Goodwin v. S. J. Groves & Sons Co.

525 S.W.2d 577, 1975 Mo. App. LEXIS 1621
CourtMissouri Court of Appeals
DecidedJune 10, 1975
DocketNo. 36209
StatusPublished
Cited by13 cases

This text of 525 S.W.2d 577 (Goodwin v. S. J. Groves & Sons Co.) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Goodwin v. S. J. Groves & Sons Co., 525 S.W.2d 577, 1975 Mo. App. LEXIS 1621 (Mo. Ct. App. 1975).

Opinion

SIMEONE, Presiding Judge.

This is an appeal by defendant-appellant, S. J. Groves & Sons Company from a judgment entered on April 3,1974, by the circuit court of Ste. Genevieve County in favor of the plaintiff-respondent, Samuel A. Goodwin in the amount of $5,000 for damages to respondent’s home caused by blasting operations conducted by the defendant-appel[579]*579lant. For reasons hereinafter stated, we affirm the judgment.

Since appellant, S. J. Groves & Sons Company makes only one point'on this appeal— that the court erred in giving Instruction No. 4,1 the damage instruction — it is unnecessary to detail all of the facts brought out at trial. We shall state only those facts necessary for the disposition of appellant’s contentions.

Mr. Samuel Goodwin acquired ownership of his home on January 5,1971. He moved into the house sometime in February, 1971. He purchased the property from one Jim Gibson. During December, 1970, he and Mr. Gibson were “batching” there. Prior to January 5, 1971, and subsequent thereto, S. J. Groves & Sons Company was engaged in the project of constructing Interstate Highway 55 in the County. In the course of the construction, it performed certain blasting operations to remove rock for the highway right-of-way. In tlie course of the construction, appellant Groves Company would drill and set off explosives at different sites and at different times. Blasting occurred on several occasions. There were two occasions in December, 1970 — December 7 and 9 — which took place within approximately 350 to 450 feet of the plaintiff’s home, and there were seven occasions in March, 1971, at approximately 130 feet from the home.

Before Mr. Goodwin purchased the property in January, 1971, he inspected it. He looked over the basement, the concrete block foundation, the fireplace and other parts of the house. “The house was well-constructed. I couldn’t see anything wrong with it, period.” There were no cracks in the foundation, the fireplace was “perfect,” the plumbing worked, and the “house was in good shape, as far as I was concerned.”

At one point during the March explosions, Mr. Goodwin was “knocked to the ground.” After the March explosions, according to Mr. Goodwin and other witnesses for the plaintiff, there was damage to various portions of his house. The foundation was cracked (in the opinion of one witness —“fractured”), the mantle of the fireplace was cracked, the front porch was cracked in two places, the ceiling tile had to be replaced, there were problems with the well, the line to the septic tank was ruptured and the doors and door frames had to be cut because the floor settled.

A professional engineer testifying for the plaintiff, Mr. Goodwin, testified that the damages were due to the blasting operations in March, 1971. Mr. Goodwin purchased the home for $9,700 and estimated that because of the damage it decreased in value some $6,000.00 to $7,000.00. Several neighbors testified for the plaintiff. The thrust of their testimony was that they also suffered some damage, but one neighbor noticed his damage in December, 1970.

The defendant’s defense was mainly based on the proposition that the blasting in March did not likely cause the damage, because the method of blasting — a series of “delays” — and the contour of the land were such that it was unlikely that damage to the plaintiff’s house was the result of the March explosions. One of defendant’s witnesses testified that he didn’t think the March explosions “would” cause the damage.

The trial court gave certain instructions. Instruction No. 2,2 plaintiff’s verdict directing instruction, informed the jury that the verdict must be for the plaintiff if you believe that “defendant exploded ammonium nitrate and other high explosives after [580]*580January 5, 1971 ” and as a direct result plaintiff was damaged. (Emphasis added.)' Instruction No. 3, given at the request of the defendant, informed the jury: “Your verdict must be for the defendant unless you believe that plaintiff sustained damage from explosions occurring after January 5, 1971.” The court also gave Instruction No. 4, the damage instruction (MAI 4.02). This instruction did not specify any date, but told the jury that if the issues were found in favor of the plaintiff, then it must award “such sum as you may find from the evidence to be the difference between the fair market value of the property . . . before it was damaged and its fair market value after it was damaged.”

The jury returned a verdict in favor of the plaintiff, Goodwin, in the amount of $5,000.00. The defendant Groves Company duly appealed. On this appeal, defendant raises one point.

It contends that the trial court erred in giving Instruction No. 4 (MAI 4.02) “because the evidence revealed two separate occurrences which may have caused plaintiff’s damage [defendant being liable for only one] and Instruction No. 4 does not limit the assessment of damages to that one occurrence.” In expanding on this point, defendant argues (1) that there was some evidence from which the jury could have found that part of the damage to the plaintiff’s home occurred in December, 1970, when two explosions took place near the property of the plaintiff, (2) that in situations under MAI 4.01 where more than one “occurrence” could account for the damages to the plaintiff, MAI 4.01 must be modified to substitute some descriptive term which will properly limit the jury to the occurrence produced by the defendant; therefore MAI 4.02 in similar situations must likewise be modified,3 and (3) that MAI 4.02 must be modified in such situations even though a verdict director limits the jury’s consideration to the particular occurrence for which he seeks damage to his property.

Defendant relies on several decisions decided under MAI 4.01. Russell v. Terminal Railroad Ass’n of St Louis, 501 S.W.2d 843 (Mo. banc 1973) [personal injury]; Vest v. City National Bank and Trust Company, 470 S.W.2d 518 (Mo.1971) [malpractice], and Miller v. American Insurance Company, 439 S.W.2d 238 (Mo.App.1969) [property damage]. See also Jurgeson v. Romine, 442 S.W.2d 176 (Mo.App.1969), and Homm v. Oakes, 453 S.W.2d 679 (Mo.App.1970). In these decisions it was held that where the jury could believe that injuries or damage were produced by several occurrences or where two or more occurrences combine, either one of which could have produced an injury for only one of which the defendant is liable, the damage instruction MAI 4.01 must be modified in accordance with the Notes on Use so as to limit the jury to a consideration of the results of the specific occurrence for which defendant was liable in determining the amount of compensation to award plaintiff. Failure to so modify is error. And this is true even though a defendant’s verdict director limits the jury’s consideration to the occurrence for which the defendant may be held liable. Russell v. Terminal Railroad Ass’n of St. Louis, supra, 501 S.W.2d at 848.

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Bluebook (online)
525 S.W.2d 577, 1975 Mo. App. LEXIS 1621, Counsel Stack Legal Research, https://law.counselstack.com/opinion/goodwin-v-s-j-groves-sons-co-moctapp-1975.