Southern Railway Co. v. Minor

395 S.E.2d 845, 196 Ga. App. 183, 1990 Ga. App. LEXIS 904
CourtCourt of Appeals of Georgia
DecidedJune 20, 1990
DocketA90A0012
StatusPublished
Cited by6 cases

This text of 395 S.E.2d 845 (Southern Railway Co. v. Minor) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Southern Railway Co. v. Minor, 395 S.E.2d 845, 196 Ga. App. 183, 1990 Ga. App. LEXIS 904 (Ga. Ct. App. 1990).

Opinion

Beasley, Judge.

Defendant Southern Railway appeals a FELA judgment entered on a jury verdict for plaintiff Minor in the amount of $275,000. Four grounds of error are asserted: 1) charging plaintiff’s requested instruction on assumption of the risk; 2) overruling defendant’s objections to a doctor’s deposition; 3) striking a juror for cause; 4) denying defendant’s motion for new trial predicated on excessive damages awarded by the jury.

On July 6, 1983, Minor was working as a “crankhand” for Southern Railway. He had to bend over in order to make curve elevation readings. He heard his supervisor shout a warning and turned to see what was happening when he was struck by a hy-rail truck. The force of the blow propelled him several feet in the air. He landed in the ballast and then rolled down the embankment. Liability was contested, but the primary issue was whether Minor’s condition at the time of trial was the result of this on-the-job accident or was caused by other factors.

1. Southern contends that there was no evidence as to assumption of the risk and thus a charge that such principle was inapplicable in a FELA case was error. This belies the ruling in Atlantic Coast Line R. Co. v. Smith, 107 Ga. App. 384 (2) (130 SE2d 355) (1963), that a similar charge was permissible as a cautionary instruction. Accord Atlantic Coast-Line R. Co. v. Blount, 116 Ga. App. 86 (1) (156 SE2d 409) (1967). Because Southern’s defenses included the theories that Minor failed to exercise ordinary care for his own safety and avoidance of the risk, defenses which, although distinct from assumption of the risk, are often confused with it even by lawyers, the charge was not reversible error.

2. Southern made pre-trial objections to a physician’s deposition which was to be, and was, utilized at the trial. The principal thrust of its arguments was that portions of the doctor’s opinion testimony were based on hearsay because he relied on reports containing other physicians’ opinions. See Mallard v. Colonial &c. Ins. Co., 173 Ga. App. 276 (326 SE2d 6) (1985). The stricture is against opinions based upon other opinions, not facts. See Hyles v. Cockrell, 169 Ga. App. 132, 134 (4) (312 SE2d 124) (1983). Southern also objected on the grounds that certain portions of the testimony were speculative and irrelevant. The original objections were addressed to specific but rather large segments of the doctor’s testimony, often covering several pages. Before trial, the court thrashed through the objections and the testimony and struck what it believed to be the offending portions. Southern recognizes this but in its second enumeration of error complains that as to seven of its objections the trial court should have *184 gone on and struck the balance of the testimony it specified for exclusion.

Two pertinent principles are applicable. 1) “ ‘Where a portion of the evidence is admissible and a portion inadmissible, objection to the evidence as a whole which does not limit itself to objectionable parts is insufficient.’ ” Armstrong v. Vallion, 187 Ga. App. 380 (1) (370 SE2d 215) (1988). 2) Appellate decision is limited to those grounds presented to and ruled upon by the trial court. Where a different basis is urged either in brief or argument it will not be considered. Ehlers v. Schwall & Heuett, 177 Ga. App. 548, 550 (340 SE2d 207) (1986); MacDonald v. MacDonald, 156 Ga. App. 565, 566 (1a) (275 SE2d 142) (1980).

Grounds (a), (b), (c) and (d) are all based on pre-trial objections of inadmissible hearsay to certain deposition testimony. In each instance the trial court weeded through and excluded those parts which it believed to be based upon hearsay. Southern made no further objection at trial. The testimony does not reveal that it was based solely on hearsay and thus was not subject to the general objections contained in the record. Contrary to Southern’s contentions there was testimony that the doctor diagnosed a degenerative disc condition from his examinations and x-rays. The specific arguments made now by Southern were not offered below. These grounds reveal no reversible error.

Ground (e) recites the basis of objection as “speculation.” The testimony that lifting would aggravate Minor’s back problem was within the ambit of the doctor’s expertise and appropriate in view of the diagnosis of a back problem based upon the doctor’s prior examinations.

Ground (f) involves an objection that the testimony as to the possibility of back surgery was speculative and irrelevant. The doctor clearly stated that back surgery was not planned and would become necessary only if Minor was so disabled by pain that there was no alternative for him. Southern states that the trial court did not present the issue of future medical or wage loss to the jury. Southern has not carried its burden of showing not only error but harm. Pope v. Propst, 179 Ga. App. 211, 217 (10) (345 SE2d 880) (1986).

Under ground (g), testimony about a discogram was objected to on the basis of form of question and answer. This has been abandoned and Southern argues that it was irrelevant. Such argument, not having been raised, fails.

3. A juror on voir dire admitted that he had issued life insurance covering counsel for defendant; that he serviced the policy and receives two percent of the premium paid. The trial court struck him for cause over defendant’s objection. Defendant contends that it was forced to use a peremptory strike to remove another juror who was *185 subsequently placed on the panel.

In order to insure impartiality of prospective jurors (see Whitlock v. State, 230 Ga. 700, 705 (198 SE2d 865) (1973)), the trial court is vested with great latitude in exercising its discretion to determine whether an individual juror can decide the case without bias and in accordance with the evidence. Holtsinger v. Scarbrough, 71 Ga. App. 318, 322 (3) (30 SE2d 835) (1944). Unless there is a manifest abuse of that wide discretion, the determination by the trial court will not be disturbed. Hill v. Hospital Authority, 137 Ga. App. 633, 636 (1) (224 SE2d 739) (1976). To achieve impartiality, the trial court did not err in striking the prospective juror. Morris v. Bonner, 183 Ga. App. 499 (1) (359 SE2d 244) (1987).

Furthermore, while a party is entitled as a matter of right to an array of impartial jurors to which peremptory challenges may be directed, “a party is entitled to no more. Having no legal right to a jury which includes those who because of scruple or bias he thinks might favor his cause, he suffers no prejudice if jurors, even without sufficient cause, are excused by the judge. Only if a judge without justification overrules a challenge for cause and thus leaves on the panel a juror not impartial, does legal error occur. . . . The entitlement of a party extends only to a fair and impartial jury; the right to reject, not select.” Jones v. State, 139 Ga. App. 824, 825 (2) (229 SE2d 789) (1976). As succinctly stated in Morris, supra at 500 (1): “ ‘ “A party to a lawsuit has no vested interest in having any particular juror to serve; he is entitled only to a legal and impartial jury.” ’ ” See Grasham v. Southern R. Co., 111 Ga. App.

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Bluebook (online)
395 S.E.2d 845, 196 Ga. App. 183, 1990 Ga. App. LEXIS 904, Counsel Stack Legal Research, https://law.counselstack.com/opinion/southern-railway-co-v-minor-gactapp-1990.