Scheer v. Costco Wholesale Corporation
Filing
53
MEMORANDUM OPINION. Signed by Magistrate Judge William Connelly on 07/29/2014. (jcs, Deputy Clerk)
IN THE UNITED STATES DISTRICT COURT
FOR THE DISTRICT OF MARYLAND
SUZANNE SCHEER
Plaintiff,
v.
COSTCO WHOLESALE CORP.
Defendant.
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Civil Action No. WC 12-3776
MEMORANDUM OPINION
Presently pending are (1) Defendant’s Motion to Strike the testimony of Dr. Mark A.
Peterson and Richard T. Hughes, P.E., ECF No. 31, and (2) Defendant’s Motion for Summary
Judgment, ECF No. 40. For the reasons set forth below, Defendant’s motion to strike will be
granted in part and denied in part and its motion for summary judgment will be denied.
1. Background.
This case arises out of an alleged trip and fall that occurred in the lower level of
Defendant’s parking deck. ECF No. 2 at 3. Plaintiff, Suzanne Scheer, claims that the parking
area was very dark when she parked her car and attributes this alleged darkness to a number of
unilluminated lights in the surrounding area. ECF No. 41-1 at 5. After Plaintiff parked and
exited her vehicle, she began walking toward the entrance of the store when she tripped and fell.
Id. at 7. Plaintiff claims that she was watching where she was walking but did not see what
caused her to fall until after she fell. Id. at 8. Plaintiff testified that “after I got up I saw these
parking stops that were among the parking spaces facing parallel to the spaces” and maintains
that she tripped over one of these parking barriers. Id. at 9.
Plaintiff filed suit against Defendant, Costco, on November 29, 2012 in the Circuit Court
for Montgomery County, ECF No. 2-1, requesting $400,000 for the injuries sustained from
falling to the ground. ECF No. 2 at 4. Plaintiff alleges that Defendant created a dangerous
condition by negligently placing these parking barriers in a poorly lit, unexpected area of the
parking deck. Id. at 2. The case was removed to this court on diversity grounds. ECF No. 1.
On December 28, 2012, the Court issued a scheduling order. ECF No. 9. Pursuant to
this order, Plaintiff was required to disclose her experts by February 26, 2013. ECF No. 26 at 1.
Plaintiff failed to do so. Id. On March 18, 2013, during Plaintiff’s deposition, Plaintiff’s counsel
stated that he intended to secure experts for trial and Defendant’s counsel notified Plaintiff’s
counsel that it was too late to do so. ECF No. 26 at 2; ECF No. 17-5. Nevertheless, Plaintiff’s
counsel served Defendant’s counsel with expert disclosures on April 18, 2013, the deadline for
the Rule 26(e)(2) supplementation of disclosures and responses. ECF No. 26 at 2. The
disclosures identified her treating physician, Dr. Mark A. Peterson, M.D., as her medical expert,
and an engineer, Richard T. Hughes, P.E., as her liability expert. ECF No. 31-2.
On April 26, 2013, Defendant filed a motion in limine to exclude the testimony of these
witnesses. Defendant argued that both disclosures were untimely and asserted that Hughes’s
report did not provide any underlying data to support his conclusions and that Dr. Peterson’s
disclosure did not adequately explain his expected testimony. ECF No. 31-1 at 2. In response to
the timeliness issue, Plaintiff’s counsel provided the following explanation:
For reasons that Plaintiff’s counsel can only surmise and consider, he first became
aware of the issuance of the Scheduling Order on March 18, 2013, when the
expert disclosure deadline was mentioned by counsel for Defendant on that same
date at Plaintiff’s deposition. Following Plaintiff’s deposition, counsel for
Plaintiff immediately called chambers to inquire about when the Scheduling
Order had been electronically issued and was advised that it was December 28,
2012. Plaintiff’s counsel requested and obtained a copy of the Order directly
from the Clerk’s office to verify the same. It is believed that Plaintiff’s counsel
had inadvertently deleted the electronic transmission.
ECF No. 21-1 at 2. Plaintiff’s counsel went on to explain that he believes the e-mail with the
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scheduling order was inadvertently deleted because, other than one case that he “was no longer
involved in,” “Plaintiff’s counsel had no other active cases in this Court to consider in his e-mail
inbox,” thus, “those transmissions were routinely deleted without being opened.” Id. Defendant
responded to Plaintiff’s representation this way:
Scheer’s counsel offers no excuse for his failure to take any action after
discovering the Scheduling Order on March 18, 2013. First, Scheer’s counsel
inexcusably failed to request a scheduling order modification from the Court or
notify Costco of his mistake. Next, Scheer’s counsel inexcusably waited a month
after discovering the Scheduling Order on March 18, 2013, to disclose Scheer’s
experts. Finally, Scheer’s counsel improperly filed Scheer’s 26(a)(2) designations
as Rule 26(e) supplemental designations, further demonstrating his
noncompliance with Federal Rules of Civil Procedure.
ECF No. 23 at 10 (citations omitted).
On June 5, 2013, the Court entered an order addressing Defendant’s motion in limine.
ECF No. 26. The Court agreed with the above observations of Defendant’s counsel. Id. at 3.
The Court noted:
Even if Plaintiff’s counsel unintentionally deleted the electronic notice of the
scheduling order, once Plaintiff’s counsel became aware of and obtained a copy
of the scheduling order, he did nothing. He knew the deadline for expert
disclosures had elapsed but he intended to designate experts on his client’s behalf.
He did not move for an extension of time of the scheduling order. Under these
circumstances the Court finds Plaintiff’s belated expert disclosures were not
substantially justified.
Id. at 3. The Court also concluded that the belated expert disclosures were not harmless because
Defendant’s general litigation strategy and decision to forgo designating experts was dependent
on Plaintiff’s decision not to designate experts. Id. at 4. Despite these findings, the Court did
not exclude the testimony because the dispute arose well before the dispositive motions deadline
and the case had not yet been scheduled for trial. Id. Instead, the Court gave Plaintiff another
opportunity to cure the harm suffered by Defendant by ordering Plaintiff’s counsel to ensure that
“the reports of Mark A. Peterson, M.D. and Richard T. Hughes, P.E. fully and completely
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comply with Rule 26(a)(2)(B) and/or Rule 26(a)(2)(C)” by June 27, 2013. Id. (emphasis in
original). The Court emphasized that “Plaintiff’s failure to comply with this directive may result
in the Court striking Mr. Hughes and/or Dr. Peterson as experts” and that “[a]ny additional
discovery conducted by Plaintiff is limited to deposing any experts designated by Defendant.”
Id. at 5 (emphasis in original).
Plaintiff supplemented her expert disclosures on June 26, 2013. Defendant deposed Mr.
Hughes on September 18, 2013 to clarify the subject matter of Hughes’s expected testimony.
The adequacy of these supplemental disclosures is the issue raised in Defendant’s motion to
strike.
2. Discussion.
A. Motion to Strike
Defendant’s motion to strike asserts that Plaintiff violated a court order by failing to
adequately supplement the disclosures of Mr. Hughes and Dr. Peterson in compliance with Rule
26(a)(2).
Federal Rule of Civil Procedure 26(a)(2)(A) requires litigants to disclose “the identity of
any witness [they] may use at trial to present evidence under Federal Rule of Evidence 702, 703,
or 705.” Rule 26(a)(2)(B) further requires litigants to produce written reports for any witness
who is “retained or specially employed to provide expert testimony in the case” or “whose duties
as the party’s employee regularly involve giving expert testimony.” Id. Those reports must
include:
(i) a complete statement of all opinions the witness will express and the basis and
reasons for them; (ii) the facts or data considered by the witness in forming them;
(iii) any exhibits that will be used to summarize or support them; (iv) the
witness’s qualifications, including a list of all publications authored in the
previous 10 years; (v) a list of all other cases in which, during the previous 4
years, the witness testified as an expert at trial or by deposition; and (vi) a
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statement of the compensation to be paid for the study and testimony in the case.
Fed.R.Civ.P. 26(a)(2)(B). Rule 26(a)(2)(C), while less onerous, requires that the disclosure of
witnesses who do not need to provide a written report must nevertheless disclose: “(i) the subject
matter on which the witness is expected to present evidence under Federal Rule of Evidence 702,
703, or 705; and (ii) a summary of the facts and opinions to which the witness is expected to
testify.”
Rule 37(b)(2) gives teeth to a court imposed order to provide or permit discovery under
Rule 26(a)(2) by permitting a trial court to impose sanctions when a party fails to obey an order
to provide or permit discovery. Hathcock v. Navistar Int’l Transp. Corp., 53 F.3d 36, 40 (4th
Cir. 1995). Among the sanctions available, the express terms of Rule 37(b)(2) permit a trial
court to:
(i) direct[] that the matters embraced in the order or other designated facts be
taken as established for purposes of the action, as the prevailing party claims; (ii)
prohibit[] the disobedient party from supporting or opposing designated claims or
defenses, or from introducing designated matters in evidence; (iii) strik[e]
pleadings in whole or in part; (iv) stay[] further proceedings until the order is
obeyed; (v) dismiss[] the action or proceeding in whole or in part; (vi) render[] a
default judgment against the disobedient party; or (vii) treat[] as contempt of court
the failure to obey any order except an order to submit to a physical or mental
examination.
Fed. R. Civ. P. 37(b)(2)(A)(i)-(vii).
In determining what sanction to impose under Rule 37(b)(2), this Court is guided by
consideration of four factors: “(1) whether the non-complying party acted in bad faith, (2) the
amount of prejudice that noncompliance caused the adversary, (3) the need for deterrence of the
particular sort of non-compliance, and (4) whether less drastic sanctions would have been
effective.” S. States Rack and Fixture, Inc. v. Sherwin-Williams Co., 318 F.3d 592, 597 (4th Cir.
2003).
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i. Richard T. Hughes, P.E.
Plaintiff seeks to introduce testimony from Hughes stating that the relevant parking
barriers violated several building codes, violated the industry standard for parking curbs, and
proximately caused Plaintiff’s injuries. ECF No. 33-2 at 26.
Defendant contends that Hughes’s report remains insufficient under Rule 26(a)(2)(B) in
several ways. ECF No. 31-1 at 6. First, Defendant argues that the report does not adequately
explain (1) what constitutes a means of egress; (2) what constitutes “normal” behavior when a
person is walking into a store; and (3) the reasons for his opinion that Plaintiff did not notice the
curb until it was too late. Id. at 8-10. While the Court recognizes that Hughes’s report would
benefit from some additional detail, the Court is not convinced that this lack of detail prevents
the disclosure from complying with Rule 26(a)(2)(B). See Golden Nugget, Inc. v. Chesapeake
Bay Fishing Co., L.L.C., 93 F. App’x. 530, 536 (4th Cir. 2004) (“We agree with the district
court’s conclusion that while GNI’s theory of causation could have been articulated more
definitively, it was generally disclosed in West’s Expert Report . . . [and] . . . [t]hus, the district
court did not abuse its discretion in allowing the testimony.”).
Second, Defendant stresses that Hughes’s deposition testimony, in attempting to justify
his conclusion that the parking barriers constitute a dangerous condition, relies on several
building codes that were not included in his expert report. Id. at 4. Indeed, Hughes’s report
relies on the International Building Code (IBC), the American Society of Testing Materials
(ASTM) and the Americans with Disabilities Act (ADA), however, Hughes’s deposition
testimony also mentions the Building Officials and Code Administrators International Building
Code (BOCA), the American National Standards Institute (ANSI), and the International Property
Maintenance Code (IPMC). For example, at his deposition, Hughes explained to defense
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counsel that “before the International Building Code you had what was called the BOCA code”
and that this parking barrier constituted “a violation of the BOCA Code at the time, and when
they adopted the IBC Code it was still in violation of it, and when the 1992 Americans with
Disabilities Act came out, it was in violation of that.” ECF No. 31-4 at 38. It appears that
Hughes’s discussion of these additional code sections at his deposition was primarily for
background purposes, but at no point does he suggest that he cannot form an opinion about the
danger of the parking barriers without relying on the BOCA, ANSI or IPMC codes. His report
relies on the IBC, the ASTM, and the ADA, and these are the code sections that will be available
to him at trial to justify his conclusions.1
Defendant next argues that Hughes’s report did not disclose all of the facts and data that
he considered when forming his opinions. Specifically, Defendant asserts that Hughes never
disclosed how he determined that (1) Plaintiff’s eyes were focused on a stair tower 100 feet away
from her vehicle just before she fell; and (2) the parking barrier was 3 ¼ inches high, 5 feet and
10 ½ inches long and 5 ¾ inches wide. Hughes testified at his deposition that he obtained these
measurements from Plaintiff’s counsel during a telephone call on April 17, 2013. ECF No. 31-4
at 19. He also confirmed that he did not actually visit the site until the morning of his deposition
on September 18, 2013. ECF No. 31-4 at 9. That Hughes did not personally collect the relevant
measurements or visit the site until after his report had been completed certainly does not help
the persuasiveness of his report. The Court previously informed Plaintiff that “[a]ny additional
discovery conducted by Plaintiff is limited to deposing any experts designated by Defendant.”
ECF No. 26 at 5. Thus, any information that Hughes may have obtained at his site visit will not
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Defendant also argues that Plaintiff did not disclose all of the exhibits (i.e. sections of building codes) that were used to support
Hughes’s opinions in violation of Rule 26(a)(2)(B)(iii). ECF No. 31-1 at 12. This argument assumes that Hughes intends to use
these additional codes to support his opinions, but Hughes never makes this claim. To be sure, Hughes will not be able to rely on
any exhibits that were not included in his initial or supplemental report.
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be admissible at trial. As for the reliability of the measurements used by Hughes in fashioning
his report, this is an issue ripe for cross-examination at trial, but it does not require the striking of
Hughes’s report in its entirety.
Next, Defendant argues that Hughes failed to provide a sufficient case list because one
case listed the wrong jurisdiction, one case did not list a jurisdiction, and other cases provided
incomplete party names. ECF No. 31-1 at 13-14. Defendant fails to state how it has been
harmed by these minor errors and, in any event, it appears Defendant has since obtained the
missing case information.
Finally, Defendant asserts that Hughes failed to sufficiently disclose his expert fees.
Rule 26(a)(2)(B) states that an expert report must contain “a statement of the compensation to be
paid for the study and testimony in the case.” Hughes’s report, under the heading
“Compensation,” states: “$125 / Hr. with no fee for initial consultation and traveling. Many past
projects completed for under $2,500. Approximate cost given up front for cost containment
purposes.” ECF No. 31-2 at 9. Subsequently, Plaintiff produced an invoice of $2,000 for
preparing his expert report, an invoice of $360 for gathering his list of prior court testimony, and
an invoice of $1,500 for attending Defendant’s deposition. ECF No. 31-5 at 1-3. Defendant
contends that Hughes’s report should have disclosed how many hours he spent preparing the
report and that he should have provided the three invoices prior to his deposition. ECF No. 31-1
at 14. The Court acknowledges that such information should have been provided earlier, but also
acknowledges that it has since been provided, and again, Defendant has failed to show that it has
suffered meaningful prejudice. The Court is not inclined to conclude that these omissions
invalidate his compliance with Rule 26(a)(2)(B).
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In sum, the Court concludes that the deficiencies in the report are minor and thus do not
warrant exclusion of Mr. Hughes’s testimony. The Court forms this conclusion on the basis of
the four factors discussed in Sherwin-Williams: the presence of bad faith, the amount of
prejudice, the need for deterrence, and whether less drastic sanctions are available. 318 F.3d at
597. Here, while the Court recognizes a need to deter a disregard for court-imposed deadlines,
Defendant has failed to show that the deficiencies in Hughes’s report were the result of bad faith
or that the deficiencies caused significant prejudice. Defendant’s motion to strike the testimony
of Mr. Hughes will be denied.2
ii. Dr. Peterson
Dr. Peterson is Plaintiff’s treating physician and therefore qualifies as a hybrid fact/expert
witness. This type of witness generally is not required to provide a written expert report under
Rule 26(a)(2)(B). Plaintiff, however, is still required to conform with Rule 26(a)(2)(C), which
requires a party to disclose “the subject matter on which the witness is expected to present
evidence under Federal Rule of Evidence 702, 703, or 705; and a summary of the facts and
opinions to which the witness is expected to testify.” Plaintiff had (at least) three opportunities
to comply with this rule, but failed to do so on all three occasions. Plaintiff should have
provided the relevant information in her initial disclosure on April 18, 2013, in her opposition to
Defendant’s motion in limine on May 13, 2013, and in her supplemental disclosure June 26,
2013. Plaintiff failed to comply despite numerous requests from Defendant and a specific
instruction from the Court to ensure that Dr. Peterson’s report fully and completely complied
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Defendant also claims that it suffered prejudice because “Hughes unilaterally terminated his deposition after approximately 3.5
hours,” citing a “prior obligation and/or purported medical condition.” ECF No. 31-1 at 20. As a result, Defendant contends that
its “parking lot safety expert remains without sufficient information to fully evaluate the reliability of Hughes’ undisclosed
reference material or identify and analyze the specific provisions of the previously undisclosed building codes Hughes cited
during his deposition.” Id. Plaintiff’s counsel previously offered to “travel to Richmond (location of defense counsel’s office), in
order to complete the deposition” and “remain[s] open to rescheduling the deposition at a time mutually convenient with
Defendant’s counsel.” ECF No. 33-1 at 9. The Court will grant Defendant leave to continue Hughes’s deposition if Defendant
chooses to do so. In the event the deposition is re-opened, Defendant will be authorized to elicit further testimony from its own
experts to respond to any new information offered by Hughes.
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with Rule 26(a)(2)(C). ECF No. 26 at 4. Plaintiff maintains the mistaken belief that, simply
because she provided Defendant with her medical records, she has somehow, in her words,
“provide[d] Defendant with a thorough summary of the content of Dr. Peterson’s upcoming
expert testimony” and “provided complete information regarding Ms. Scheer’s injuries and
course of treatment, as well as Dr. Peterson’s conclusions regarding said injuries and treatment.”
ECF No. 31-3 at 3. Rule 26(a)(2)(C) is clear, as was the Court’s Order to fully and completely
comply with said rule: the “disclosure must state the subject matter on which the witness is
expected to present evidence . . . and a summary of the facts and opinions to which the witness is
expected to testify.”3
Having concluded that Plaintiff failed to comply with Rule 26(a)(2)(C) in violation of
this Court’s Order, the Court must determine the appropriate sanction. Again, in determining
what sanction to impose under Rule 37(b)(2), this Court is guided by consideration of four
factors: “(1) whether the non-complying party acted in bad faith, (2) the amount of prejudice that
noncompliance caused the adversary, (3) the need for deterrence of the particular sort of noncompliance, and (4) whether less drastic sanctions would have been effective.” 318 F.3d at 597.
First, the Court finds that Plaintiff acted in bad faith because of the pattern of indifference
for the rules of discovery and the authority of this Court. “In such cases, not only does the
noncomplying party jeopardize his or her adversary’s case by such indifference, but to ignore
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In Plaintiff’s opposition to Defendant’s motion to strike, she finally attempts to comply with Rule 26(a)(2)(C), well over one
year past the actual deadline of April 18, 2013 to provide such information:
The subject matter and summary of Dr. Peterson’s expected testimony is the following: Mark A. Peterson,
M.D. will testify regarding the injuries sustained by the Plaintiff, the surgery performed and the continuous
medical treatment she received until her release from medical care after reaching maximum medical
improvement for the injuries. Dr. Peterson will testify that the injuries sustained by the Plaintiff were as a
result of her fall in the parking lot at the Defendant’s business location on the date alleged. He will also
testify that that [sic] all the costs associated with the Plaintiff’s medical treatment were fair and reasonable
for this type of injury.
ECF No. 33-1 at 8.
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such bold challenges to the district court’s power would encourage other litigants to flirt with
similar misconduct.” Nat’l Hockey League v. Metro. Hockey Club, Inc., 427 U.S. 639, 643
(1976); Wilson v. Volkswagen of Am., Inc., 561 F.2d 494, 504 (4th Cir. 1978). Here, the Court
gave Plaintiff a specific order to fully and completely comply with Rule 26(a)(2)(C). Despite
this order, Plaintiff failed to provide even a cursory description of Dr. Peterson’s proposed
testimony.
As to the second element, prejudice, Plaintiff’s dilatory conduct has prejudiced
Defendant by unnecessarily delaying discovery and the adjudication of this matter. On June 5,
2013, the Court previously determined that Plaintiff’s belated expert disclosures were “not
harmless” because Defendant “forewent deposing . . . Dr. Peterson . . . and allocated its time and
financial resources toward preparing for Scheer’s deposition and for summary judgment.” ECF
No. 26 at 4. Moreover, Plaintiff still has not indicated whether Dr. Peterson will testify that
Plaintiff sustained permanent injuries from her fall or whether she will require future medical
treatment as a result of the incident. Thus, Defendant is left to speculate whether the risk of
Plaintiff’s permanent injury claim would justify the expense of deposing Dr. Peterson or justify
retaining its own medical expert.
As to the third factor, deterrence, it is clear that such “noncompliance . . . stalling and
ignoring the direct orders of the court with impunity . . . must obviously be deterred.” Mut. Fed.
Sav. & Loan Ass’n v. Richards & Assocs., 872 F.2d 88, 93 (4th Cir. 1989).
Finally, the Court finds that alternative sanctions would be ineffective in deterring future
disrespect for the judicial system. The Court previously warned Plaintiff that failing to comply
with Rule 26(a)(2)(C) may result in the Court striking Dr. Peterson as an expert. The Court
cannot allow Plaintiff to continually disobey Court orders and continually prejudice Defendant’s
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ability to litigate this case. Thus, striking Dr. Peterson’s expert testimony is warranted. See
Meredith v. Int’l Marine Underwriters, Case No. GLR 10-837, 2012 WL 3025139 (D. Md. July
20, 2012) (granting a motion to strike an expert designation under Rule 37(b)(2) because of a
pattern of indifference for the rules of discovery, dilatory conduct that resulted in prejudice to the
opposing party, a need for deterrence, and a failure to comply with specific instructions issued by
the Court).
B. Summary Judgment
Pursuant to Rule 56(c) of the Federal Rules of Civil Procedure, summary judgment is
appropriate “if the pleadings, depositions, answers to interrogatories, and admissions on file,
together with the affidavits, if any, show that there is no genuine issue as to any material fact and
that the moving party is entitled to judgment as a matter of law.” Anderson v. Liberty Lobby,
Inc., 477 U.S. 242, 247 (1986). “For purposes of summary judgment, a fact is material if, when
applied to the substantive law, it affects the outcome of the litigation.” Nero v. Baltimore Cnty.,
MD, 512 F. Supp. 2d 407, 409 (D.Md.2007) (citing Anderson, 477 U.S. at 248). “Summary
judgment is also appropriate when a party ‘fails to make a showing sufficient to establish the
existence of an element essential to that party’s case, and on which that party will bear the
burden of proof at trial.’” Laura Campbell Trust v. John Hancock Life Ins. Co., 411 F.Supp.2d
606, 609 (D. Md. 2006) (quoting Celotex Corp. v. Catrett, 477 U.S. 317, 322 (1986)).
A party opposing a properly supported motion for summary judgment bears the burden of
establishing the existence of a genuine issue of material fact. Anderson, 477 U.S. at 248-49.
“When a motion for summary judgment is made and supported as provided in [Rule 56], an
adverse party may not rest upon the mere allegations or denials of the adverse party’s pleading,
but the adverse party’s response, by affidavit or as otherwise provided in [Rule 56] must set forth
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specific facts showing that there is a genuine issue for trial.” Bertrand v. Children’s Home, 489
F. Supp. 2d 516, 518 (D. Md. 2007) (citing Fed. R. Civ. P. 56(e)). “The facts, as well as the
justifiable inferences to be drawn therefrom, must be viewed in the light most favorable to the
nonmoving party.” Id. at 518-19 (citing Matsushita Elec. Indus. Co. v. Zenith Radio Corp., 475
U.S. 574, 587-88 (1986)). “The court, however, cannot rely upon unsupported speculation and it
has an affirmative obligation to prevent factually unsupported claims and defenses from
proceeding to trial.” Id. at 519 (citing Felty v. Graves–Humphreys Co., 818 F.2d 1126, 1128
(4th Cir.1987)).
Here, Defendant first argues that summary judgment is warranted because Plaintiff
cannot prove that she actually tripped on a parking barrier. Defendant points to Plaintiff’s
testimony where she states: “I’m assuming I tripped over one of the parking stops” because
“[t]hat was the only thing that was anywhere near where I was or where I landed, that was raised
off the ground.” ECF No. 41-1 at 9. Defendant fails to note, however, that in the next two lines,
in response to defense counsel’s question “do you know what you tripped on?” Plaintiff replied:
“It was a parking stop.” Id. Plaintiff also responded “Yes, I guess” to the question “As we sit
here today, do you know that the parking stop is what you tripped over?” and explained that “I
had tripped and I—and I saw that this obstacle was there and so that’s what made me reach the
conclusion.” Id. At the very least, this testimony establishes a genuine issue of material fact
regarding whether Plaintiff tripped over a parking barrier.
Defendant next contends that Plaintiff failed to establish that Defendant had constructive
notice of the alleged improper lighting in the parking lot. ECF No. 41 at 9. It is not necessary
for the Court to resolve this issue at this time. Regardless of whether the parking lot had
deficient lighting and regardless of whether Defendant was aware of this alleged deficiency,
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Plaintiff has generated a jury issue on whether the parking barriers “were placed and situated in
such a fashion by Costco as to create an unsafe condition to thwart the safe ingress and egress of
its business invitees.” ECF No. 2 at 2; ECF No. 42 at 5. Plaintiff testified that the parking
barrier
was in a place where you wouldn’t expect to see such dividers. I know the
custom in that particular store where there are places to return carts are blocked
off with metal and – so you know not to walk there, but there wasn’t anything
above the ground indicating that area was to be divided off. It was just in a row
of parking spaces and I wasn’t expecting [it].
ECF No. 45-1 at 8. Indeed, pictures of the disputed area indicate that the relevant parking
barriers were located in an area between two parking spaces and were situated parallel to the
lines on the sides of the parking spaces and perpendicular to the lines drawn at the front of the
parking spaces. As stated by Plaintiff, “I don’t think you would expect to see concrete dividers”
in this location because “they are usually [situated] to stop you from going over your space when
someone is parking opposite you” but “these parking stops . . . were among the parking spaces
facing parallel to the spaces.” Id. at 8-9. This testimony creates a genuine issue of material fact
as to whether Defendant had constructive notice of a dangerous condition on its property related
to the placement of the parking barriers, regardless of the alleged deficiency in lighting.
Moreover, this genuine issue of material fact exists independent of Hughes’s expected expert
testimony. While Hughes’s testimony may be necessary to prove the violation of a statute, a jury
could reasonably conclude, without the benefit of expert testimony, that the parking barriers
constituted a dangerous condition on Defendant’s property. Briggs v. Cochran, 17 F. Supp. 2d
453, 461 (D. Md. 1998); Exxon Mobil Corp. v. Ford, 433 Md. 426, 490 (2013) (“It is well
established that expert testimony is not required on matters of which the jurors would be aware
by virtue of common knowledge.”).
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Defendant next asserts that Plaintiff cannot recover because the parking barrier was an
open and obvious hazard. “An owner owes a duty to an invitee to warn of known hidden
dangers, not open or obvious ones.” Ramseur v. United States, 587 F. Supp. 2d 672, 684 (D.
Md. 2007) (citing Yaniger v. Calvert Bldg. & Constr. Co., 183 Md. 285, 288 (1944)).
Specifically, Defendant contends that the barriers were open and obvious because (1) Plaintiff
was wearing her glasses; (2) the barriers were bright yellow, which contrasted with the black
pavement; (3) there was some natural light filtering into the parking area; and (4) subsequent to
her fall, Plaintiff was able to locate a loose diamond among other debris, which indicates that
lighting was not an issue. ECF No. 41 at 11-12. These proposed facts do little to show that the
placement of the parking barriers was an open and obvious condition. Even assuming all of
these facts to be true, a reasonable jury could still conclude that the parking barriers, which were
“in a row of parking spaces” and not located in a place where “you would expect to see concrete
dividers,” were not an open and obvious hazard.
Defendant relies on Gellerman v. Shawan Rd. Hotel Ltd. P’ship, 5 F. Supp. 2d 351 (D.
Md. 1998) to support its argument that the parking barriers were an open and obvious condition.
In Gellerman, the plaintiff tripped over an expansion joint located in a small space between a
curb and a sidewalk. Id. at 353. The Court concluded that “as a matter of law, the condition of
the curb/sidewalk joint on defendants’ premises was open and obvious.” Id. at 354. However, as
this Court previously concluded in Payne v. Wal-Mart Stores, Inc., Case No. SAG 10-2241, 2011
WL 6738501 (D. Md. Dec. 21, 2011), the facts in Gellerman are dissimilar from a typical trip
and fall case. The Payne Court noted:
Gellerman involved a plaintiff who tripped over a small space in the joint
between a curb and a sidewalk. In ruling that the condition of the sidewalk on the
defendants’ premises was open and obvious as a matter of law, the Gellerman
court relied on several cases in which a variety of courts held that irregularities in
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sidewalks and pavement were common enough that they constitute open and
obvious conditions for which a landowner has no duty to warn pedestrians.
Unlike the sidewalk at issue in Gellerman, there appears to be no legal consensus
in Maryland as to whether conditions creating uneven or unstable surfaces in instore walkways are open and obvious as a matter of law.
Id. at *3 (internal citations omitted). The Payne Court emphasized that whether a store
knowingly creates a dangerous condition or whether a customer exercises a reasonable degree of
care are questions most commonly reserved for finders of fact. Id. at *2. The Court also
recognized that “Maryland courts typically deny summary judgment motions in cases in which a
store patron fell as a result of an obstacle known to or created by store employees.” Id. (citing
Tennant v. Shoppers Food Warehouse MD. Corp., 115 Md. App. 381, 394-95 (1997) (“[I]t is for
the jury to decide whether, in the first instance, [a grocery store chain] created a dangerous
situation [when its employees left a pile of cabbage leaves and an empty crate in an aisle] . . .
[T]he jury must also determine if [the plaintiff] negligently failed to appreciate the unsafe
conditions”); Diffendal v. Kash & Karry Service Corp., 74 Md. App. 170, 178 (1988) (summary
judgment inappropriate in a case in which the plaintiff tripped over an L-cart left in an aisle of
defendant’s supermarket); Chalmers v. Great Atlantic & Pacific Tea Co., 172 Md. 552, 558
(1937) (“Whether under the circumstances [a grocery store’s] conduct in placing the box in the
aisle, or permitting it to remain there, was consistent with due care, was peculiarly a jury
question. Nor . . . can it be said as a matter of law that the plaintiff was guilty of contributory
negligence.”)).
Finally, Defendant argues that Plaintiff is barred from recovery because of her own
contributory negligence. ECF No. 41 at 14. Defendant asserts that Plaintiff was negligent
because she chose to park on the lower level of the parking deck instead of the upper level,
which was presumably more illuminated and admittedly more familiar to Plaintiff. Id. The
Court cannot hold as matter of law that Plaintiff was negligent simply for choosing to park in the
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lower level of the parking deck. While it may have been darker and less familiar to Plaintiff,
whether Plaintiff’s conduct was reasonable under the circumstances is a factual question best left
for the jury to decide.
3. Conclusion.
The Court will grant Defendant’s motion to strike as to Dr. Peterson, deny its motion to
strike as to Mr. Hughes, and deny Defendant’s motion for summary judgment.
A separate order will be entered.
Date: July 29, 2014
/s/
WILLIAM CONNELLY
United States Magistrate Judge
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