Becker v. Murphy Oil Corp.
This text of 70 So. 3d 885 (Becker v. Murphy Oil Corp.) is published on Counsel Stack Legal Research, covering Louisiana Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.
Opinions
ROLAND L. BELSOME, Judge.
12Plaintiffs-Appellees Peter Becker, Jr., Joseph Barcia, Marvin Baudean, Salvador DiCarlo, Ronald Gilmore and Roy Phillips 1 alleged that as a result of long-term occupational noise exposure at the Murphy Oil Meraux refinery, they suffered hearing loss. After a bench trial, the court awarded each plaintiff except Ronald Gilmore $50,000.002 in damages in a judgment dated March 22, 2010.3 With respect to Ronald Gilmore’s claims, the trial court found in favor of Defendant-Appellant, Murphy Oil Corporation (now known as Murphy Oil USA Inc.), and dismissed his claims with prejudice.
Murphy subsequently filed a Motion for New Trial for Judicial Interest Calculation, which the trial court granted on July 22, 2010.4 Mr. Gilmore also filed a Motion for New Trial, which the trial court granted, severing both Mr. Gilmore’s case and new trial from that of the other plaintiffs. Murphy appeals the judgment awarding damages to Peter Becker, Jr., Joseph Bar-cia, Marvin Baudean, Salvador DiCarlo, and Roy Phillips. For the reasons that follow, we affirm the trial court’s judgment.
| ¡¿REASONS FOR JUDGMENT
The trial court articulated its factual findings with respect to each plaintiff; [888]*888Murphy’s exception of prescription; Murphy’s liability to its employees with respect to noise exposure; and its award of damages in its detailed written reasons for judgment. We summarize these factual findings below.
Joseph Barcia
A seventy-year-old man, Mr. Barcia worked at Murphy for twenty-five years, from 1961 until he retired in 1986 at fifty-six years of age. The trial court found that Mr. Barcia was exposed to loud noise as a laboratory assistant and operator for twenty-one years and as a foreman for the last four years. Mr. Barcia worked in the CAT unit and boilers; he did not wear hearing protection, nor did Mr. Barcia observe anyone else wearing hearing protection. The trial court also recognized that Mr. Barcia saw no signs or materials requiring hearing protection; nor was he told to wear them, nor was hearing protection discussed. Likewise, as a foreman, he was never required to tell his workers that hearing protection was mandatory. The trial court noted that Mr. Barcia first saw earplugs in 1985.
Mr. Barcia did not notice his hearing loss. Although he wore a hearing aid from 1986 until 2005, he did not suspect his work at Murphy to have caused the need for a hearing aid. Prior to working for Murphy, Mr. Barcia fired a rifle approximately six times while in boot camp for the Air Force, and fired a shotgun once while hunting. He also joined the National Guard for six years, where he worked as a butcher. Mr. Barcia subsequently worked for Flintkote as an | inspector, but the trial court acknowledged that there was not much noise exposure at Flintkote.
Dr. Moisés Arriaga, an expert in neuro-otology, conducted a physical examination of each plaintiff, which included taking the medical history and an audiogram5 of each. Dr. Arriaga also reviewed each plaintiffs deposition and the noise exposure evidence produced by Murphy.
The trial court recognized that Dr. Arri-aga diagnosed Mr. Barcia with mild to severe bilateral sensorineural6 high fre[889]*889quency hearing loss with a “notch” on the left side, and concluded that his employment with Murphy was the most significant contributing factor;7 accordingly, Dr. Arriaga found that his prior employment, family history and military service were not significant contributors to his hearing | doss.8 Additionally, Mr. Barcia’s age was not a factor, as he retired at fifty-six years of age and after developing hearing loss. The trial court acknowledged Dr. Arriaga’s finding that Mr. Barcia reported a plugged and ringing feeling in his ear after a work shift indicating noise loud enough to bruise the inner ear called a temporary threshold shift9 which, repeated enough, could become a permanent hearing loss.10
Marvin Baudean
A seventy-three year old man, Mr. Bau-dean worked at Murphy for thirty-one years as a welder, from 1967 until his retirement in 1998 at sixty-one years of age. The trial court determined that Mr. Baudean was never advised to wear hearing protection, but wore earplugs in the late 1980s on his own because of the high noise levels. Mr. Baudean had hearing tests in the 1970s and on approximately [890]*890Ififíve to six occasions thereafter, but was not advised of the test results.11 His hearing loss was also gradual.
Mr. Baudean was in the Marine Corps for two years, and fired a rifle on one trip to a rifle range during basic training. After discharge from the Marines, he worked for American Marine as a welder for four to five years, and also performed temporary work as a pipefitter; however, Mr. Baudean indicated that neither of the premises was particularly noisy.
Dr. Arriaga diagnosed Mr. Baudean with mild to moderately severe bilateral sensorineural high frequency hearing loss, and found that Murphy was the most significant contributing factor. In 1994, an audiogram showed normal hearing at low frequencies, but high frequency hearing loss with a “notch” in both ears. Dr. Arriaga noted that Mr. Baudean reported “a temporary noise shift, being the feeling of ears clogged and ringing for a duration to bruise the inner ear.” Dr. Arriaga did not consider age to be a contributing factor because of the progression of the hearing loss; likewise, he did not consider a chemotherapy regime that began in 1999 to have contributed to his hearing loss because it was after his retirement in 1998.12 Dr. Arriaga also testified that he did not consider Mr. Baudean’s military training to be a significant contributing factor.13
[ 7Peter Becker, Jr.
Mr. Becker worked at Murphy for thirty-five years, from 1961 until his retirement in 1996. Mr. Becker generally worked in operations, and occasionally in the boiler house and CAT. The trial court acknowledged Mr. Becker’s testimony that both the boiler house and the CAT were extremely noisy. Mr. Becker wore no hearing protection, nor did his co-worker, Bill Turnage, who ultimately became the safety director. No signs were posted which advised wearing hearing protection, nor was he ever advised to do so. Likewise, during the four years preceding his retirement, there were discussions regarding hearing protection.
In 1972, Mr. Becker was advised he was suffering hearing loss; however, he did not relate it to Murphy, but instead he related it to growing older. He was tested for the [891]*891loss, and was advised each time that his hearing was progressively getting worse. Other than those comments, Mr. Becker never saw any reports, documents or test results related to his hearing tests. He wore hearing aids after Hurricane Katrina, over ten years after his retirement. The trial court acknowledged that Mr. Becker fired a weapon during basic training for the Air Force, where he worked in the maternity ward of a hospital.14 After discharge, he worked for ODE CO as a roustabout, Freeport South, and Amax Nickel, none of |8which were noisy. Mr. Becker was subsequently hired at Ingram Oil (the predecessor to Murphy Oil).
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ROLAND L. BELSOME, Judge.
12Plaintiffs-Appellees Peter Becker, Jr., Joseph Barcia, Marvin Baudean, Salvador DiCarlo, Ronald Gilmore and Roy Phillips 1 alleged that as a result of long-term occupational noise exposure at the Murphy Oil Meraux refinery, they suffered hearing loss. After a bench trial, the court awarded each plaintiff except Ronald Gilmore $50,000.002 in damages in a judgment dated March 22, 2010.3 With respect to Ronald Gilmore’s claims, the trial court found in favor of Defendant-Appellant, Murphy Oil Corporation (now known as Murphy Oil USA Inc.), and dismissed his claims with prejudice.
Murphy subsequently filed a Motion for New Trial for Judicial Interest Calculation, which the trial court granted on July 22, 2010.4 Mr. Gilmore also filed a Motion for New Trial, which the trial court granted, severing both Mr. Gilmore’s case and new trial from that of the other plaintiffs. Murphy appeals the judgment awarding damages to Peter Becker, Jr., Joseph Bar-cia, Marvin Baudean, Salvador DiCarlo, and Roy Phillips. For the reasons that follow, we affirm the trial court’s judgment.
| ¡¿REASONS FOR JUDGMENT
The trial court articulated its factual findings with respect to each plaintiff; [888]*888Murphy’s exception of prescription; Murphy’s liability to its employees with respect to noise exposure; and its award of damages in its detailed written reasons for judgment. We summarize these factual findings below.
Joseph Barcia
A seventy-year-old man, Mr. Barcia worked at Murphy for twenty-five years, from 1961 until he retired in 1986 at fifty-six years of age. The trial court found that Mr. Barcia was exposed to loud noise as a laboratory assistant and operator for twenty-one years and as a foreman for the last four years. Mr. Barcia worked in the CAT unit and boilers; he did not wear hearing protection, nor did Mr. Barcia observe anyone else wearing hearing protection. The trial court also recognized that Mr. Barcia saw no signs or materials requiring hearing protection; nor was he told to wear them, nor was hearing protection discussed. Likewise, as a foreman, he was never required to tell his workers that hearing protection was mandatory. The trial court noted that Mr. Barcia first saw earplugs in 1985.
Mr. Barcia did not notice his hearing loss. Although he wore a hearing aid from 1986 until 2005, he did not suspect his work at Murphy to have caused the need for a hearing aid. Prior to working for Murphy, Mr. Barcia fired a rifle approximately six times while in boot camp for the Air Force, and fired a shotgun once while hunting. He also joined the National Guard for six years, where he worked as a butcher. Mr. Barcia subsequently worked for Flintkote as an | inspector, but the trial court acknowledged that there was not much noise exposure at Flintkote.
Dr. Moisés Arriaga, an expert in neuro-otology, conducted a physical examination of each plaintiff, which included taking the medical history and an audiogram5 of each. Dr. Arriaga also reviewed each plaintiffs deposition and the noise exposure evidence produced by Murphy.
The trial court recognized that Dr. Arri-aga diagnosed Mr. Barcia with mild to severe bilateral sensorineural6 high fre[889]*889quency hearing loss with a “notch” on the left side, and concluded that his employment with Murphy was the most significant contributing factor;7 accordingly, Dr. Arriaga found that his prior employment, family history and military service were not significant contributors to his hearing | doss.8 Additionally, Mr. Barcia’s age was not a factor, as he retired at fifty-six years of age and after developing hearing loss. The trial court acknowledged Dr. Arriaga’s finding that Mr. Barcia reported a plugged and ringing feeling in his ear after a work shift indicating noise loud enough to bruise the inner ear called a temporary threshold shift9 which, repeated enough, could become a permanent hearing loss.10
Marvin Baudean
A seventy-three year old man, Mr. Bau-dean worked at Murphy for thirty-one years as a welder, from 1967 until his retirement in 1998 at sixty-one years of age. The trial court determined that Mr. Baudean was never advised to wear hearing protection, but wore earplugs in the late 1980s on his own because of the high noise levels. Mr. Baudean had hearing tests in the 1970s and on approximately [890]*890Ififíve to six occasions thereafter, but was not advised of the test results.11 His hearing loss was also gradual.
Mr. Baudean was in the Marine Corps for two years, and fired a rifle on one trip to a rifle range during basic training. After discharge from the Marines, he worked for American Marine as a welder for four to five years, and also performed temporary work as a pipefitter; however, Mr. Baudean indicated that neither of the premises was particularly noisy.
Dr. Arriaga diagnosed Mr. Baudean with mild to moderately severe bilateral sensorineural high frequency hearing loss, and found that Murphy was the most significant contributing factor. In 1994, an audiogram showed normal hearing at low frequencies, but high frequency hearing loss with a “notch” in both ears. Dr. Arriaga noted that Mr. Baudean reported “a temporary noise shift, being the feeling of ears clogged and ringing for a duration to bruise the inner ear.” Dr. Arriaga did not consider age to be a contributing factor because of the progression of the hearing loss; likewise, he did not consider a chemotherapy regime that began in 1999 to have contributed to his hearing loss because it was after his retirement in 1998.12 Dr. Arriaga also testified that he did not consider Mr. Baudean’s military training to be a significant contributing factor.13
[ 7Peter Becker, Jr.
Mr. Becker worked at Murphy for thirty-five years, from 1961 until his retirement in 1996. Mr. Becker generally worked in operations, and occasionally in the boiler house and CAT. The trial court acknowledged Mr. Becker’s testimony that both the boiler house and the CAT were extremely noisy. Mr. Becker wore no hearing protection, nor did his co-worker, Bill Turnage, who ultimately became the safety director. No signs were posted which advised wearing hearing protection, nor was he ever advised to do so. Likewise, during the four years preceding his retirement, there were discussions regarding hearing protection.
In 1972, Mr. Becker was advised he was suffering hearing loss; however, he did not relate it to Murphy, but instead he related it to growing older. He was tested for the [891]*891loss, and was advised each time that his hearing was progressively getting worse. Other than those comments, Mr. Becker never saw any reports, documents or test results related to his hearing tests. He wore hearing aids after Hurricane Katrina, over ten years after his retirement. The trial court acknowledged that Mr. Becker fired a weapon during basic training for the Air Force, where he worked in the maternity ward of a hospital.14 After discharge, he worked for ODE CO as a roustabout, Freeport South, and Amax Nickel, none of |8which were noisy. Mr. Becker was subsequently hired at Ingram Oil (the predecessor to Murphy Oil).
Dr. Arriaga diagnosed Mr. Becker with bilateral sensorineural high frequency hearing loss, which he determined was more likely than not caused by occupational noise exposure at Murphy.15 Dr. Arria-ga did not find personal or medical history16 or age to be a contributing factor in Mr. Becker’s hearing loss.
Salvador DiCarlo
A seventy-six year old man, Mr. DiCarlo worked at Murphy for thirty-two years, with fifteen years in operations and seventeen years as an insulator, followed by work in maintenance until he retired in 1993 at the age of fifty-nine. Mr. DiCarlo recalled that Murphy provided earplugs in 1974, based upon what he was told at the time. Mr. DiCarlo did not receive instructions with regard to the use of earplugs, nor did he recall seeing signs indicating high noise areas or suggesting that noise protection should be used.
Mr. DiCarlo testified that he “already noticed a hearing loss” in 1974, stating “Yes, yes, I couldn’t help but lose my hearing with all that noise around there. [892]*892RE specially when I worked around the boilers.” However, the trial court specifically noted that audiograms were conducted by Murphy in 1974, 1976, and 1981 which indicate that Mr. DiCarlo felt his hearing was “good” on each occasion. Mr. DiCarlo fired a rifle in basic training for the military, and became a company clerk shortly thereafter. He subsequently worked for Amax Nickel and Freeport, neither of which were as noisy as Murphy, according to his testimony. He smoked for twenty-two years and did little hunting or fishing.
Dr. Arriaga diagnosed Mr. DiCarlo with severe bilateral sensorineural high frequency hearing loss and concluded that his work at Murphy was the most significant contributing factor;17 accordingly, medical history, family history, previous work history and age18 were not significant contributing factors to Mr. DiCarlo’s hearing loss.
| inRoy Phillips
A sixty-eight year old man, Mr. Phillips worked for Murphy from 1974 until his retirement in 2003, as an operator and pipefitter. The trial court found that in 1974, his hearing was tested and “hearing good” was indicated in the results. Hearing protection was not discussed or recommended, nor were signs posted indicating high noise areas. The court noted that Mr. Phillips was not provided with earplugs until 1990, and hearing protection was not required until 2000; he wore earmuffs shortly before retiring. Mr. Phillips attended safety meetings, but none with regard to hearing protection. The results of his audiograms during his employment were not discussed with him.
Dr. Arriaga diagnosed Mr. Phillips with severely impaired sensorineural hearing [893]*893loss on both sides, with the right side more severe and the left side more typical of high frequency hearing loss caused by occupational exposure. Dr. Arriaga did not attribute any other factors as significant contributors to Mr. Phillips’ hearing loss.19
^Prescription
The trial court acknowledged Murphy’s argument that the Plaintiffs were aware that they were exposed to loud noise at the refinery and thus had knowledge of their injury for more than one year before filing suit. The court noted, however, that hearing loss is “gradual and insidious”20 and [894]*894that the Plaintiffs simply attributed the hearing loss to a natural part of the aging process.
Additionally, the court recognized that hearing loss, an occupational disease caused by exposure to loud noise in the workplace over many years, is a long latency disease, citing Bath Iron Works Corp. v. Director, Office of Workers’ Compensation Programs, 506 U.S. 153, 163, 113 S.Ct. 692, 698, 121 L.Ed.2d 619 (1993), and Cole v. Celotex Corp., 599 So.2d 1058 (La.1992). The court referenced the work history of the Plaintiffs, acknowledging that most worked at Murphy for over twenty-five years, and some over thirty years, and that each Plaintiff came to work 112there as a young man and left only after retirement. The court found that the evidence did not demonstrate that the Plaintiffs “had any particular skills, expertise, experience or intellect to discern the cause and relationship of their hearing loss with their employment, nor to segregate and evaluate the contribution of the myriad of potential causes of hearing loss.”
The trial court further noted that although the Occupational Health and Safety Act (“OSHA”) mandated hearing protection and conservation programs in 1971, by 1974, “the only face of hearing plugs was their reputed availability in the nurse[s’] station” and that “[o]thers date ear plug availability in mid-to-late 1980’s, a decade after they were required by amendments to OSHA regulations.” Likewise, with regard to hearing tests or audiograms, the trial court found that such tests were “sporadic” and that employees were typically not informed of the results of such testing; when employees were informed of the results, “the potential cause or precautions were never articulated to include noise exposure at the workplace, which was carefully and conspicuously omitted.” Although Murphy argued that hearing loss cannot be attributed to workplace noise exposure without audiograms, the court noted that “OSHA is abundantly clear in that Murphy bears the responsibility for having those audiograms done on their employees.”
Accordingly, the court found that the doctrine of contra non valentem applied, refusing to allow Murphy to “close the courthouse door to Plaintiffs ... because they knew or should have known the cause of their hearing loss was the exposure to occupational noise during their work lifetime.” 21 The court recognized that contra non valentem was particularly appropriate for long latency occupational | ^diseases, citing Broussard v. Union Pacific Railroad Company, 29,769, p. 2 (La.App. 2 Cir. 8/28/97), 700 So.2d 542, 544, wherein the court found that an action for hearing loss, which develops over a substantial period of time, “cannot accrue ... until [the] injury has fully evolved.”
Finally, with regard to Murphy’s argument that Mr. DiCarlo’s testimony established his knowledge of his hearing loss as early as 1974, the court noted that the evidence at trial demonstrated that Mr. DiCarlo was assessed with “good hearing” on several occasions later than 1974, and that a single utterance should not be cause to reject his claim on prescription grounds, “particularly when at odds with the remaining evidence.”22
[895]*895Noise Exposure
The trial court summarized the evidence presented at trial with respect to the Plaintiffs’ noise exposure at Murphy. The court noted that Murphy began conducting the noise level surveys in 1980, which the Plaintiffs’ expert acoustical engineer reviewed and concluded that the noise levels reflected in the surveys were unsafe. In 1981, Murphy identified four areas of the refinery as major noise sources but declined to take action for economic reasons. The trial court noted that in 1983, 1984, and 1988, the highest sound levels exceeded 100 decibels and that noise levels exceeded 85 dBA23 “even in the break area.” A report prepared by USF & G in 1988 was also introduced at trial; the court noted that the report recommended the use of hearing protection inside the refinery based on maximum sound levels of 105 to 135 decibels, and a repeat study in 1989 found “Meraux’s | ^latest dosimeter testing resulted in readings for many employees over the 90 dBA level.” (emphasis added).
Next, the court acknowledged the disagreement between Murphy’s expert and the Plaintiffs’ expert with regard to the average daily noise exposure during Plaintiffs’ employment with Murphy, noting that Murphy’s expert relied upon post-1988 sound surveys and his experience in other refineries. The court reiterated OSHA’s mandate that Murphy conduct noise surveys, finding that “[t]he sound surveys compiled prior to 1988 by Murphy as part of their hearing program cannot simply be rejected by their author, discarded and replaced with time-decades removed dosimetry substituted through surmise, even from Murphy’s retained expert.”
The trial court rejected Murphy’s argument that Plaintiffs failed to establish a requisite “dose” noise level, as well as Murphy’s attempt to analogize the facts to cases involving toxic exposure to mold, ethylene oxide, and asbestos, finding that “[wjhile sounds or loud noises are capable of measurement, they are varying and fugitive, and not substances akin to those in the cases relied upon by [Murphy] and, consequently, are not controlling as precedent.” Similarly, the court also rejected Murphy’s argument that noise exposures below federally regulated levels failed to show a breach of duty and thus no negligence, citing Broussard, supra, wherein a railroad employee brought a hearing loss claim against his employer “without reference to the federal standard of noise exposure or [] proving the precise level of decibel noise in the workplace.”
|1sThe basis for rejecting Murphy’s claim was the court’s determination that 1) OSHA regulations do not operate as a foundation for tort-based negligence from hearing loss resulting from long term occupational noise exposure; and 2) “sources within scientific organizations concerned with hearing loss from occupational exposure to loud noises have long recommended an eight-hour work day limit be lowered to 85 dBA,”24 which is the “action [896]*896level” for hearing conservation programs pursuant to 29 C.F.R.1910.95.
The court concluded that, contrary to Murphy’s assertions, the cases of Joy Mining Machinery v. Workers’ Compensation Appeal Board, 805 A.2d 1279 (Penn.2002) and McCuiston v. Addressograph-Multigraph Corp., 308 N.C. 665, 303 S.E.2d 795 (1983) did not stand for the proposition that noise exposures at or below 90 dBA were “safe”; nor were the cases analogous, as both involved workers’ compensation actions for benefits under the respective workers’ compensation laws, and were thus inapplicable for tort based premises liability or negligence actions. Additionally, the court noted that the workers’ compensation laws in Joy Mining and McCui-ston did not establish a sound level for entitlement to benefits, but allowed an employer to raise the affirmative defense that noise levels did not exceed 90 dBA on an eight-hour time weighted average. Lastly, the trial court acknowledged that in this case, many employees worked much longer than eight-hour days, often times working as many as twelve hours or more in overtime or during turnarounds; thus, the level of noise exposure to an employee increased accordingly.
11fiLiabiIity
Turning to the issue of liability, the court found that the Plaintiffs had established causation for their hearing loss claims against Murphy. The court first noted that “upon 1989 amendment to our Workers’] Compensation Act, only permanent hearing loss solely due to a single traumatic accident is compensable as a permanent total disability.” Thus, the trial court determined that an employee may bring a tort claim against his employer for gradual hearing loss due to occupational noise exposure because such an injury is not compensable under the LWCA.25
Next, pursuant to a duty-risk analysis, the trial court concluded that Murphy was negligent by failing to provide the Plaintiff employees a safe place to work and failing to take precautions to avoid noise exposure. Citing 29 C.F.R. § 1910.95, the court noted that OSHA mandates hearing conservation programs beginning at noise exposure of 85 dBA. Additionally, the court acknowledged that this “action level” by OSHA requires monitoring by the employer; that the employer establish and maintain an audiometric testing program with baseline audiograms within six months after an exposure to above 85 dBA; an evaluation of the audiogram; and follow-up procedures, including referral to a clinical audiological examination or ontological examination, advisement of threshold shifts, a requirement to provide hearing protectors in all areas of noise above 85 dBA, and a requirement to provide a training program for each employee exposed above 85 dBA. The training program would instruct the employee with regard to the use and selection of hearing protection.
117The court also reiterated the Plaintiffs’ testimony that availability of ear plugs was only “on a come and get them if you want them” basis and that signs requiring the use of hearing protection was “intermittent, if at all, in some of the designated high noise areas.” The court further found that the use of audiograms was “sporadic” and remarked that “never was a baseline audiogram done timely, if at all.” The court also found it noteworthy [897]*897that the Plaintiffs were not informed of the results of the tests, nor advised of any potential causal relationship.
Additionally, the trial court made the following findings with regard to Murphy’s actions (emphasis supplied by trial court):
Murphy Oil Corporation chose to designate certain specific areas of the refinery where the wearing of hearing protection was mandatory in [1]974 (that is in excess of 85dBA). Yet Murphy did not take sound measurements until 1980. The belated requirement of wearing hearing protection such as ear plugs or muffs in cer[tain] areas is indicative of a realization that the unprotected noise levels in that area would be hazardous. In 1988, the USF & G study recommended mandatory hearing protection be expanded to [ ] all of [its] employees within the perimeter of the refinery equipment. Even though specific areas were specifically designated for the use of hearing protection, initially in and expanded after 1988, there has not been a scintilla of evidence or even notation made or concern expressed by Murphy Oil Corporation that its directive of hearing protection being mandatory was ever enforced even by gentle persuasion, other than the mere designation as mandatory. Bill Turnage, Murphy’s Safety Manager, noted in a 1990 safety audit that [the] safety program [was] “ineffective” and that they had made some “tragic mistakes,” that “communication of safety issues are weak,” and “the use of hearing protection is not always enforced.”
The only safety audit was not responded to until four (4) years later. In 1980, an internal Murphy Oil memorandum stated, “we’ve got a problem with our supervisors understanding safety.” This declaration critiquing the effectiveness of Murphy’s hearing safety program well may rank among all gross understatements, in light of the evidence.
| ^Murphy’s corporate decisions seem to [have] ranked economic frugality over hearing protection when it was too expensive to spend $110,000.00 for noise control equipment in a $35,000,000.00 plant expansion in [the] late 1970’s or to paint blue lines to designate a hearing hazard zone to indicate noise levels above 90 decibels.
Damages
In this case, the Plaintiffs stipulated to limit each of the general and special damages to not more than $50,000.00, exclusive of interest and costs. Both parties provided calculations of special or future medical expense losses:
Plaintiffs’ Murphy’s
Name Calculations Calculations
Mr. Barcia $17,947.00 $ 9,216.33
Mr. Baudean $25,013.00 $13,223.98
Mr. Becker $17,947.00 (canal implant) $ 9,312.75
Mr. DiCarlo $24,747.00 $ 2,469.33
Mr. Phillips $18,101.00 $ 9,413.01
The trial court noted that the major difference between the Plaintiffs’ calculations and Murphy’s calculations was the use of the discount rate, with Plaintiffs using Treasury bills and Murphy using a different index. The court concluded that the use obligations of United States Treasury bills to index future cost was the appropriate and proper measure of future costs. Finally, the court found that “should it award the true value of general damages to Plaintiffs Phillips, Barcia and DiCarlo,26 it would exceed in multiples the maximum amount this court [898]*898could award due to the ceiling on the stipulated amount.” (Emphasis added). With respect to special and future medical damages, the court |19found that if it awarded “what it considers as a meager amount of general damages of fifty thousand ($50,000.00) dollars for [Phillips, Bar-cia, and DiCarlo] and added the special or future medical damage for each, it would exceed the stipulated or jurisdictional amount.”
Similarly, with regard to Plaintiffs Bau-dean and Becker, the trial court found that an “equally meager award of thirty-five thousand ($35,000.00) [dollars] for general damages added to the special or future medical expenses would exceed the stipulated or jurisdictional amount of fifty thousand ($50,000.00) dollars.” Accordingly, the trial court awarded each Plaintiff $50,000.00.
STANDARD OF REVIEW
Factual determinations are subject to the manifestly erroneous or clearly wrong standard of review. Stobart v. State, Department of Transportation and Development, 617 So.2d 880, 882 (La.1993). Thus, the issue to be determined by this Court is not whether the trier of fact was right or wrong, but whether the factfin-der’s conclusion was a reasonable one. Id. “Even though an appellate court may feel its own evaluations and inferences are more reasonable than the factfinder’s, reasonable evaluations of credibility and reasonable inferences of fact should not be disturbed upon review where conflict exists in the testimony.” Id. (citing Rosell v. ESCO, 549 So.2d 840 (La.1989); Arceneaux v. Domingue, 365 So.2d 1330 (La. 1978)).
Accordingly, if the trial court’s findings are reasonable considering the record in its entirety, “ ‘the court of appeal may not reverse, even if convinced that had it been sitting as the trier of fact, it would have weighed the evidence differently.’ ” Id. at 883 (citing Housley v. Cerise, 579 So.2d 973 (La.l991)(quoting Sistler v. Liberty Mutual Ins. Co., 558 So.2d 1106, 1112 (La.1990))). This standard | ¡¡nof review “is based not only upon the trial court’s better capacity to evaluate live witnesses (as compared with the appellate court’s access only to a cold record), but also upon the proper allocation of trial and appellate functions between the respective courts.” Id. (quoting Canter v. Koehring Co., 283 So.2d 716 (La.1973)).
DISCUSSION
Assignments of Error # 1 and 2
In its first two assignments of error, Murphy argues that the trial court erred in excluding evidence of noise exposure at other refineries and in finding that the Plaintiffs’ noise exposure at Murphy was the cause of the plaintiffs’ hearing loss.
It is well-settled in Louisiana jurisprudence that an appellate court reviews a trial court’s determinations with regard to the exclusion of expert evidence or testimony under the abuse of discretion standard. Versluis v. Gulf Coast Transit Co., 2008-0729, p. 6 (La.App. 4 Cir. 7/29/09), 17 So.3d 459, 463.
In rejecting Murphy’s attempt to have its expert, Dr. Dennis Driscoll, testify with regard to noise exposure at the Tenneco refinery, the court stated:
I am not going to let you relate conditions at another facility, at another place, at another time, with varying pieces of equipment, with varying distances between the worker and the sound, and have them apply in this case, sir. Do I make that clear?
As the trial court acknowledged, the documentation from the Tenneco refinery resulted from sound readings at an entirely different refinery and was thus [899]*899properly excluded.27 Murphy’s reliance upon Ronald Gilmore and Vincent 121 Vicidomina’s testimony to demonstrate that the two facilities were sufficiently similar is misplaced. Mr. Gilmore’s testimony that “all the refineries are noisy” and “[n]one of them are quiet” and Mr. Vicido-mina’s testimony that, during the only two occasions he visited the Tenneco refinery, the noise level was “comparable” is insufficient to provide a basis upon which to introduce sound level readings from a completely different facility, as neither Mr. Gilmore nor Mr. Vicidomina was an expert. Additionally, Dr. David Lipscomb, an expert in audiology, testified at trial that the level of noise exposure would differ between refineries due to the distance a particular employee was from a piece of equipment and other variables.28 Accordingly, we do not find that the trial court abused its vast discretion in excluding sound readings from the Tenneco facility.
With regard to causation, Murphy argues that the trial court erred in finding that Murphy caused the Plaintiffs’ hearing loss because there was insufficient evidence to show that Plaintiffs’ average daily exposure equaled or exceeded 90 dBA. Murphy further argues that there was insufficient evidence to show that 1 ^average daily exposure above 85 dBA, but below 90 dBA, could have caused Plaintiffs’ hearing loss.
The measurement of an employee’s exposure to noise is accomplished through either a dosimeter reading, where an employee wears a microphone throughout a typical workday, or a sound level meter, where microphones are placed at the typical proximity of an employee to noise-producing equipment and machinery. As noted by the trial court, it was Murphy’s responsibility as early as 1971 to perform noise readings and retain records of same, pursuant to OSHA regulations. See 29 C.F.R. § 1910.95. However, as Plaintiffs emphasize, Murphy failed to maintain such records; furthermore, a violation of OSHA is not necessary to establish liability on the part of Murphy, as OSHA does not provide [900]*900a civil remedy for violations of the act.29
Plaintiffs emphasize several crucial pieces of evidence that were presented to the court at trial; notably, the sound survey evidence presented at trial was produced by Murphy. Plaintiffs first reference a 1989 inter-office memorandum which discusses the results of sounds surveys conducted by USF & G “which produced results ranging from 83.7 dBA to 87.2 dBA over an eight-hour time weighted average.” The memorandum further read:
These results compare with a previous survey conducted in December 1988 in which the readings ranged from 80.1 dBA to 89.6 dBA. Six of the 8 samples in December were above the 85.0 dBA action level at which OSHA requires a hearing conservation program.30 Based on these results, USF & G has recommended that hearing protection become mandatory for all employees inside the perimeter of the refinery equipment.
| p.sThe document stated that Mr. Turnage, the safety director, indicated that “there were plans to survey most of the jobs in the areas considered to pose the greatest exposure risk.” Plaintiffs submit that pursuant to that language, the surveys that revealed 80.1 to 89.6 dBA were not from the noisiest areas of the Murphy refinery.
Plaintiffs also reference a memorandum dated January 22, 1990, regarding dosimeter readings reported by USF & G. The memorandum acknowledges that “Mer-aux’s latest noise dosimeter testing resulted in readings for many employees above the 90 dB[A] level for an 8-hour TWA [time-weighted average].31 In response to these results, the mandatory hearing protection areas were expanded throughout the various units.”
Additionally, Plaintiffs cite a 1988 report from USF & G dated December 20, 1988, discussing the results of a dosimetry survey. The Loss Control Report stated that “all employees were at or above the hearing conservation action level established by OSHA. Readings from five employees’ dosimeters showed maximum exposure levels above 115 dB.” The report’s conclusion stated that “[t]he attached results show a dosimeter eight-hour, TWA (Time-Weighted Average) from 80 to 89.6 decibels. Maximum noise levels were read from 105 to 135 decibels.”32
Next, Plaintiffs refer to a sound study dated September 22,1988 which evidenced high readings of 106 decibels in the refinery and, significantly, up to 88 decibels in the break area. The “loss control report” read in part:
The lowest readings were obtained in the control room with only 70 decibels registering. Break areas in the area IIB Sulfur Unit showed 88 and 85 in area IV break area. The high reading of 106 [decibels] ^occurred under the heater in the Crude unit. Readings of 100 occurred near the gauges located at various equipment in all areas.
Plaintiffs also point to a noise survey conducted on October 5, 1983, which demonstrated that noise levels from equipment were measured at up to 134 dBA, and as high as 92 dBA in areas without equipment in close proximity. Similarly, an inter[901]*901office correspondence document dated April 16, 1986 refers to “general area background noise” which reportedly “now ranges from 85 to 92 dBA.”
Plaintiffs further submit that by as late as the year 2000, dosimeter readings evidence that employees who were operators (four of the Plaintiffs were operators) were exposed to noise levels over 90 decibels on a time-weighted average. An appendix to “Industrial Hygiene Evaluation” dated January 13 & 14, 2000,33 revealed dosime-try readings for seven different operators. The findings indicated that the “highest impact noise level” during the measurement period34 ranged from 132 decibels to 147 decibels; the “maximum continuous noise level” ranged from 100 dBA to 131 dBA; and for one operator, the average noise level was measured at 93 dBA.
In addition to this evidence, Plaintiffs also introduced evidence that dosimetry readings were often projected for an eight-hour work day; however, as the trial court acknowledged in its reasons for judgment, Plaintiffs often worked overtime several days per week. Plaintiffs also presented evidence that large pieces of noise-producing equipment, positioned together, would necessarily result [¡¾⅛ noise levels higher than the measurement reported on a sound survey. Robert Bruce, accepted by the court as an expert in acoustical engineering in the oil industry, testified:
Q. Okay. Now, did you review any documents that purported to show where Murphy Oil attempted to contract out to do, like you talked about in the beginning of your testimony, regarding reducing noise levels by engineering controls?
⅜ ⅝ ¾: ⅜ ⅜ ⅜
A. Yes. They hired the McDermott Corporation to design and build a new unit for about 35 million dollars. And as the contract developed, they began to strike different units from that 35-mil-lion-dollar package. But they had $110,000.00 set aside for noise control. And what they had tried to do was to pass to McDermott the responsibility of controlling the employee noise exposures. McDermott is an engineering company and has no idea where workers go. So to say that you would design the plant and no one would violate the OSHA criteria as a result of working in the plant, you can’t do that unless you know where the workers will be. So it is a give and take back and forth there. But they were trying to buy equipment that would be 90 dBA at basically 3 meters, or 1 meter of 3 feet, and there is a fallacy in that because almost every time you buy a piece of equipment that meets 90 dBA, you are going to have near it another piece of equipment that also is meeting 90 dBA, and so you are going to have more than 90 dBA, you are going to have 93 or 96 dBA as a result of that. [Emphasis added.]
Mr. Bruce also testified the sound level readings were generally taken after Murphy had initiated noise abatement; therefore, in his opinion, noise levels during the [902]*9021960s and 1970s were most certainly higher than the figures reflected in the noise survey results that were in evidence. Mr. Bruce further unequivocally testified that each individual Plaintiff in this case would have been exposed to over 90 dBA during a normal workday at Murphy:
Q. Now, I don’t want to go over each individual plaintiff, but is it your opinion that each individual plaintiff would have been exposed to above 90 decibels on a time-weighted average over the course of their normal day at Murphy?
A. Yes. [Emphasis added.]
| y,Plaintiffs also submitted evidence from Dr. Moisés Arriaga, who, as previously noted herein, personally examined each Plaintiff, reviewed each Plaintiffs deposition testimony, and reviewed both sound survey and noise exposure documents in making his determinations. Considering all of the evidence, Dr. Arriaga testified that he attributed each Plaintiffs hearing loss to noise exposure while working at Murphy, finding that any alternate contributors were insignificant. Specifically, Dr. Arriaga diagnosed Plaintiffs with significant sensorineural high frequency hearing loss, noting Plaintiffs’ reference to ringing in the ears, which Dr. Arriaga referred to as “temporary threshold shifts,” which would ultimately result in a “permanent threshold shift.”35 Dr. Arria-ga testified:
Dr. Arriaga:
I think prolonged exposure to 85 decibels on a regular basis for many years is the beginning of damage. But this level, I think we are looking at 90 decibels, and my experience has been that when people are exposed to that 90 decibel on—
THE COURT:
Do you believe, in your expert opinion, that they were exposed to at least 90 decibels36 over a period of their work-life?
Dr. Arriaga:
I think they were, yes, based on what they were telling me. And the story of the temporary threshold shifts, to me, is the most persuasive. [Emphasis added.]
Plaintiffs also presented testimony from Dr. Ross Roeser, an expert in audiology, who, like Dr. Arriaga, examined each Plaintiff, reviewed depositions, noise exposure documents, and sound surveys. Dr. Roeser similarly found that | ¡^Plaintiffs suffered bilateral sensorineural hearing loss caused by occupational noise exposure at Murphy, and that any alternate causes of the hearing loss were insignificant.37
[903]*903Additionally, Dr. Roeser explained the process by which an employee’s continuous exposure to high noise levels causes permanent hearing loss:
If you will permit me to show you, we have the hair cells that are in the inner ear (indicating). On the left, in the inner ear there are two 12ssets of hair cells. One is an outer hair cell or outer hair cells, there are actually several rows, three, and then in the inner ear we have inner hair cells. The outer hair cells are the ones that are the most sensitive to very soft sounds. So when the energy enters the cochlea, they are stimulated up to 60 dB, six zero dB, and if that energy entering the cochlea is at a high level, then it literally destroys, it damages and destroys that row of hair cells in that particular part of the inner ear. And that area is in the high frequency area, typically in the 4,000 to 6,000-hertz region, if it’s associated with continuous exposure to high noise levels.
Dr. Roeser also testified with regard to the differences between sudden and gradual hearing loss, noting that, of the two types, “if it’s sudden, it’s exposure to a single event, such as a gunshot. That is called traumatic hearing loss or traumatic noise-induced hearing loss.” Dr. Roeser confirmed that each of the Plaintiffs in this case plainly suffered from gradual hearing loss. Because the loss is gradual, Dr. Roeser testified with regard to such hearing loss going undetected for long periods of time:
That is the unfortunate thing because the frequencies that are initially affected are above the frequencies that we use for hearing and understanding speech. Certainly, the frequencies in the range of above 3,000 are part of understanding speech. But the typical individual who has a noise-induced hearing loss will have repeated exposure. It will take, depending on the amount of time and the energy that is involved, it will take a considerable amount of time before that [904]*904individual has any indication that there is a problem. And I think we heard earlier, it’s typically other people who identify it because of the lack of proper response.
Plaintiffs also set forth evidence of causation in the form of various expert literature. For example, Plaintiffs introduced a 1972 document entitled “Occupational Exposure to Noise” from the National Institute for Occupational Safety and Health (“NIOSH”) which indicated that an eight-hour workday limit 129with regard to noise exposure should be 85 dBA.38 Likewise, in 1974, the Environmental Protection Agency (“EPA”) determined that 75 dBA was an appropriate level for a workday over eight hours;39 and in 2008, the Council for Accreditation in Occupation Hearing Conservation recognized that a 90 dBA permissible exposure limit “sends the wrong message to employers” that exposures between 85 and 90 dBA are not hazardous and mandatory hearing protection is unnecessary.40
Additionally, as the trial court recounted in its reasons for judgment, Murphy failed to promptly comply with OSHA regulations of the Hearing Conservation Amendment of 1971, and, according to Murphy’s witness, Murphy failed to establish a “Safety Practices Hearing Protection Program” until 1986 or 1987. An expert industrial hygienist, Vernon Rose, testified with regard to Murphy’s failure to adequately implement a hearing conservation program over the years:
Q. Now, you have had the opportunity to review multiple documents in this case, including all of the corporate documents that have been provided through discovery. In reviewing those documents, did you evaluate the Murphy Oil Hearing Conservation using those five steps?41
I so A. I did.
Q. And did you render any opinions to that effect?
A. I did.
[905]*905Q. Can you please state for the Court your opinions on those.
A. My first opinion was that the Hearing Conservation Program, in its entirety, not just audiometric exams but in its entirety, as I just described, recognizing and so forth, was not implemented completely, at least until sometime in the 1990’s. The first steps were implemented in about 1971, according to the deposition testimony of Mr. Turnage, the safety supervisor at the refinery, where he said noise signs, noise area signs were up when he started working there, as I remember. We know at least for the five or six plaintiffs whose records we have seen, we see one, the earliest audiogram being given, and I don’t remember which gentlemen it was, but 1974, I think he testified earlier this morning. So that is two things that we see happening in the early, maybe early to mid 1970’s.
However, the next step of measuring is: What do you have out here? Do you have a problem, and what is it and where is it? It was not even looked at, at least until 1980 when Mr. Vince.... Vicidomina, who was it looks like a good engineer, he went out and made measurements, but just of equipment.
Then finally, we didn’t have any measurements of actual worker exposure, at least that I have seen, at the workplace until 1988 when the insurance company came in, and you have heard discussion about that this morning, about the dosimeter readings. So that appears to be some 27 years after a number, at least four of the five guys who worked there in this flight, 27 years after they started working was the first time anybody made, at the plant, at the company, made any measurements of worker exposures.
And we have also heard that, well, the exposure levels that were measured were 85, 86, 88 and so forth. But I believe that there is a 1990 or so document, internally from the company which talks about a safety meeting that was held, appears at a corporate level, and I believe it was in Arkansas about 1990 or so. And in the minutes of that meeting, they covered a lot of safety subjects. When it got around to hearing conservation, and I don’t remember the exact words but I will paraphrase it, the statement was made by the, I guess the corporate safety person to the attendees, including the local plant safety officer, that we still see dosimeter readings above 90 dBA. But it is what it is. It’s in the record.
⅜ * ⅜ ⅜
Quote. This is the second to last paragraph on the page. “Meraux’s latest noise dosimeter testing resulted in readings where many employees were above the 90 dBA level for an eight-hour TWA. In response to these results the mandatory hearing protection areas were expanded throughout the various units.” | a. So that indicates that by — this was dated 1990. So by at least 1989 — the survey was done six months earlier or whenever — there were still exposures to workers at the refinery above 90 dBA at an eight-hour time-weighted average.
It is well-settled in Louisiana that “[a] trial court may accept or reject in whole or in part the opinion expressed by an expert.” Lanasa v. Harrison, 2002-0026, 2002-0027, p. 4 (La.App. 4 Cir. 8/7/02), 828 So.2d 602, 605, writ denied, 2002-2512 (La.11/27/02), 831 So.2d 286. The effect and weight to be given to expert testimony is within the broad discretion of the trial court. Id. Here, not only the record but also the trial court’s reasons for judgment demonstrate that the trial court [906]*906carefully considered and weighed evidence and testimony from all experts at trial, and concluded, in its discretion, that Appellees’ experts were more credible. The trial court articulated in its reasons for judgment its “recogni[tion of] the customary disparity of expert testimony brought by Plaintiffs and Defendant respectively” and ultimately “conclude[d] the expert witnesses brought by Plaintiffs to be credible on the point of causation of hearing loss from the occupational noise42 testified to and sound levels reviewed at Murphy Oil Refinery, ^awkwardly referred to by Murphy as a sufficient ‘dose level.’ ” Considering the foregoing, we cannot say that the trial court’s credibility determinations with regard to expert witnesses or factual findings with regard to causation were manifestly erroneous or clearly wrong.43
[907]*907Murphy also makes an argument on appeal that the language in the trial court’s reasons for judgment is unclear with regard to whether the court found that, more probably than not, Plaintiffs’ daily average noise exposures exceeded 90 dBA. Specifically, the trial court stated:
It is difficult to discern a situation where Plaintiffs, with normal hearing at the commencement of their employment, are subjected to high or hazardous noise levels persistently over a work week, often spanning over a traditional eight (8) hour day for nearly thirty years (30) with reported decibel levels certainly exceeding 85dBA and very probably over 90 dBA on a persistent basis, capable of producing occupational hearing loss, is not a significant contributor to that hearing loss. [Emphasis added.]
We find that whether the trial court employed the language “very probably over 90 dBA” or “more likely than not. Plaintiffs’ daily average noise exposures exceeded 90 dBA” to be a distinction without a difference. The trial court’s | .^reasons plainly articulated a finding that it was more likely than not that the occupational noise exposure at Murphy caused the Plaintiffs’ hearing loss. This argument lacks merit.
Assignment of Error # 3
In its third assignment of error, Murphy argues that claims alleging pre-July 1, 1983 exposure are barred. Because Joseph Barcia alleged that he was exposed to harmful levels of noise during his employment with Murphy, and Murphy employed Mr. Barcia from 1961 through 1986, Murphy argues that the pre-1986 version of the Louisiana Workers’ Compensation Act (“LWCA”) governs Mr. Bar-cia’s claims.
Plaintiffs assert that gradual hearing loss plainly does not fall within the definition of “accident” in any version of the LWCA; even before 1989, an accident was defined as “an unexpected or unforeseen event happening suddenly or violently, with or without human fault and producing at the time objective symptoms of an injury.” 44
[908]*9081^Likewise, Plaintiffs submit that a gradual injury with no identifiable moment of occurrence cannot be compensable as an injury by accident under the LWCA, because such injury simply could not occur “suddenly or violently.” For example, with regard to railroad employees who suffered occupational noise exposure, the Second Circuit has recognized that “[a] hearing loss not specifically related to an incident or trauma has no identifiable moment of occurrence.” Broussard, v. Union Pac. R. Co., 29,769, p. 1 (La.App. 2 Cir. 8/28/97), 700 So.2d 542, 544, writ denied, 97-2414 (La.12/12/97), 704 So.2d 1202.45 Most significantly, Louisiana courts have previously acknowledged that gradual hearing loss is not a compensable injury under the LWCA. See Connor v. Naylor Industrial Services, Inc., 579 So.2d 1226 (La.App. 3d Cir.1991); Sayrie v. Harbert International, 576 So.2d 1127 (La.App. 3d Cir.1991).
Murphy also argues that under the pre-July 1, 1983 version of La. R.S. 23:1221(4)(p), occupational hearing loss was compensable under the LWCA, regardless of the cause of the injury. In support of this argument, Murphy cites the previous version of the statute, which Murphy refers to as a “catch-all” provision:
13SIn cases not falling within any of the provisions already made ... where the usefulness of a physical function is seriously permanently impaired, the court may allow such compensation as is reasonable.
La. R.S.23:1221(4)(p) (1982).
Murphy acknowledges that the subsection was changed in 1985 to allow compensation for permanent hearing loss caused only by a single traumatic accident:
(p) In cases not falling within any of the provisions already made, where the employee is seriously and permanently disfigured or suffers a permanent hearing loss solely due to a single traumatic accident, or where the usefulness of the physical function of the respiratory system, gastrointestinal system, or genitourinary system, as contained within the thoracic or abdominal cavities, is seriously and permanently impaired, compensation not to exceed sixty-six and two-thirds percent of wages for a period not to exceed one hundred weeks may be awarded....
La. R.S. 23:1221(4)(p) (2010)(emphasis added).
Murphy relies upon several cases, none of which involve hearing loss, to support the theory that previous versions of the LWCA covered gradual hearing loss due to occupational noise exposure: Ferguson v. HDE, Inc., 270 So.2d 867 (La.1973) [909]*909(stroke compensable under LWCA because it happened “suddenly and violently”); Parks v. Insurance Company of North America, 340 So.2d 276 (La.1976)(bronchi-tis compensable under LWCA because the illness “was unexpected and unforeseen and occurred suddenly producing at the time objective symptoms”); Hale v. Pinecrest State School, 505 So.2d 987 (La.App. 3d Cir.1987)(ruptured disc compensable when caused by single work-related accident on a specific date); McCoy v. Kroger Co., 431 So.2d 824 (La.App. 2 Cir.1983)(ag-gravation of a degenerative foot condition compensable); Gotte v. Cities Service Oil Co., 298 So.2d 920 (La.App. 3d Cir.1974)(pneumonia caused by [.^exposure to extreme temperature variations on or about October 29, 1969 was compensa-ble).46
Murphy's reliance on Chatelain v. American Can Co., 344 So.2d 1180 (La. App. 4th Cir.1977) is misplaced. The employee in Chatelain brought suit seeking workers’ compensation benefits and total disability, arguing that his partial hearing loss was caused by his employer. The court ultimately held that the employee did not demonstrate that it was more likely than not that an “industrial accident” occurred; nor did the employee prove that it was causally related to his disability.47 Contrary to Murphy’s assertion, we do not find the court’s remark that “extraordinary physical stress and strain is not essential to the definition of disabling accident” stands for the proposition that Louisiana courts have determined that gradual hearing loss caused by occupational noise exposure is compensable under the LWCA.48
Murphy concedes that Comoletti v. Ideal Cement Co., 147 So.2d 711 (La.App. 1st Cir.1962) held that under the pre-1983 [910]*910version of the LWCA, hearing 137loss caused by gradual or chronic noise exposure was not a personal injury by accident, noting that “[i]f the disability comes on gradually, it is not an accident but an occupational disease.” Comoletti, 147 So.2d at 717 (quoting Valentine v. Godchaux Sugars, Inc., 90 So.2d 442 (La.App. Orl.1956); Mauchline v. State Ins. Fund, 279 Pa. 524, 124 A. 168 (1924)). Comoletti involved a laborer who was injured while “shooting kilns” for his employer, Ideal Cement Company.49 The First Circuit ultimately held that the injury was compen-sable under the LWCA because it was “most unlikely” that the employee’s hearing loss “resulted from gradual and protracted exposure to noise but rather it was occasioned suddenly and unexpectedly as a result of his exposure to noise of excessive and unusual intensity on a specific date, namely, July 28, 1960.” Comoletti, 147 So.2d at 719 (emphasis added). Thus, the court held that the employee’s hearing loss “resulted from an ‘accident’ within the meaning of the term as employed in our workmen’s compensation statute.” Id.
Murphy cites no case wherein an employee was granted workers’ compensation benefits for gradual hearing loss due to occupational noise exposure, nor does Murphy cite a case which holds that gradual hearing loss is a | ¡^compensable “accident” under the LWCA. Considering the foregoing, we conclude that gradual hearing loss resulting from occupational noise exposure over a period of many years simply cannot meet the definition of an “accident” under any version of the LWCA. Likewise, the trial court did not err in finding that Mr. Barcia’s claims are not a basis for recovery under the LWCA as an occupational disease.50
[911]*911Assignment of Error # 4
In its final assignment of error, Murphy argues that the claims asserted by Mr. DiCarlo, Mr. Baudean, and Mr. Becker have prescribed, and that the trial court erred in determining that contra non va-lentem applied.
Delictual actions are subject to a liberative prescription period of one year from the date of injury or damage. La. Civ.Code art. 3492. If prescription is evident on the face of the pleadings, the burden shifts to the plaintiff to demonstrate that the action has not prescribed. Campo v. Correa, 2001-2707, p. 7 (La.6/21/02), 828 So.2d 502, 508.
|aflThe “ancient civilian doctrine” of contra non valentem agere nulla currit praescriptio “has been recognized from Louisiana’s earliest jurisprudence.” Cor-sey v. State, Through Dept. of Corr., 375 So.2d 1319, 1321 (La.1979). The doctrine “prevents the running of liberative prescription where the cause of action is not known or reasonably knowable by the plaintiff.” Cole v. Celotex Corp., 620 So.2d 1154,1156 (La.1993).51 Louisiana jurisprudence has recognized that “mere apprehension” is insufficient to commence the running of prescription:
This Court has held that “[prescription will not begin to run at the earliest possible indication that a plaintiff may have suffered some wrong.” Hoemer v. Wesley-Jensen, Inc., 95-0553, pp. 3-4 (La.App. 4 Cir. 11/20/96), 684 So.2d 508, 510 (quoting Jordan v. Employee Transfer Corp., 509 So.2d 420, 423 (La.1987)). Rather, prescription begins to run against a claimant when he obtains actual or constructive knowledge of facts indicating a cause of action. Campo v. Correa, 2001-2707, pp. 11-12 (La.6/21/02), 828 So.2d 502, 510. Constructive knowledge of facts “is whatever notice is enough to excite attention and put the injured party on guard and call for inquiry.” Campo, 2001-2007 [2001-2707], p. 12, 828 So.2d at 510-11. Constructive knowledge is also “tantamount to knowledge or notice of everything to which a reasonable inquiry may lead,” and is sufficient to commence the running of prescription. Id., p. 12, 828 So.2d at 511. Mere apprehension that something could be wrong, however, is not considered constructive knowledge sufficient to begin the running of prescription. In re Medical Review Panel of Howard, 573 So.2d 472, 474 (La.1991); Cordova v. Hartford Accident & Indemnity Co., 387 So.2d 574, 577 (La.1980).
[912]*912Guillot v. Daimlerchrysler Corp., 2008-1485, pp. 4-5 (La.App. 4 Cir. 9/24/10), 50 So.3d 173, 180 (emphasis added).
|4ftIn support of the argument that the claims of Mr. DiCarlo, Mr. Baudean, and Mr. Becker have prescribed, Murphy relies in part on Marin v. Exxon Mobil Corp., 2009-2368, 2009-2371 (La.10/19/10), 48 So.3d 234. Marin involved an allegation of oilfield contamination of sugarcane fields, and the plaintiffs filed suit against Exxon for remediation of the soil and groundwater, in addition to other damages.52 Exxon argued that the plaintiffs’ claims had prescribed because they were aware of the contamination as early as 1991, yet did not file suit until 2003. The Louisiana Supreme Court reversed the appellate court’s finding that contra non va-lentem applied, noting that “at least by the 1980’s, plaintiffs knew that sugarcane would not grow in areas surrounding the pits.” Marin, 2009-2368, p. 15, 48 So.3d at 247. Additionally, on September 23, 1987, a spokesperson for the landowner plaintiffs met with an Exxon representative and “told him that he was aware that Exxon had been dumping in the pits for 40 years and the landowners “want every bit of contamination removed from the site and new dirt hauled in.’ ” Id. The Court further found that as early as 1991,53 plaintiffs knew sugarcane would not grow on the land, causing them to demand Exxon to clean and close the |41pits. Id. at p. 16, 48 So.3d 234. Even considering the landowner’s spokesperson’s testimony that it would take four years to learn whether sugarcane was healthy, the Court cited his testimony that “the sugarcane never did grow in some of the pit areas and has still not grown there today.” Marin, p. 20, 48 So.3d at 249. Accordingly, the Court found that at least by 1995, plaintiffs had sufficient knowledge of the contaminants and the relationship between the contaminants and resulting dying sugarcane more [913]*913than one year prior to filing suit in 2003. Marin, pp. 20-21, 48 So.3d at 250.
Murphy cites language from Marin where the Court states that “prescription runs from the date on which [a plaintiff] first suffered actual and appreciable damage, ... even though he may thereafter come to a more precise realization of the damages he has already incurred or incur further damage as a result of the completed tortious act.” Marin, p. 14, 48 So.3d at 246 (quoting Harvey v. Dixie Graphics, Inc., 593 So.2d 351, 354 (La.1992)).54 The Court found that the “outward sign of actual and appreciable damage” of the dying sugarcane was sufficient to excite the plaintiffs’ attention to investigate further by at least. 1995, and it was therefore unreasonable to wait until 2003 to file suit. Marin, p. 20, 48 So.3d at 250.
We find Marin inapplicable for Murphy’s proposition that contra non va-lentern was wrongly determined by the trial court in this case. First, when using the term “appreciable damage,” the Marin Court quoted at length from Eastin v. Entergy Corp. to expressly distinguish the facts of the case from long-latency cases:
We distinguish the instant case from those in which the doctrine has traditionally applied: those cases involving medical malpractice factions (In Re: Medical Review Panel of Howard, 573 So.2d 472 (La.1991); Branch v. Willis-Knighton Medical Center, 92-3086 (La.4/28/94), 636 So.2d 211 (Prescriptive period did not commence until plaintiffs discovered the damage, the delict and their relationship, when disease was diagnosed)); long-latency diseases (Brown v. R.J. Reynolds Tobacco Co., 52 F.3d 524 (5th Cir.1995) (Plaintiff cannot learn of damages suffered until many years after exposure); Cole v. Celotex, 620 So.2d 1154 (La.1993) (Damage is considered to have been sustained only when it has manifested itself with sufficient certainty to support the accrual of the cause of action); Watkins v. J. Ray McDermott, Inc., 466 So.2d 636 (La.App. 5 Cir.1985), Richardson, Jr. v. Avondale Shipyards, Inc., 600 So.2d 801 (La.App. 5 Cir.1992) (Where a progressive occupational disease is involved, prescription begins to run when the disease has manifested itself and the victim is aware of it)); or torts involving juveniles (Wimberly v. Gatch, 93-2361 (La.4/11/94), 635 So.2d 206 (Doctrine of contra non valen-tem suspended running of prescription until parents of molested child learned about molestation)). None of these circumstances exist in this case [employment discrimination] and are easily distinguishable because the plaintiffs in those cases were prevented from knowing of their damages until some time after the action or inaction of the defendant, ie., the damages manifested at a later date.
Marin, 48 So.3d at 270, n. 14 (quoting Eastin v. Entergy Corp., 03-1030 (La.2/6/04), 865 So.2d 49, 55, n. 4).55 Fur[914]*914thermore, we are not persuaded that a case involving property damage to sugarcane is factually analogous to the reasonableness of discovery of hearing loss caused by occupational noise exposure.
Similarly, like the trial court, we find that Murphy’s reliance upon Sellers v. Lykes Brothers Steamship Co., Inc., 94-1107 (La.App. 4 Cir. 12/28/94), 648 So.2d 496, is misplaced. Although the Sellers court found that the plaintiff-employee’s suit under the Jones Act had prescribed, the employee in Sellers alleged that he did not learn of his hearing loss until over twenty years after leaving |4Shis employment. Sellers, 94-1107, p. 4, 648 So.2d at 497. Accordingly, Sellers is inapplicable to the facts of this case.
With regard to specific Plaintiffs, Murphy cites the aforementioned remark by Mr. DiCarlo that “[b]y [1974], I had lost my hearing” for the proposition that Mr. DiCarlo was not only aware of the hearing loss damage but also the source of the damage; therefore, Murphy argues, Mr. DiCarlo’s claims have prescribed. It is apparent from the record that Mr. DiCar-lo, who was 76 years old at the time of trial, had difficulty' recalling events and facts from over four decades ago. Additionally, Plaintiffs introduced into evidence audiograms of Mr. DiCarlo from 1974, 1976, 1981, and 1982 which documented that Mr. DiCarlo stated he felt his hearing was “good.”
Finally, Murphy argues that a 1997 au-diogram from the Universal Health Occupational Health Clinic, purportedly signed by Mr. Baudean, established that Mr. Bau-dean had knowledge of an actual and appreciable injury more than one year before suit was filed. Similarly, Murphy argues that a “Notice of Hearing Shift” purportedly signed by Mr. Becker in 1987 demonstrated that Mr. Becker had knowledge that his hearing had worsened.
Mr. Baudean testified at trial that he had never seen the 1997 audiogram from Universal Health Occupational Health Clinic; likewise, Mr. Becker testified that he did not- recall' seeing the “Notice of Hearing Shift” document. Neither the 1997 audiogram nor the 1987 “Notice of Hearing Shift” mentions permanent hearing loss. Nevertheless, Murphy maintains that both Mr. Baudean and Mr. Becker read the documents and are presumed to have understood them. However, 144Murphy relies upon a case involving contract law for this proposition.56 We find the alleged presumption that Mr. Baudean and Mr. Becker read and understood the contents of the 1997 and 1987 documents inapplicable, particularly considering the testimony that they did not recall seeing the documents at all.
Furthermore, Mr. Baudean and Mr. Becker are not experts and could not diagnose the disease. See Cole v. Celotex, 620 So.2d 1154 (La.1993);57 Hughes v. Olin [915]*915Corp., 37,404, p. 12 (La.App.2d Cir.10/3/03), 856 So.2d 222, 229, writ denied, 2003-3191 (La.2/20/04), 866 So.2d 828 (plaintiff “brought his suit within one year of his learning that he had a lung cancer related to asbestos exposure, as opposed to a cancer that could be traced to his lengthy, prior smoking history or was otherwise not related to asbestos exposure.”).58 Similarly, “[tjhere must be |4Sknowledge of the tortious act, the damage caused by the tortious act, and the causal link between the act and the damage before one can be said to have ‘constructive notice’ of one’s cause of action.” Ducre v. Mine Safety Appliances, 963 F.2d 757, 760 (5th Cir.1992)(citing Knaps v. B & B Chem. Co. Inc., 828 F.2d 1138, 1139 (5th Cir.1987)).
As the trial court acknowledged, Plaintiffs were not trained by Murphy regarding OSHA or the use of earplugs, nor were they advised that the refinery noise could lead to permanent hearing loss. Mr. Phillips,59 Mr. Baudean,60 Mr. Becker,61 Mr. [916]*916DiCarlo,62 and Mr. Barcia63 each testified that if hearing protection |4fiwas available, it was never discussed, either in meetings or otherwise; they were not instructed on the use of hearing protection; and none could recall any signs in the refinery advising of the danger of noise or that hearing protection was mandatory in any area of the refinery.
We find the jurisprudence with regard to occupational exposure to asbestos instructive in this case. Like asbestos exposure, it is incredibly difficult to determine precisely at what point a cause of action accrues with occupational noise exposure. [917]*917The Louisiana Supreme Court in Austin v. Abney Mills, Inc., acknowledged this “herculean task”:
|47In Cole, we recognized that cases arising from occupational exposures present peculiar difficulties in determining when an injured plaintiffs cause of action accrues.
The difficulties in asbestosis cases arise because, unlike in traditional personal injury cases in which the damage results from a single, identifiable act causing traumatic injury, in asbestosis cases the damage results from a continuous process — a slow development of this hidden disease over the years. Compounding the problem, asbestosis cases are characterized by a lengthy latency period — typically ranging a decade or two — and, consequently, a lengthy temporal separation between the tortious conduct and the appearance of injury. This lengthy latency period renders efforts to pinpoint the date on which the disease was contracted virtually impossible, medically and legally. Further, this inability to pinpoint when injuries were sustained in asbestosis cases renders determining the date on which a plaintiffs cause of action accrued a herculean task.-
Austin v. Abney Mills, Inc., 2001-1598, p. 25 (La.9/4/02), 824 So.2d 1137, 1153-54 (quoting Cole, 599 So.2d at 1065)(internal citations omitted)(emphasis added). The Court further recognized that “it is impossible practically to determine the point at which the fibers actually imbed themselves in the victim’s lungs.... ” Austin, 2001-1598, p. 25, 824 So.2d at 1154.
Considering the totality of the circumstances, we find no error on the part of the trial court in its determination that the claims of Mr. DiCarlo, Mr. Baudean, and Mr. Becker had not prescribed. This assignment of error lacks merit.
CONCLUSION
For the foregoing reasons, the trial court’s judgment is affirmed.
AFFIRMED
TOBIAS, J., concurs in part, dissents in part, and assigns reasons.
Related
Cite This Page — Counsel Stack
70 So. 3d 885, 2010 La.App. 4 Cir. 1519, 2011 La. App. LEXIS 717, 2011 WL 2164151, Counsel Stack Legal Research, https://law.counselstack.com/opinion/becker-v-murphy-oil-corp-lactapp-2011.