Waddill v. Anchor Hocking, Inc.

8 P.3d 200, 330 Or. 376, 2000 Ore. LEXIS 557
CourtOregon Supreme Court
DecidedJuly 21, 2000
DocketCC 9405 03390; CA A91012; SC S44770
StatusPublished
Cited by75 cases

This text of 8 P.3d 200 (Waddill v. Anchor Hocking, Inc.) is published on Counsel Stack Legal Research, covering Oregon Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Waddill v. Anchor Hocking, Inc., 8 P.3d 200, 330 Or. 376, 2000 Ore. LEXIS 557 (Or. 2000).

Opinion

*379 VAN HOOMISSEN, J.

Plaintiff Arleen Waddill brought this action alleging strict liability and negligence claims for personal injury. She challenges a Court of Appeals decision reversing a circuit court judgment in her favor and remanding for a new trial. Waddill v. Anchor Hocking, Inc., 149 Or App 464, 944 P2d 957 (1997). For the reasons that follow, we reverse the decision of the Court of Appeals.

We take the following facts from the Court of Appeals’ opinion and the record:

“Plaintiff purchased a two-gallon glass fishbowl manufactured by defendant. There is no evidence that the product was defective when manufactured. Because of normal use after purchase, the fishbowl developed a small crack that could not be seen easily. After use for several months, plaintiff cleaned the fishbowl, filled it with water and carried it, cradled in both hands, to place it on a table. As she lowered the fishbowl, it shattered before it came into contact with the table. The broken glass injured plaintiffs hands and wrists.
“As a result of her injuries, plaintiff filed this action. Over defendant’s pretrial motion in limine to exclude evidence, the trial court admitted evidence about three previous complaints that had been filed against defendant involving shattered fishbowls and personal injuries to hands and wrists. At the conclusion of the trial, plaintiff moved to amend her complaint to conform to the evidence that defendant had been negligent in the manner in which it maintained records of the three prior complaints. The trial court allowed the motion over defendant’s objection, and the following specification of negligence was added to the complaint: ‘[Defendant was negligent * * * [i]n failing to keep records of prior lawsuits for personal injury due to breakage of the fishbowl.’ The jury returned a general verdict finding defendant liable for plaintiffs injuries.”

Id. at 466.

After the trial court entered judgment, defendant moved to dismiss plaintiffs original failure-to-wam claims and her newly added “negligent record-keeping” claim. Relying on ORCP 21 A(8) 1 defendant argued that plaintiff had *380 failed in each instance to state ultimate facts sufficient to constitute a claim. The trial court denied the motion to dismiss, and defendant appealed.

The Court of Appeals concluded that plaintiff had stated failure-to-warn claims under both negligence and strict liability. Id. at 474, 476. However, the court also concluded that plaintiff had failed to state a claim for negligent record-keeping. Id. at 478. Because the court could not tell from the jury’s general verdict whether the jury found defendant liable based on the negligent record-keeping claim or based on one or more of plaintiffs other claims, the court applied the “we can’t tell” rule of Whinston v. Kaiser Foundation Hospital, 309 Or 350, 357, 788 P2d 428 (1990), and reversed and remanded for a new trial. Waddill, 149 Or App at 478-79. We allowed plaintiffs petition for review.

Plaintiff argues on review that the Court of Appeals should not have reached the merits of defendant’s motion to dismiss for failure to state a claim because that motion was not timely. In the alternative, plaintiff argues that the court erred in concluding that her negligent record-keeping allegations failed to state a claim. Finally, plaintiff argues that, in any event, the court erred in applying Whinston.

We begin with plaintiffs first argument. Plaintiff argues that defendant waived its right to attack the legal sufficiency of her claims when defendant allowed the case to proceed to judgment without raising the sufficiency issue to the trial court. Defendant responds that it raised the issue of the legal sufficiency of the negligent record-keeping claim when it objected to plaintiffs motion to amend the complaint. At trial, defense counsel objected to the addition of the negligent record-keeping wording to the complaint on the ground that “it’s evidence of the record issue, but that’s not a specification of negligence.” The context of defendant’s argument to the trial court does not persuade us that defendant put squarely before that court the issue whether plaintiff had stated a legally cognizable claim.

*381 ORCP 21 A requires parties to state the grounds on which a defense of failure to state a claim is based “specifically and with particularity.” Defendant, however, neither referred to ORCP 21 A(8) nor worded its objection to resemble the wording contained in that rule: “failure to state ultimate facts sufficient to constitute a claim * * Although defendant could have elaborated on what it had said in a manner that properly would have raised an ORCP 21 question, examination of the colloquy between the court and counsel shows that defendant was arguing something quite different. The trial judge apparently understood defendant to have argued that, because the evidence of negligent record-keeping had been objected to in limine, plaintiffs complaint should not have been amended to conform to that evidence. During that colloquy, defendant did not clarify its position.

Because we conclude that defendant’s objection did not raise the issue of failure to state ultimate facts sufficient to constitute a claim, we must consider whether, as plaintiff claims, defendant’s failure to raise that issue before the trial court entered judgment precludes defendant from attacking on appeal the sufficiency of plaintiffs claims. Resolution of that issue requires us to determine when, if ever, a party forfeits the right to challenge the legal sufficiency of an opponent’s allegations. At the trial court level, ORCP 21 governs that type of challenge.

ORCP 21 G(3) provides:

“A defense of failure to state ultimate facts constituting a claim * * * may be made in any pleading permitted or ordered under Rule 13 B or by motion for judgment on the pleadings, or at the trial on the merits.”

(Emphasis added.) We interpret Oregon’s Rules of Civil Procedure in the same manner in which we interpret Oregon’s statutes. State v. Arnold, 320 Or 111, 119, 879 P2d 1272 (1994). Adhering to the methodology set out in PGE v. Bureau of Labor and Industries, 317 Or 606, 610-11, 859 P2d 1143 (1993), we first look to the text and context of the rule.

The text of the rule identifies three times at which a party may assert the defense: (1) in any pleading permitted or ordered under Rule 13 B; (2) by motion for judgment on the *382 pleadings; and (3) at the trial on the merits. Applying the maxim of inclusio unius est exclusio alterius (“the inclusion of one is the exclusion of the other,” see Fisher Broadcasting, Inc. v. Dept. of Rev.,

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Cite This Page — Counsel Stack

Bluebook (online)
8 P.3d 200, 330 Or. 376, 2000 Ore. LEXIS 557, Counsel Stack Legal Research, https://law.counselstack.com/opinion/waddill-v-anchor-hocking-inc-or-2000.