Seismic International Research Corporation, Plaintiff-Appellant/cross-Appellee v. South Ranch Oil Company, Inc., Defendant-Appellee/cross-Appellant

793 F.2d 227, 89 Oil & Gas Rep. 338, 1986 U.S. App. LEXIS 25666
CourtCourt of Appeals for the Tenth Circuit
DecidedJune 3, 1986
Docket83-2036, 83-2085
StatusPublished
Cited by6 cases

This text of 793 F.2d 227 (Seismic International Research Corporation, Plaintiff-Appellant/cross-Appellee v. South Ranch Oil Company, Inc., Defendant-Appellee/cross-Appellant) is published on Counsel Stack Legal Research, covering Court of Appeals for the Tenth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Seismic International Research Corporation, Plaintiff-Appellant/cross-Appellee v. South Ranch Oil Company, Inc., Defendant-Appellee/cross-Appellant, 793 F.2d 227, 89 Oil & Gas Rep. 338, 1986 U.S. App. LEXIS 25666 (10th Cir. 1986).

Opinion

McKAY, Circuit Judge.

This is an appeal from a final judgment in a breach of contract action. The plaintiff, Seismic International Research Corporation (SI), was formed by Stanley D. Bra-sel to provide consulting services and computer processing of geophysical data for the oil and gas industry. The defendant, South Ranch Oil Co., Inc. (SROC), was a general partner in numerous limited partnerships. It drilled oil and gas wells, operated drilling rigs, and developed drillable prospects.

SI entered into several contracts to perform seismological work for SROC. Some time later, SROC directed SI to stop work on the contracts and not to do anything more for SROC that would cost SROC any more money. Thereafter, SI sued SROC for its failure to pay the remaining balances due under the contracts. SROC countersued for recovery of amounts already paid. While this suit was pending, *229 Mr. Brasel died. The dispute proceeded to a jury trial in which SI prevailed and was awarded $239,334.56. SI appeals from two post-trial orders: one denying Si’s motion for attorney’s fees and another denying Si’s motion to compel assignment of certain royalty interests to the estate of its deceased president, Mr. Brasel. SROC cross-appeals the denial of certain jury instructions, the imposition of certain discovery sanctions, and the denial of a directed verdict. We first consider SROC’s contentions.

I.

SROC claims that the trial court committed reversible error because it refused to instruct the jury on SROC’s claim for tor-tious interference with a fiduciary relationship. SROC bases its tort claim on an undisclosed $28,000 payment that SI made to Norman Stafford, an SROC employee. Mr. Stafford was SROC’s only geophysicist. He was assigned to monitor Si’s performance and to approve bills for its work. SROC claims that the $28,000 payment was a kickback designed to induce Mr. Stafford to approve SI bills even though work was not properly completed. SI admits it made the $28,000 payment, but contends the payment was a sales commission for Mr. Stafford’s help in locating a buyer for Si’s field crews.

The record indicates the trial court’s reason for refusing to instruct on the tort claim. SROC anticipated the claim well before trial; it is mentioned in SROC’s First Amended Answer and Counterclaims. Record, vol. 3, at 594. SROC’s attorneys, however, failed to submit the tort-claim instructions to the court three days before trial, as required by the Order at Pretrial. See Record, vol. 1, at 48 (Order at Pretrial). Instead, they submitted the instructions the day the trial began. The court ruled that this submission was too late, and entered a minute order denying SROC’s motion to add the tort-claim instructions because of “failure to adhere to Local Rule 14.” Record, vol. 4, at 931; vol. 9, at 551.

SROC strenuously argues that it presented sufficient evidence for the court to instruct on its tort claim. But it does not argue that the court misapplied Local Rule 14 or abused its discretion in denying the instructions because they were filed late. Indeed, no mention of Local Rule 14 is made in the briefs. Counsel’s failure to focus on the reasons the trial court denied the requested instructions leaves us without a basis for assigning error to the trial court’s decision.

II.

SROC further argues that the district court committed reversible error by instructing the jury that SROC was bound by Norman Stafford’s actions and omissions. SROC argues specifically that the court created this impression through its instructions on four doctrines of contract modification: waiver, oral modification, interpretation by conduct, and ratification. SROC does not appear to allege that the instructions themselves misstate relevant law. Rather, it argues that the jury was not fully informed that SROC should not have been bound by an allegedly bribed employee. In essence, SROC argues that the trial court should have supplemented the contract-modification instructions with an explanation of how the $28,000 payment to Mr. Stafford affected SROC’s contractual obligations.

Considering the jury instructions as a whole, see, e.g., McGrath v. Wallace Murray Cory., 496 F.2d 299, 301 (10th Cir.1974), we do not believe that the jury was misled. The contract modification instructions were accompanied by a good-faith instruction informing the jury that each party had an implied obligation under the contract “to act in good faith and with fair dealing.” Record, vol. 4, at 950. This instruction informed the jury that it could find SI to have breached its contract if the jury accepted SROC’s kickback argument. Furthermore, counsel for SROC had ample opportunity to comment during closing argument on the court’s instructions on waiver, oral modification, interpretation by con *230 duct, and ratification. Indeed, SROC’s attorney did so, explaining that Mr. Stafford’s receipt of the undisclosed $28,000 payment should affect the jury’s application of the contract-modification doctrines. See Record, vol. 9, at 529-30. Therefore, we do not believe the court erred in refusing to supplement the instructions that dealt with contract modification.

III.

SROC also argues that the district court erred in instructing the jury that SROC had to prove a material breach to recover on its contract counterclaims. This argument apparently refers to jury instruction number 10, which contains the phrase: “[I]n order to prevail upon its claim, the defendant must prove that the plaintiff’s performance was neither in literal compliance with the contract nor in substantial compliance with the contract.” Record, vol. 4, at 951. SROC states that the instruction was given in error because it prevented SROC from recovering damages “for whatever breaches it was able to prove.” Appellee’s Brief at 37.

Jury instruction number 10 was not given in error. That instruction was a correct statement of the law where a party seeks to excuse its performance altogether. See Joyce v. Davis, 539 F.2d 1262, 1266 (10th Cir.1976); Kole v. Parker Yale Development Co., 536 P.2d 848, 849-50 (Colo. App.1975). Moreover, instructions 11 and 12 properly informed the jury as to the amount of damages that should be recovered. They stated that where a party has substantially, but not literally, complied with its contractual obligations, the proper measure of damages is the contract price less the cost of completing performance. In other words, those instructions informed the jury that it could award damages for any breaches it found. Because jury instructions must be considered as a whole in connection with all other instructions given, see, e.g., McGrath, 496 F.2d at 301, SROC’s argument that instruction number 10 misled the jury is without merit.

IV.

In addition, SROC argues that the trial court abused its discretion when it orally issued a protective order in favor of SI. The order prevented SROC from copying “vector scan” work which SI had allegedly done for SROC. The court entered the order because counsel for SROC had earlier misrepresented to the court that it had been granted relief from the Pretrial Order.

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793 F.2d 227, 89 Oil & Gas Rep. 338, 1986 U.S. App. LEXIS 25666, Counsel Stack Legal Research, https://law.counselstack.com/opinion/seismic-international-research-corporation-ca10-1986.