Paul E. Ostrosky v. Randy A. Sczapa, Paul E. Ostrosky v. Randy A. Sczapa, Appeal of Saybrook Ford, Inc.

868 F.2d 1, 1989 U.S. App. LEXIS 1378, 1989 WL 9251
CourtCourt of Appeals for the First Circuit
DecidedFebruary 10, 1989
Docket88-1711, 88-1712
StatusPublished
Cited by2 cases

This text of 868 F.2d 1 (Paul E. Ostrosky v. Randy A. Sczapa, Paul E. Ostrosky v. Randy A. Sczapa, Appeal of Saybrook Ford, Inc.) is published on Counsel Stack Legal Research, covering Court of Appeals for the First Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Paul E. Ostrosky v. Randy A. Sczapa, Paul E. Ostrosky v. Randy A. Sczapa, Appeal of Saybrook Ford, Inc., 868 F.2d 1, 1989 U.S. App. LEXIS 1378, 1989 WL 9251 (1st Cir. 1989).

Opinion

BAILEY ALDRICH, Senior Circuit Judge.

On a clear day, proceeding north on a straight stretch of road some quarter of a mile long, a Ford car operated by defendant Randy Sczapa (Randy) struck the left front end of plaintiff Paul Ostrosky’s car, headed south. Other than a car driven by plaintiff’s girl friend, stopped some dis *2 tance behind him, there was no other traffic. Plaintiff testified that he had stopped for an appreciable interval, his left front end just over the yellow double center line, awaiting the dispersal of a meandering covey of ducks. He saw the Ford careening at, he estimated, over 70 m.p.h. and when it appeared headed directly toward him there was no time to move. According to Randy, he was driving at 40 m.p.h., on his own side of the road, but plaintiff pulled in front of him and he could not stop. According to Randy’s brother David, formerly the driver, but then a passenger, they were proceeding at 50 to 55 m.p.h. The speed limit was 35 m.p.h. The police plan showed the Ford’s tire marks some 140 feet long. The jury found for plaintiff, and Randy appeals.

Randy’s substantial complaint below, and the principal one here, is that evidence of his being intoxicated should have been excluded, pursuant to Fed.R. Evid. 403, as of “relatively low probative value compared to its likely prejudicial effect.” Passing Randy’s heavy burden resulting from the fact that application of this rule is in the broad discretion of the district court, we can only think that we might have reversed even that discretion had the court exercised it the other way. Undoubtedly the evidence as to intoxication (much stronger than Randy would have it) was “prejudicial” to his case, but it was fairly so. As suggesting that Randy was out of control, it supported plaintiff’s testimony that he, plaintiff, was only slightly over the line. Moreover, even if the jury believed that, in order to circumvent the ducks, plaintiff had gone well into the northbound lane, intoxication still would aid a finding that the real cause of the accident was Randy’s speeding and inattention.

Correspondingly, the court’s denial of Randy’s motion for a new trial because of that alleged error and the jury's consequent failure to reduce damages for comparative fault, was, as pointed out by the court, clearly correct. This appeal is totally frivolous. It seems incredible that counsel should base an appeal, to the necessary point of claiming an abuse of discretion, by claiming error because there was “ample evidence for a determination of the real issue: liability. The bare-boned testimony as to drinking and intoxication had very little probative value concerning the due care of the respective drivers, if any at all, and that value was grossly outweighed by its unfairly prejudicial effect.” (Emphasis in original.)

Double costs are assessed against Randy, and a $1,000 token attorney fee is to be paid by Randy’s counsel personally. Whatever may be the wishes of his client, counsel owes a duty to the court, and to opposing parties, not to engage in totally ungrounded conduct. United States v. Nesglo, Inc., 744 F.2d 887, 892 (1st Cir.1984); Fed.R.App.P. 38.

In a second action, tried concurrently, plaintiff sues Saybrook Ford, Inc., hereinafter Saybrook, the employer of Randy’s brother David as a salesman, and the owner of the Ford. Saybrook contends that, particularly with the Ford being driven by Randy, a stranger to it, it is not responsible. Plaintiff makes two replies: R.I. Gen.Laws § 31-33-6, and § 31-33-7. The latter of these provisions creates a presumption that an automobile involved in an accident was being operated with the consent of the registered owner. There are, however, two obstacles. Rhode Island limits the use of this statute to plaintiffs who plead it. Martin v. Lilly, 505 A.2d 1156, 1160 (R.I.1986). Plaintiff did not plead it. But even if the reason for this requirement be disregarded as merely procedural, this statute has to do with Rhode Island internal matters, and the Ford was not registered in Rhode Island. All that appeared was that it had dealer’s plates. Plaintiff’s case to the effect that appending dealer’s plates on a car is equivalent to registration for the purpose of this statute, Avedesian v. Butler Auto Sales, Inc., 93 R.I. 4,14-15, 170 A.2d 604, 609 (1961), does not assist plaintiff. The Ford’s dealer plates were Connecticut.

Section 31-33-6 presents a further problem for plaintiff, though not insuperable. This section provides,

*3 Whenever any motor vehicle shall be used, operated, or caused to be operated upon any public highway of this state with the consent of the owner, or lessee, or bailee, thereof, expressed or implied, the driver thereof, if other than such owner, or lessee, or bailee, shall in case of accident be deemed to be the agent of the owner, or lessee, or bailee, of such motor vehicle....

The Rhode Island court has construed this statute broadly, to cover an authorized agent’s driving outside the scope of his conferred authority. Baker v. Rhode Island Ice Co., 72 R.I. 262, 268, 50 A.2d 618, 621 (1946). Furthermore, the agent may be implicitly authorized, in light of the statute’s intended broad purpose, to authorize another person to drive, F.D. McKendall Lumber Co. v. Ramieri, 85 R.I. 92, 96, 126 A.2d 560, 562 (1956), the court noting, as it had in Baker, that the statute abrogated certain common law defenses with respect to an agent’s authority.

Thus plaintiff would have a clear case against Saybrook, except for one possible flaw. By its terms Saybrook, as owner or bailee, cannot be brought under § 31-33-6 unless it appears that it had consented to the car’s being driven in Rhode Island. Kernan v. Webb, 50 R.I. 394, 148 A. 186 (1929); There the facts were that defendant, a Massachusetts resident, occasionally loaned his car to a woman friend, a Miss Young, also of Massachusetts. At a time when he was away, having left the car with Young, she drove to Rhode Island, where she struck the plaintiff. Her testimony was to the effect that she was permitted to take short excursions, only, and not to go outside Massachusetts. The court held that if this were the fact, the statute would not apply, but it permitted a jury verdict to stand, saying that the evidence warranted an inference that her permission to use was broad enough to include Rhode Island.

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Bluebook (online)
868 F.2d 1, 1989 U.S. App. LEXIS 1378, 1989 WL 9251, Counsel Stack Legal Research, https://law.counselstack.com/opinion/paul-e-ostrosky-v-randy-a-sczapa-paul-e-ostrosky-v-randy-a-sczapa-ca1-1989.