Frantz v. Brunswick Corp.

866 F. Supp. 527, 1994 A.M.C. 1954, 1994 U.S. Dist. LEXIS 19520, 1994 WL 575602
CourtDistrict Court, S.D. Alabama
DecidedFebruary 18, 1994
DocketNo. CV 92-0439-AH-S
StatusPublished
Cited by5 cases

This text of 866 F. Supp. 527 (Frantz v. Brunswick Corp.) is published on Counsel Stack Legal Research, covering District Court, S.D. Alabama primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Frantz v. Brunswick Corp., 866 F. Supp. 527, 1994 A.M.C. 1954, 1994 U.S. Dist. LEXIS 19520, 1994 WL 575602 (S.D. Ala. 1994).

Opinion

ORDER

HAND, Senior District Judge.

This matter is before the court on Motions to Strike and Motions for Summary Judgment filed by Defendants. For the reasons that follow, and as summarized in the Conclusion of this Order, these motions are GRANTED in part and DENIED in part.

Plaintiff David M. Frantz became permanently and totally disabled as a result of a boating incident on April 7, 1991. Plaintiff’s boat was manufactured by Marine Group, Inc. (acquired by defendant Brunswick Corporation in 1988), included a steering system manufactured by defendant Teleflex, Inc., and was sold to a dealer in Georgia. Defendant Ayer Sport Center purchased the boat from the Georgia dealer, installed an outboard motor, and sold the boat to a customer. This customer resold the boat to a second person, who in turn sold the boat to Plaintiff Frantz.

The accident, which took place on a navigable portion of the Alabama River, came about when a dip net blew up from the front of the Frantz’s boat into Mr. Frantz’s face. As an immediate “reflex action” to catch the net and/or to protect his face, Mr. Frantz took both hands off the steering wheel. The boat then turned to the right, and Mr. Frantz was thrown left.

Plaintiff, in operating his boat, felt pressure on the wheel caused by feedback into the steering system due to torque. Due to his experience with this and other power boats, he knew that boats tend to move to the right. Further, he knew not to take his hands off the steering wheel, although there is no evidence presented to suggest that he knew the full range of consequences of doing so.

Plaintiff was given, and read, a copy of a manual supplied with the boat and produced by the manufacturer of the outboard motor.

Plaintiff’s complaint as amended lists eight causes of action, four causes under the general maritime law and four causes under Alabama tort law. Causes one through three are claims under the general maritime law for negligence, wantonness, products liability [530]*530respectively. Causes five through seven are the same claims but under Alabama law “to the extent not conflicted or superseded by general maritime substantive law.” Cause four and cause eight are claims under general maritime law and Alabama law respectively by Plaintiff Leanne Frantz, wife of Plaintiff David M. Frantz, for loss of services, companionship, and consortium. All parties agree generally that admiralty jurisdiction exists and that this ease should be tried under the principles of the federal maritime law, but the parties disagree on what these principles are and whether these principles can coexist with Alabama tort law principles.

I. Defendants’ Motions to Strike

The Defendants have filed motions to strike Plaintiffs Fourth through Eighth causes of action, claims for punitive damages, claims for other non-pecuniary damages, and claims of a right to jury trial.

A. State law claims parallel to maritime law claims

Admiralty questions are generally decided under the substantive general maritime law of the United States,1 which is “drawn from state and federal sources ... an amalgam of traditional common law rules, modifications of those rules, and newly created rules.”2 Use of federal law does not preempt all state law. In the field of maritime law, the Supreme Court has recognized state created liens, state remedies for wrongful death, state statutes for survival of actions, state rules for the partition and sale of ships, state laws governing specific performance of arbitration agreements, and state laws regulating the effect of breach of warranty.3 These were recognized as valid even when they conflicted with the federal maritime law, so long as the maritime law does not require uniformity.4 What this suggests is a balancing approach, as proposed in Steel-met, Inc. v. Caribe Towing Corp.5:

One must identify the state law involved and determine whether there is an admiralty principle with which the state law conflicts, and if there is no such admiralty principle, consideration must be- given to whether such an admiralty rule should be fashioned. If none is to be fashioned, the state rule should be followed. If there is an admiralty-state law conflict, the comparative interests must be considered— they may be such that admiralty may prevail ... or if the policy underlying the admiralty rule is not strong and the effect on admiralty is minimal, the state law may be given effect ...

There are three primary interests in giving effect to federal maritime law: the promotion of uniformity, the protection of statutorily or judicially created federal rights, and, less significant, the traditional inclination to allow plaintiffs to prevail in personal injury or wrongful-death maritime tort claims.6 The primary interest in giving effect to state law is the state’s interest in being permitted to regulate independently matters of local concern without interference by the federal government and in having state-created rights and obligations protected and enforced in actions in federal court.7

To the Court of Appeals for the Eleventh Circuit, as it has applied the Steelmet test, the question seems to be whether giving effect to state law would significantly affect substantive admiralty law. Generally, federal law should apply if the case presents a maritime problem and diversity of state law “would seriously interfere with the efficient [531]*531operation of the business.”8 In Steelmet, the Eleventh Circuit held that there was no strong admiralty interest in preventing direct action lawsuits under state law against insurance companies.9 The Steelmet court noted that the insurer’s interest in preventing direct action lawsuits was common to all insurers and was not at all particular to maritime insurers.10 In Brockifigton11 the Court applied the Steelmet test to allow state worker’s compensation laws to preclude a shipworker’s suit under the general maritime laws because there was no uniform general maritime rule to be affected governing worker’s compensation’s effect on lawsuits, and because the state had a strong interest in regulating its workforce’s relationship with its employers.

Alabama tort law clearly conflicts with general maritime tort law on a number of matters. As discussed below12, AEMLD differs from 402A in requiring proof of fault. Alabama recognizes the defense of contributory negligence13 while maritime law recognizes the defense of comparative negligence14. Damages for willful and wanton misconduct are generally allowed in Alabama15, but are allowed under the general maritime law in very limited circumstances.16

There is little evidence that the policies behind the general maritime rales are not strong. Plaintiffs are alleging that not only their boat was poorly built, but that all boats of the style were poorly built. Such allegations have national implications for the boat-building industry.

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Cite This Page — Counsel Stack

Bluebook (online)
866 F. Supp. 527, 1994 A.M.C. 1954, 1994 U.S. Dist. LEXIS 19520, 1994 WL 575602, Counsel Stack Legal Research, https://law.counselstack.com/opinion/frantz-v-brunswick-corp-alsd-1994.