Babb v. Ford Motor Co.

535 N.E.2d 676, 41 Ohio App. 3d 174, 1987 Ohio App. LEXIS 10785
CourtOhio Court of Appeals
DecidedJune 15, 1987
Docket52023
StatusPublished
Cited by29 cases

This text of 535 N.E.2d 676 (Babb v. Ford Motor Co.) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Babb v. Ford Motor Co., 535 N.E.2d 676, 41 Ohio App. 3d 174, 1987 Ohio App. LEXIS 10785 (Ohio Ct. App. 1987).

Opinion

Markus, C.J.

The defendant automobile manufacturer prevailed against the plaintiffs’ product liability claims for the driver’s injuries in a single-car crash, and her mother’s resulting emotional distress. The jury found that the manufacturer negligently failed to warn about dangers in its defectively designed cruise-control system. However, they also found that neither the defective design nor the negligent warning proximately caused the driver to lose control and hit a tree.

The driver and the owner appeal, complaining that the court failed to enforce their discovery rights and restricted evidence about allegedly similar incidents. 1 The court should have required the manufacturer to pay the plaintiffs’ expenses to secure compliance with certain discovery requests. Accordingly, we remand for that limited purpose. Otherwise, the assigned errors lack merit, so we affirm the trial court’s judgment.

I

The driver was the sole occupant of her mother’s car when the accident occurred. The car traveled around a curve at the top of a hill on a two-lane roadway, at approximately seventy miles per hour. It swerved around another car, collided with a tree, and caught fire. The driver sustained serious injuries. The plaintiffs claimed that the driver lost control because the car’s cruise-control system malfunctioned. The manufacturer contended that driver error caused the crash.

The driver’s mother purchased the vehicle from the manufacturer’s dealer as a new car, almost four years before the accident. She said that it was then “idling very fast,” and was periodically “surging” or “racing.” During the years before the accident, she drove the car more than forty-six thousand miles. She repeatedly took it to the selling dealer and other service facilities to repair the “surging” problem. 2 She never attempted to use the cruise control herself.

If the defendant’s cruise control operates properly, the driver must activate it by (a) pressing the “on button,” and (b) pressing the “set speed button.” It should not activate itself. It should deactivate after the driver activates it, if the driver (a) presses the “off button,” (b) presses the “cruise” or coast button, (c) applies the foot brake, (d) turns the ignition off, or (e) permits the speed to fall more than ten miles per hour below the set speed. All these controls are electrically operated.

The' plaintiffs contended that the system was defective because it lacked a supplemental mechanical device to *176 disengage it when the driver applied the brake pedal. They asserted that a major competitor provided that additional safeguard, and that the electrical disengage system can fail when the brake stop-light switch fails.-

The plaintiff-driver described her version of the events. She testified that the car accelerated as she started up a hill. She concluded that the cruise-control system caused it to accelerate, even though she had not turned it on, because the gas pedal “dropped.” She pressed the cruise control “off button,” tapped the brake pedal, and tapped the gas pedal. She then pressed the brake pedal using both feet with her full strength. She claimed that the car continued to accelerate, despite her efforts.

Another motorist testified that the car swerved and skidded by him at a high speed, left the road and hit a tree. The road showed “yaw” marks, but not tire marks of the type which result when the brakes stop their rotation. The fire destroyed most of the car, so investigators could not effectively examine suspect parts. Expert witnesses for the two sides gave conflicting opinions whether the cruise-control system was defective and whether it contributed to cause this accident.

The jury returned answers to interrogatories, together with its general verdict for the defendant manufacturer. They found that “there was a product defect” in the mother’s car when she purchased it. The defect consisted of “surging caused by defective cruise control system.” However, the defect was not “a proximate cause of the accident.” The car was defective because the owner “thought cruise control was off when it was actually on.” It “failed to perform as safely as an ordinary consumer would anticipate,” but the “risks inherent with that design” did not outweigh its “benefits.”

In another interrogatory answer, the jury again found that the defect was not “a proximate cause of the accident.” They answered that the manufacturer “negligently failed to warn plaintiffs of any danger in the use or operation of the cruise control system.” However, its negligence was not “a proximate cause of the accident.” Finally, they could not state “the proximate cause of the accident,” with agreement by the requisite three-fourths majority.

II

The plaintiffs’ first three assignments of error contest the court’s exclusion or restriction of evidence about allegedly similar incidents with similarly designed cruise-control systems. The plaintiffs sought to present letters from consumers to the manufacturer or the National Highway Traffic Safety Administration about incidents when cruise-control mechanisms malfunctioned. They had obtained these materials by discovery from the defendant manufacturer.

The court permitted the plaintiffs to question the manufacturer’s design engineer about those complaints for all brands which the manufacturer produced during six model years. Over the manufacturer’s objection, the court resolved conflicting evidence to find that those cars were sufficiently similar so complaints about them had probative value.

The parties later stipulated that those one hundred thirty-eight reports included (a) ninety-nine incidents in which foot brake applications did not disengage the cruise control, (b) forty-three in which the “off button” did not disengage it, (c) twenty-nine in which the car accelerated beyond the set speed, and (d) two in which it activated itself. The court reread the same stipulation to the jurors at their request *177 during the course of their deliberations.

However, plaintiffs contest the court’s ruling that they could not use the letters to prove that the reported incidents actually occurred as the letters described them. Rather, the court admitted the plaintiffs’ evidence about them solely to show the manufacturer’s notice of the alleged defect or danger. The court so instructed the jury, and excluded the letters as exhibits in an apparent effort to discourage their misuse for the precluded purpose.

The disputed reports were inadmissible hearsay when offered to prove that the facts they assert are true. Evid. R. 801(A) through (C); cf. Miles v. General Tire & Rubber Co. (1983), 10 Ohio App. 3d 186, 190, 10 OBR 258, 262, 460 N.E. 2d 1377, 1382. In other words, the plaintiffs could not use them to show that those incidents actually occurred as the writers described them. To prove those incidents, they would need testimony from witnesses who observed them, or equivalent evidence which satisfied some exception to the hearsay bar.

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Bluebook (online)
535 N.E.2d 676, 41 Ohio App. 3d 174, 1987 Ohio App. LEXIS 10785, Counsel Stack Legal Research, https://law.counselstack.com/opinion/babb-v-ford-motor-co-ohioctapp-1987.