American Pamcor, Inc. v. Evans

261 So. 2d 739, 261 So. 2d 730, 288 Ala. 416, 1972 Ala. LEXIS 1238
CourtSupreme Court of Alabama
DecidedApril 27, 1972
Docket6 Div. 863
StatusPublished
Cited by21 cases

This text of 261 So. 2d 739 (American Pamcor, Inc. v. Evans) is published on Counsel Stack Legal Research, covering Supreme Court of Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
American Pamcor, Inc. v. Evans, 261 So. 2d 739, 261 So. 2d 730, 288 Ala. 416, 1972 Ala. LEXIS 1238 (Ala. 1972).

Opinion

MADDOX, Justice.

This is an appeal from a judgment of $13,000 entered pursuant to a jury verdict in favor of the plaintiff, Mabel Evans, in a personal injury action which arose out of an automobile accident. Plaintiff’s husband brought a derivative suit and the jury assessed his damage at $2,000. 1

Plaintiff’s action contains two counts — - one sounding in simple negligence, the other claiming wanton conduct.

Plaintiff claims that the car she was operating was rammed as she was turning off Highway 280 into her driveway in Goodwater, Alabama on a rainy, misty day on December 13, 1968. Defendant’s driver claimed that the accident happened when *419 the car plaintiff was driving went into a skid and that the right rear of her car skidded into the left front of the truck he was operating. Plaintiff claimed she received neck and back injuries and incurred substantial expenses for medical attention as a result of the accident.

Defendants’ motions for new trial were denied and this appeal was then taken.

Appellants raise by appropriate assignments of error five points. They say: (1) insurance coverage was unreasonably injected into the case when prospective jurors were examined; (2) that the trial court erroneously refused to admit into evidence hospital records showing previous hospitalizations of the plaintiff, one hospitalization being for a broken jaw, allegedly caused when her husband struck her; (3) that the trial court erroneously charged the jury on subsequent negligence when the jury returned to ask questions concerning any- effect plaintiff’s contributory negligence would have on the issues; (4) that the trial court should have permitted evidence that the plaintiff remained silent when a statement against her interest was made in her presence; (5) that the evidence was insufficient to submit the wanton count to the jury.

During the examination of prospective jurors the court asked whether any juror was employed by or had a financial interest in the Insurance Company of North America. A juror Crowder responded that she was a policyholder. Subsequently, plaintiff’s counsel inquired of juror Crowder:

“MR. WYNN: Mrs. Crowder, you said, I believe that you are a policyholder with the Insurance Company of North America. I will ask you if that being true, do you feel like that you could fairly and impartially decide this case based strictly on the law and the evidence, or do you feel like you may be a little bit favorable to the insurance company that has your coverage?”

Juror Crowder later said she would not be biased because she was a policyholder.

Appellants claim the question imparted to the jury the fact that Insurance Company of North America would pay the judgment rather than the defendants, and, in view of this, the trial judge erred in failing to declare a mistrial. We disagree. In Hudson v. Stripling, 261 Ala. 196, 73 So.2d 514 (1954), a similar question was propounded to policyholders. This court there reiterated the settled principle that the plaintiff is entitled to have the jury qualified as to their connection with or interest in a liability insurance company obligated under its policy issued to the defendant, to pay all or any part of any recovery which may be had against the defendant in the case. This right of counsel to examine the jurors as to the extent and nature of their connection with the insurance company can be abused. This court has pointed out that counsel should be careful to avoid saying or doing anything which would lead the jury to believe that his opponent has insurance to protect him in respect to the matter in controversy when reference to insurance is not admissible for any proper purpose. Gwin v. Church, 272 Ala. 674, 133 So.2d 880 (1961). Without elaboration, the questions propounded on voir dire in Gwin v. Church, are not similar to the question here.

In Gwin, this court found that the insurance company mentioned in one of the questions had no connection with the case, and that no reason was shown for making the inquiry, either to determine the qualifications of jurors or to inform the plaintiff of possible bias so that plaintiff could intelligently exercise his right to strike.

Furthermore, in Gwin, this court cited some eight different instances where insurance coverage was injected into the case. The number of instances when insurance is injected in a case is not the sole yardstick by which prejudice to the defendant is measured. However, the question in each case is whether counsel has. over *420 stepped that almost imaginary line between what is allowable and what is not. In Gwin, it was easy to see the prejudicial effect. In a case like this, it is difficult to determine whether counsel got past the line of propriety. The trial court initially denied the motion for a mistrial and later denied the motion for a new trial. We find no prejudicial error in his rulings in this case 2

Appellants also claim that the trial court erred in refusing to admit hospital records reflecting a hospitalization of Mrs. Evans, the plaintiff, as a result of a beating by her husband. Appellants’ argument is that the records were admissible to show that the plaintiff’s condition could have been caused by her unhappy home life and poor emotional state.

Plaintiff’s physician, Dr. Meyer, had testified that the plaintiff was suffering from a posttraumatic cervical dorsal and lumbar myositis and a fibrositis of the left shoulder. 3

On cross-examination, appellant’s counsel sought, unsuccessful!}!-, to get Dr. Meyer to state that the plaintiff’s fibrositis could have been caused by an unhappy personal life situation. Counsel used a textbook in the cross-examination and sought to have Dr. Meyer admit that a statement in the textbook that the fibrositis syndrome is probably precipitated by a psychosomatic disorder was accurate. The doctor did say it was “correct as read,” but upon his examination of the textbook, Dr. Meyer stated that the portion from which counsel was reading referred to a rheumatism syndrome and was not related to an injury syndrome. Dr. Meyer testified that a “bad home life” would influence his opinion about the degree of plaintiff’s suffering, but not about the cause of her injury.

Appellants offered no expert witness who had examined the plaintiff or who could testify as an expert with regard to the issues on trial. Appellants sought to discredit plaintiff’s doctor by use of a medical text, which plaintiff’s doctor, as shown above, testified was inapplicable to the issues presented. Appellants then sought to have records of plaintiff’s hospitalization on December 6, 1959, nine years prior to the accident, introduced into evidence to show that she was then hospitalized as a result of a blow she had received from her husband. One of the reasons given by the trial' court for refusing to admit the hospitalization record was that if it had any probative value, it was so insignificant as compared to the harmful inference that a jury would get from it, that it would not be fair to admit it. We find no error in this ruling.

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Bluebook (online)
261 So. 2d 739, 261 So. 2d 730, 288 Ala. 416, 1972 Ala. LEXIS 1238, Counsel Stack Legal Research, https://law.counselstack.com/opinion/american-pamcor-inc-v-evans-ala-1972.