Peters v. Pierce

858 S.W.2d 680, 314 Ark. 8, 1993 Ark. LEXIS 434
CourtSupreme Court of Arkansas
DecidedJuly 12, 1993
Docket93-109
StatusPublished
Cited by18 cases

This text of 858 S.W.2d 680 (Peters v. Pierce) 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
Peters v. Pierce, 858 S.W.2d 680, 314 Ark. 8, 1993 Ark. LEXIS 434 (Ark. 1993).

Opinion

Robert H. Dudley, Justice.

Plaintiff Johnnie Peters was driving a pick-up truck on an access road entering Interstate 30 in Pulaski County. He stopped at a “yield” sign, which was positioned just before the access lane merges into the main lanes of traffic, and was struck from behind by a car driven by defendant, William Pierce. Defendant Pierce, appellee in this court, contended below that the accident was not his fault because plaintiff started to pull out onto the interstate and then stopped, and further contended the plaintiff was not damaged by the very limited impact. The only visible damage to the defendant’s car was a small dent in the top of the front bumper. The rear bumper of the plaintiffs truck was not bent, but was pushed downward. The case was tried once before and resulted in a $6,000 verdict for the plaintiff, but he appealed. We reversed and remanded because the plaintiff was not given the opportunity to answer the defendant’s misleading and incompetent testimony. Peters v. Pierce, 308 Ark. 60, 823 S.W.2d 820 (1992). Upon retrial, the jury returned a defendant’s verdict. The plaintiff again appeals. This time, we affirm.

Before the second trial, plaintiff filed a motion in limine and asked that the defendant not be allowed to argue that the case had been orchestrated by plaintiffs attorney. Defendant was attempting to support this argument, in part, by alleging that plaintiffs attorney had referred plaintiff to a physician. Alternatively, if that motion were denied, plaintiff asked that he be allowed to respond to the argument by showing the reason he employed counsel at the time he did was because the defendant’s insurance adjuster was rude to him. The trial judge listened to the pretrial arguments, weighed them, and ruled that it would be unduly restrictive not to allow the defendant’s attorney to draw an inference from the facts, which might be proved, and additionally ruled that it would create unfair prejudice to allow testimony about insurance. The trial judge concluded his ruling by stating: “I don’t think it would be unreasonable to have the plaintiff testify that I went to a lawyer because I needed help. I think that states the obvious.”

At the retrial, plaintiffs wife testified that plaintiff went to Dr. Jon Dodson before he employed an attorney. She admitted that she made a mistake in her deposition when she stated that her husband employed counsel a month after the accident. She testified he employed a lawyer only about a week after the accident, but that, no matter what the date, he was examined by the doctor before he employed counsel. She further testified: “We had a problem is why we needed a lawyer, yes. We didn’t want to fool with that. We needed to see about doctors, not lawyers at the time.” Plaintiff made a proffer of additional testimony, which he asked the trial court to allow. The only facts contained in the proffer, that were not already in evidence, were:

An adjuster from the insurance company called my husband just as we had gotten back from Dr. Dodson’s office, and was talking to him about his finance stuff. They gave him problems with paying benefits for his time off work, and he told them that he had just come from the doctor and didn’t feel like talking about it.

Plaintiff testified repeatedly, both on direct and cross-examination, that he went to Dr. Dodson for an examination before he employed counsel. He admitted that he was not sure of the dates on which he saw either of them, but he was certain that he was examined by the doctor either two or four days before he employed counsel. He admitted that someone referred him to Dr. Dodson, but stated that he could not remember who recommended that he see that particular doctor. Plaintiff made a proffer of the additional testimony he sought the trial court to allow. The only facts contained in the proffer, that were not already in evidence, were:

When we got home from the doctor, I got a phone call. I answered it. Because I was under medication, I was feeling bad. I didn’t feel like answering questions. I really don’t remember the lady that called me, but I presume it was from the insurance company.

On appeal plaintiff contends that, because the trial court permitted defendant’s counsel to argue that plaintiff’s counsel orchestrated the lawsuit, the trial court erred in refusing to allow him to testify that he went to an attorney only after the insurance adjuster was rude to him. In Younts v. Baldor Electric Co., 310 Ark. 86, 89, 832 S.W.2d 832, 834 (1992), we stated: “As a general rule, it is improper for either party to introduce or elicit evidence of the other party’s insurance coverage. This principle is part of the collateral source rule which excludes evidence of benefits received by a plaintiff from a source collateral to the defendant.” However, a party cannot use the insurance exclusionary rule to mislead a jury or gain any kind of undue advantage, York v. Young, 271 Ark. 266, 608 S.W.2d 20 (1980), and, if a party gives misleading testimony, insurance coverage may become relevant to some other issue in the case. Peters v. Pierce, 308 Ark. 60, 823 S.W.2d 820 (1992); Industrial Farm Home Gas Co. v. McDonald, 234 Ark. 744, 355 S.W.2d 174 (1962). Here, the proffered testimony would have given the jury the information that the defendant had insurance, and we have said that it is inherently prejudicial to inform a jury of insurance coverage. Hively v. Edwards, 278 Ark. 435, 646 S.W.2d 688 (1983). In addition, the proffered testimony would have had only marginal relevance to the issue of when the plaintiff employed counsel, and it would have been only slightly probative of the issue.

A trial judge may exclude evidence, although relevant, if its probative value is substantially outweighed by the danger of unfair prejudice. A.R.E. Rule 403. The standard of review of a trial court’s weighing of probative value against unfair prejudice is whether the trial court abused its discretion. Bennett v. State, 297 Ark. 115, 759 S.W.2d 799 (1988). Here, the mention of insurance would have caused substantial unfair prejudice, and it would have had only a slight probative value on the issue of orchestration. Thus, we cannot hold that the trial court abused its discretion in refusing to allow the proffered testimony about insurance.

Plaintiff-appellant alternatively argues that the trial court abused its discretion in denying his pretrial motion to prohibit the defendant from arguing that plaintiff’s attorneys orchestrated the lawsuit. The trial court was obviously concerned about the issue and preliminarily ruled that the defendant could argue any facts that might be proved along with the fair inferences that arose from those facts. However, defense counsel, during his opening statement, stated: “Dr.

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Bluebook (online)
858 S.W.2d 680, 314 Ark. 8, 1993 Ark. LEXIS 434, Counsel Stack Legal Research, https://law.counselstack.com/opinion/peters-v-pierce-ark-1993.