Baker v. Speedway Motorsports, Inc.

173 N.C. App. 254
CourtCourt of Appeals of North Carolina
DecidedSeptember 20, 2005
DocketNo. COA04-1379
StatusPublished
Cited by4 cases

This text of 173 N.C. App. 254 (Baker v. Speedway Motorsports, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Baker v. Speedway Motorsports, Inc., 173 N.C. App. 254 (N.C. Ct. App. 2005).

Opinion

McCullough, Judge.

Plaintiff Tammy L. Hepler, individually and as the administratix of the estate of her husband, John A. Hepler, III, appeals from an order sanctioning her for discovery violations and requiring her to provide information and produce documents. We affirm.

FACTS

On 20 May 2000, a pedestrian walkway collapsed at the Lowe’s. Motor Speedway (hereinafter “the Speedway”)1 in Concord, North Carolina, causing injuries to several people who were using the walkway to leave a NASCAR event. Defendant Tindall Corporation (hereinafter “Tindall”) had been involved in constructing the collapsed walkway.

As a result of the walkway collapse, approximately 100 people filed actions against, inter alia, the Speedway and Tindall (hereinafter “defendants”). The present plaintiff, Tammy L. Hepler (hereinafter “Tammy Hepler” or “Mrs. Hepler”) filed an action for her own injuries and also filed an action as the administratrix of the estate of her late husband, John A. Hepler, III, (hereinafter “Drew Hepler” or “Mr. Hepler”). The complaint alleged that Mr. Hepler’s fall from the walkway caused injury to his right ankle and foot, which required surgery, and that he died as a result of multiple drug toxicity from the medications prescribed and taken for the injuries sustained in the walkway collapse. The complaint further alleged that Mrs. Hepler suffered injuries to her neck, shoulders, and lower back as a result of the injury. It was also alleged that both of the Heplers experienced lost wages and economic loss.

The Honorable Chief Justice of the North Carolina Supreme Court designated each case related to the walkway collapse an “exceptional” case pursuant to Rule 2.1 of the General Rules of Practice for the Superior and District Courts, and each case was assigned to be heard by Superior Court Judge W. Erwin Spainhour. As such, the Hepler suits were designated “exceptional” and assigned to Judge Spainhour.

[257]*257In early 2003, the first pedestrian walkway case was tried. In that case, the jury found that the Speedway and Tindall were liable. Judge Spainhour ruled that the issue of liability had been established by collateral estoppel with respect to the remaining plaintiffs. Thus, the Hepler lawsuits required only a trial to determine damages.

On 23 March 2004, defendant Tindall filed a motion for sanctions and to compel the production of certain items (hereinafter “TmdaH’s motion”). A hearing on this motion was held on 1 April 2004. During this hearing, Judge Spainhour orally announced his rulings. These rulings were reduced to writing, and a written order was signed by Judge Spainhour on 19 April 2004 and filed on 22 April 2004 (hereinafter “the 22 April 2004 order”).

Tindall’s motion addressed alleged violations of the North Carolina Rules of Civil Procedure and Case Management Orders (CMOs), which Judge Spainhour had entered to govern the voluminous discovery involved in all of the pedestrian walkway litigation. CMO No. 1, entered 20 September 2001, provided, inter alia, that

[t]he identification of all expert witnesses shall include the subject matter on which the expert is expected to testify, the substance of the facts and opinions to which the expert is expected to testify, and a summary of the grounds for each such opinion as provided in Rule 26 of the North Carolina Rules of Civil Procedure.
On or before March 15, 2002, all parties shall identify all expert witnesses who shall be called to testify at the trial of the particular Plaintiff(s)’ case. . . .
Any expert witness not identified in accordance with the terms and conditions [of] this [CMO] shall not be permitted to testify at trial absent a showing of good cause.

CMO No. 2, entered 13 March 2002, slightly revised the identification requirements and provided that “[t]he identification of all expert witnesses on or before March 15, 2002 shall be limited to the name, business affiliation and address of each expert. On or before March 29, 2002, all parties shall provide the remaining identification of all expert witnesses as defined in . . . [CMO] No. 1.” CMO No. 5, entered 30 October 2002, required all plaintiffs in the pedestrian walkway litigation to provide supplémental responses to interrogatories and requests for production of documents and to certify that a complete [258]*258and updated set of, inter alia, medical records had been provided to defendants. CMO No. 6, entered 16 May 2003, again required all plaintiffs to “provide defense counsel with updated medical reports, medical bills, [and] expert witness reports” and mandated that plaintiffs notify defense counsel if such information had already been provided.

Specifically, Tindall’s motion and Judge Spainhour’s 22 April 2004 order addressed the following topics:

i.Requests for Admissions Concerning an Autopsy Performed on Mr. Hepler

An autopsy performed on Mr. Hepler revealed the presence of certain drugs in his system. Defense attorneys sought to determine whether these findings would be contested and whether the drugs found in his system had been prescribed for Mr. Hepler in the recent past. Therefore, the following requests for admissions were served upon Mrs. Hepler:

2. The results shown in the toxicology section of the Autopsy Report. . . accurately report the levels of acetaminophen, alpra-zolam, hydrocodone, norpropoxyphene, and propoxyphene which existed in Drew Hepler’s blood and liver at the time of [his] death.
* * * *
3. The propoxyphene and norpropoxyphene shown by the Autopsy Report as found in Drew Hepler’s blood and liver did not result from any medication prescribed for [him] during the six-month period prior to his death.
4. No physician or other medical care provider prescribed any medicines for Drew Hepler containing propoxyphene ... during the six month period prior to his death.
* * * M=
5. No physician or other medical care provider prescribed Darvocet or Darvon for Drew Hepler during the six-month period prior to his death.

(hereinafter “the RFAs” or “RFAs Nos. 2-5”). On 13 March 2002, Mrs. Hepler responded that she could not admit or deny any of the fore[259]*259going items because she was “not educated nor qualified to interpret the findings of [the medical examiner]” and “lack[ed] knowledge concerning medicine and the effect of medications prescribed to and taken by Drew Hepler during the six-month period prior to his death.” Further, she stated that she had “made reasonable inquiry and the information known or readily obtainable to her [was] insufficient to enable her to admit or deny th[e] [RFAs] for the reason that she lack[ed] knowledge concerning medicine and the formulation, preparation, and intexpretation of autopsy reports. . . .” On 11 December 2003, well after the parties were required to be aware of the substance of their experts’ opinions pursuant to CMOs Nos. 1 and 2, Mrs. Hepler’s attorney indicated that these responses remained full and complete responses.

In its motion, Tindall sought sanctions for the failure of Mrs. Hepler to consult with her experts before responding to RFAs Nos. 2-5. Specifically, Tindall requested that the Court “strike [the] non-responses . . . and . . . deem [RFAs Nos.

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Cite This Page — Counsel Stack

Bluebook (online)
173 N.C. App. 254, Counsel Stack Legal Research, https://law.counselstack.com/opinion/baker-v-speedway-motorsports-inc-ncctapp-2005.