Hill Construction Co. v. Bragg

725 S.W.2d 538, 291 Ark. 382, 1987 Ark. LEXIS 1972
CourtSupreme Court of Arkansas
DecidedMarch 9, 1987
Docket86-191
StatusPublished
Cited by18 cases

This text of 725 S.W.2d 538 (Hill Construction Co. v. Bragg) is published on Counsel Stack Legal Research, covering Supreme Court of Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hill Construction Co. v. Bragg, 725 S.W.2d 538, 291 Ark. 382, 1987 Ark. LEXIS 1972 (Ark. 1987).

Opinion

Jack Holt, Jr., Chief Justice.

The appellee, Mel Bragg, was injured when a steel column fell over on him during a construction job. Bragg was an ironworker for the subcontractor on the construction project. He filed suit against the appellant, Hill Construction Co., (Hill), the general contractor for the job, and against the architects and engineers who prepared the plans for the building, the other appellant, Mayes, Sudderth & Etheridge (Mayes). The case was tried before a jury which returned a verdict in Bragg’s favor for $250,000. Fault was apportioned between the two appellants: 90% to Hill and 10% to Mayes. It is from that verdict and judgment that this appeal is brought. We find error in the failure to give certain jury instructions and reverse and remand.

The accident occurred after the subcontractor had erected two columns and was attempting to erect and attach a horizontal beam. Bragg and a co-worker were riding on a beam which was to be placed on top of two vertical columns, on a windy day, when one of the vertical columns fell over, injuring Bragg. No guy wires or other bracing were used to temporarily hold the column until the beam was in place. Bragg contended in his lawsuit that the faulty design of the project by the architect and the execution of that design by the general contractor were the cause of his injuries. Hill and Mayes argued that Bragg failed to prove they were to blame for the column falling and that the subcontractor’s action, in not bracing the columns, caused the accident.

Among the errors argued on appeal by Hill and Mayes was the failure of the trial court to give a proffered jury instruction on intervening proximate cause. In support of this jury instruction, Hill and Mayes contend that testimony at the trial indicated that the specifications for the job required the subcontracted steel erector to use guy wires and other supports when raising and supporting the column and these were not used; that the subcontractor’s foreman decided on the erection sequence for the columns and decided to use only wooden wedges to temporarily brace the columns; and that testimony was given by the foreman that erecting columns on a windy day is hazardous and that he told Bragg and the co-worker before they got on the beam to “Pay attention to what’s going on because I don’t like this setup”; and that the same column was subsequently safety erected without altering the design.

Bragg maintains the instruction should not have been given because there was substantial evidence that Hill and Mayes were negligent and that their negligence was the proximate cause of the injury he suffered.

This court has explained that “[t]he question of intervening efficient cause is simply a question whether the original act of negligence or an independent intervening cause is the proximate cause of an injury. . . . Like any other question of proximate causation, the question whether an act or condition is an intervening or concurrent cause is usually a question for the jury.” Larson Machine et al. v. Wallace, 268 Ark. 192, 600 S.W.2d 1 (1980). Furthermore, “[t]he original act or omission is not eliminated as a proximate cause by an intervening cause unless the latter is of itself sufficient to stand as the cause of the injury.. . . The intervening cause must be such that the injury would not have been suffered except for the act, conduct or effect of the intervening agent totally independent of the acts or omission constituting the primary negligence.” Id. We have also held that the jury may be instructed on intervening cause where a third party, who is not a party to the action, may have been negligent, just so the instruction makes it clear that the third party’s negligence must be the sole proximate cause before a verdict for the defendant is required. Boyd & Smith v. Reddick & Twist, 264 Ark. 671, 573 S.W.2d 634 (1978).

Here, there was sufficient evidence of the subcontractor’s negligence to warrant a jury instruction on intervening proximate cause.

Bragg argues that Hill’s and Mayes’s objection to this jury instruction and to all of the other jury instructions were waived by their failure to apprise the trial court of their objections before the jury began its deliberations. We disagree.

It is true that no party “may assign as error the giving or failure to give an instruction unless he objects thereto before or at the time the instruction is given.” Ark. R. Civ. P. Rule 51. Bragg states in his brief that the record does not reflect that the court was apprised of the objections to instructions to be presented until after the jury had been instructed and immediately after plaintiffs first closing argument. To the contrary, the record reveals what instructions were proffered, including one on independent intervening cause, and after each proffered instruction is a statement in parenthesis: “Defendant Hill’s Requested Instruction No__was refused by the Court, to which action Defendant Hill objects.” The attorneys for Hill and Mayes also stated in the record, in the presence of the trial judge that the instructions were presented to the court by all three parties the night before the instructions were given and that, by agreement of counsel, they made the record of their objections to the instructions in the midst of closing argument.

In Beevers, Adm’x v. Miller, 242 Ark. 541, 414 S.W.2d 603 (1967), the appellee contended that appellant’s objection to the court’s failure to give the questioned instruction came after the jury was instructed. This court held:

Nothing in the transcript reflects that this was the case. Appellee relies on language in the objection which indicates that appellee’s counsel had argued the case to the jury at the time the objection was made. This objection was not contained in the original transcript but supplied in a supplement to the original transcript. . . Neither the original nor the supplement shows when the objection was made. . . . It is suggested that the court was aware of the objection but requested that appellant wait until the jury was deliberating to put the specific language of the objection into the reporter’s record. It is well known among the bench and bar that this is a common practice designed to expedite the trial by diminishing the time jurors must wait for instructions to be settled, prepared in written form and given. In the absence of a specific objection by counsel, which does not appear here, we find no waiver on the part of appellant’s counsel under such circumstances.

Here, too, the record is not clear as to exactly when the objections were made. The record does spell out, however, that Hill’s attorney stated in the presence of the trial judge that, before the jury was instructed, the court was aware of the instructions it was not going to give, the instructions that had been refused, and the instructions that had been proffered by all parties, to which the trial court did not take issue.

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Bluebook (online)
725 S.W.2d 538, 291 Ark. 382, 1987 Ark. LEXIS 1972, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hill-construction-co-v-bragg-ark-1987.