Bolt v. Influence, Inc.

43 P.3d 425, 333 Or. 572, 2002 Ore. LEXIS 217
CourtOregon Supreme Court
DecidedMarch 28, 2002
DocketCC 9911-12433; SC S48510
StatusPublished
Cited by33 cases

This text of 43 P.3d 425 (Bolt v. Influence, Inc.) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bolt v. Influence, Inc., 43 P.3d 425, 333 Or. 572, 2002 Ore. LEXIS 217 (Or. 2002).

Opinion

*575 BALMER, J.

In this original mandamus proceeding, we consider the legal standards governing a trial court’s decision on a motion to amend a complaint to add a punitive damages claim in a products liability case. The trial court denied plaintiffs’ motion to amend on the ground that they had not presented evidence sufficient for a jury to find, by clear and convincing evidence, that they were entitled to punitive damages. Because ORS 18.535(3) sets out a less demanding “directed verdict” standard for evaluating a motion to amend to add a punitive damages claim, we conclude that plaintiffs are entitled to a peremptory writ of mandamus directing the trial judge to reconsider plaintiffs’ motion.

The following facts are not contested. Influence, Inc. (defendant), manufactures and markets medical devices used to treat urinary incontinence. In 1997, a surgeon implanted one of defendant’s devices, a transvaginal synthetic sling system, in the pelvis of plaintiff Alisha Bolt. Shortly thereafter, Alisha Bolt suffered serious postoperative complications and later underwent multiple surgeries to have the device removed. Attributing the cause of various injuries to the design of the synthetic sling, plaintiffs filed claims against defendant for negligence, products liability, and loss of consortium. 1

After some discovery but before trial, plaintiffs moved to amend their complaint to add a claim for punitive damages based on allegations that defendant had marketed its synthetic sling with reckless and outrageous indifference to the risk of harm that that device posed to the public. After considering plaintiffs’ evidence together with opposing evidence that defendant had submitted, the trial court denied plaintiffs’ motion. In explaining its ruling, the court stated that it had used the following standard when examining the evidence:

“[T]aking the evidence in the light most favorable to the plaintiff, could a reasonable jury find, by clear and convincing evidence, that the truth of the matter alleged is highly *576 probable — that the defendant has shown a reckless and outrageous indifference to a highly unreasonable risk of harm and has acted with conscious indifference to the health, safety, and welfare of others.”

(Emphasis added.) This mandamus proceeding followed. ORS 34.110.

We begin with plaintiffs’ contention that the trial court used the wrong legal standard in reviewing plaintiffs’ motion to amend their complaint. Plaintiffs had submitted that motion under ORS 18.535, which provides, in part:

“(1) A pleading in a civil action may not contain a request for an award of punitive damages except as provided in this section.
“(2) At the time of filing a pleading with the court, the pleading may not contain a request for an award of punitive damages. At any time after the pleading is filed, a party may move the court to allow the party to amend the pleading to assert a claim for punitive damages. The party making the motion may submit affidavits and documentation supporting the claim for punitive damages. The party or parties opposing the motion may submit opposing affidavits and documentation.
“(3) The court shall deny a motion to amend a pleading made under the provisions of this section if the court determines that the affidavits and supporting documentation submitted by the party seeking punitive damages fail to set forth specific facts supported by admissible evidence adequate to avoid the granting of a motion for a directed verdict to the party opposing the motion on the issue of punitive damages in a trial of the matter.”

Plaintiffs argue that, under subsection (3) of that statute, their motion to amend must be supported only by some evidence of a prima facie case for punitive damages— i.e., some evidence that defendant had “acted with malice or [had] shown a reckless and outrageous indifference to a highly unreasonable risk of harm and [had] acted with conscious indifference to the health, safety and welfare of others.” ORS 18.537(1). Plaintiffs assert, therefore, that the trial court’s application of a “clear and convincing” evidentiary standard to their motion was improper. They further *577 argue that they produced sufficient proof to require the court to allow their motion.

The initial issue presented, then, is one of statutory interpretation. We must determine what standard the legislature intended to require a court to use when determining the sufficiency of evidence submitted in support of a motion under ORS 18.535. As noted, subsection (3) of that statute instructs a court to deny a motion to amend a pleading to request punitive damages if a plaintiff fails to produce “specific facts supported by admissible evidence adequate to avoid the granting of a motion for a directed verdict * * ORS 18.535(3). In construing that provision, we are guided by the familiar methodology summarized in PGE v. Bureau of Labor and Industries, 317 Or 606, 610-12, 859 P2d 1143 (1993), and we begin our inquiry with an examination of the text and context of the statute at issue.

ORS 18.535(3) directs a trial court to determine the sufficiency of the evidence in support of a motion seeking to request punitive damages by applying the standard for reviewing a motion for a “directed verdict.” The statute does not define further the term “directed verdict” or the evidentiary standard that it implies. However, that term has a well-understood legal meaning. When the legislature referred to “evidence adequate to avoid the granting of a motion for a directed verdict,” ORS 18.535(3), we conclude that it intended to invoke the evidentiary standard that Oregon law associates with such a motion. See Gaston v. Parsons, 318 Or 247, 253, 864 P2d 1319 (1994) (words in statute with well-defined legal meaning are given that meaning). We turn, then, to a discussion of that standard.

The granting of a directed verdict results in withdrawing a claim from the jury’s consideration. ORCP 60. However, jury participation always has been an important part of resolving disputes in Oregon, and, as early as 1854, this court cautioned that, “[w]henever there is any evidence tending to prove a fact within the issue, the jury must pass on it[.]” Latshaw v. Territory,

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Bluebook (online)
43 P.3d 425, 333 Or. 572, 2002 Ore. LEXIS 217, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bolt-v-influence-inc-or-2002.