Poulis Minott v. Smith

388 F.3d 354, 2004 WL 2415063
CourtCourt of Appeals for the First Circuit
DecidedOctober 29, 2004
Docket03-2601
StatusPublished
Cited by144 cases

This text of 388 F.3d 354 (Poulis Minott v. Smith) 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
Poulis Minott v. Smith, 388 F.3d 354, 2004 WL 2415063 (1st Cir. 2004).

Opinion

TORRUELLA, Circuit Judge.

On October 23, 2000, Captain Carlyle Poulis-Minott took the forty-four foot fishing vessel, the F/V KATINA ASHLEY (the “Vessel”), out on a solo fishing trip and never returned. On October 24, 2000, the Coast Guard received a distress call from the Vessel’s Emergency Position Indicating Radio Beacon (“EPIRB”). 1 The Vessel and its life raft were never found, and no one knows exactly what happened to the Vessel or whether Captain Minott had any opportunity to access the Vessel’s lifesaving gear before he drowned.

Plaintiff-appellant Kathy Poulis-Minott, as personal representative of the estate of Carlyle Minott (the “Estate”), filed an action against the owner of the Vessel, defendant-appellee David W. Smith, seeking damages based on two theories of liability: Jones Act negligence and unseaworthiness. The Estate then filed a motion for summary judgment, claiming that the existence of several Coast Guard safety regulation violations aboard the Vessel entitled it to summary judgment on the Jones Act and unseaworthiness claims, and eviscerated Smith’s contributory negligence and primary duty rule affirmative defenses. Smith, in turn, contested the Estate’s arguments and sought summary judgment, *357 arguing that (1) the Estate failed to show the causation necessary for its Jones Act and unseaworthiness claims; (2) Minott was the owner pro hac vice of the Vessel; and (3) that Minott was contributorily negligent.

The district court granted Smith’s motion for summary judgment as to all claims, finding that the Estate failed to establish any triable issues of fact regarding causation with respect to its Jones Act and unseaworthiness theories of liability.

The Estate now appeals the decision of the district court. First, the Estate challenges the district court’s failure to exclude certain testimony of Smith’s experts and to strike portions of their late-filed affidavits. The Estate also challenges the inclusion in the Magistrate Judge’s factual narrative of defendant experts’ opinions that “the likely cause of the sinking of the Vessel is that it was struck and dragged by another vessel ...” and that “the safety equipment on the Vessel was in place and up to date as of late September 2000,” both for failing to comply with Federal Rule of Evidence 56 and for other eviden-tiary reasons. Finally, the Estate claims that the district court erred in dismissing the Estate’s Jones Act and unseaworthiness claims based on its failure to invoke the burden-shifting Pennsylvania Rule (The S.S. Pennsylvania v. Troop, 86 U.S. (19 Wall.) 125, 135, 22 L.Ed. 148 (1873)).

After careful review of the record, we affirm the judgment of the district court.

I. The Facts

A. Evidentiary Issues

It is important to address at the outset the district court’s evidentiary rulings in response to the Estate’s Motions to Strike and to Exclude because these decisions partially define the world of facts that are available for consideration of the summary judgment motions. We will reverse the district court’s evidentiary rulings only where there is an abuse of discretion. Díaz-Rivera v. Rivera-Rodriguez, 377 F.3d 119, 123 (1st Cir.2004) (citing Cummings v. Standard Register Co., 265 F.3d 56, 62 (1st Cir.2001)).

The appellant raises three related challenges to the district court’s discovery management. First, the appellant argues that the district court erred in failing to strike as outside the scope of Smith’s expert designation, portions of three late-filed expert affidavits submitted by Smith on July 1, 2003, four days after the discovery deadline of June 26, 2003, and one and a half months after the defendant’s expert disclosure deadline of May 15, 2003. The disputed affidavits came from three of the experts named in Smith’s May 15, 2003 expert designation: Lea Leavitt, Craig Mifflin and David DuBois. Second, the Estate contends that the district court abused its discretion by failing to exclude several of the expert opinions that the Estate claims (1) lacked the reliability required by Daubert v. Merrell Dow Pharmaceuticals, Inc., 509 U.S. 579, 113 S.Ct. 2786, 125 L.Ed.2d 469 (1993), and Kumho Tire Co. v. Carmichael, 526 U.S. 137, 119 S.Ct. 1167, 143 L.Ed.2d 238 (1999), and (2) contained conclusory assertions that did not explain the experts’ reasoning. Finally, the Estate claims it was an error of law for the district court not to address the qualifications of the defendant’s experts. See Fed.R.Evid. 702.

1. Disclosure and Timeliness of Expert Opinions

In considering the Estate’s motions to strike and exclude, the Magistrate Judge meticulously reviewed each paragraph the plaintiff identified as containing newly disclosed expert opinions and granted the plaintiffs motion for certain paragraphs *358 and denied the motion for others. See Plaintiffs Motion to Exclude Various Opinions of Defendant’s Experts, Minott v. Smith, No. 03-10-P-H, 2003 WL 22078070 (D.Me. Sep.05, 2003) (No. 13) (“Motion to Exclude”); Plaintiffs Motion to Strike Portions of Defendant’s Affidavits in Support of His Cross Motion for Summary-Judgment, Minott, 2003 WL 22078070 (No. 19) (“Motion to Strike”). The appellant now claims that the Magistrate Judge erred by failing to strike or exclude the remaining objected-to paragraphs.

Federal Rule of Civil Procedure 26(a) provides that “a party shall disclose to other parties the identity of any person who may be used at trial to present [expert opinion evidence]” and submit a detailed report including the expert’s qualifications and “a complete statement of all opinions to be expressed and the basis and reasons therefor.” Fed.R.Civ.P. 26(a)(2)(A)-(B). This Court has held these directives to be mandatory since the adoption of Rule 37(c)(1), which “clearly contemplates stricter adherence to discovery requirements, and harsher sanctions for breaches of this rule.” Klonoski, M.D. v. Mahlab, M.D., 156 F.3d 255, 269 (1st Cir.1998). “[T]he required sanction in the ordinary case is mandatory preclusion.” Id.

Rule 37(c)(1) enforces Rule 26(a) by providing that “[a] party that without substantial justification fails to disclose information required by Rule 26(a) ... is not, unless such failure is harmless, permitted to use as evidence ...

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Bluebook (online)
388 F.3d 354, 2004 WL 2415063, Counsel Stack Legal Research, https://law.counselstack.com/opinion/poulis-minott-v-smith-ca1-2004.