing liability. It focuses on the injury, which Plaintiff has alleged is the same for the Section 1983 claims as it is for the medical malpractice claim View "Christine Turner v. Garry Stewart, M.D." on Justia Law

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Plaintiff was severely injured at work when a tank filled with compressed air exploded. Plaintiff brought common-law claims for strict liability and negligence against Tyco Fire Products, LP (“Tyco”), which sold the tank to Plaintiff’s employer. Tyco moved for summary judgment, arguing that Plaintiff’s claims are preempted under the Hazardous Materials Transportation Act of 1975 (“HMTA”), 49 U.S.C. Section 5125(b)(1). The district court held that the claims are preempted and granted Tyco summary judgment.   The Second Circuit affirmed. The court explained that the HMTA expressly preempts nonfederal laws “about” certain subjects related to the transportation of hazardous materials in commerce. The court explained that as relevant here, the HMTA preempts state laws that are (1) “about . . . the . . . marking” of a “container . . . that is represented, marked, certified, or sold as qualified for use in transporting hazardous material in commerce,” and (2) “not substantively the same as a provision” of the HMTA or a regulation promulgated thereunder. Both requirements are satisfied here. First, the court explained that the tank was “marked . . . as qualified for use in transporting hazardous material,” and Plaintiff’s common-law claims are “about” the “marking” of Tyco’s tank. Second, the court wrote that Plaintiff’s common-law claims cannot be deemed “substantively the same” because they would impose duties beyond the HMTA and associated regulations. The HMTA thus expressly preempts Plaintiff’s common-law claims. View "Buono v. Tyco Fire Prods., LP" on Justia Law