Court Opinion

ID: 4422826
Source: CourtListenerOpinion
Date Created: 2019-08-05 15:00:39.183911+00
Date Added: 2024-06-11T14:51:02.948661
License: Public Domain

Case: 18-12914   Date Filed: 08/05/2019   Page: 1 of 12

                                                          [DO NOT PUBLISH]

             IN THE UNITED STATES COURT OF APPEALS

                    FOR THE ELEVENTH CIRCUIT
                      ________________________

                             No. 18-12914
                         Non-Argument Calendar
                       ________________________

                   D.C. Docket No. 2:14-cv-02353-JEO

JERRY W. EASTERLING,

                                                           Plaintiff - Appellant,

                                   versus

FORD MOTOR COMPANY,

                                                          Defendant - Appellee.

                       ________________________

                Appeal from the United States District Court
                   for the Northern District of Alabama
                       ________________________

                             (August 5, 2019)

Before TJOFLAT, WILSON, and HULL, Circuit Judges.

PER CURIAM:
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      In 2012, Jerry Easterling was driving his 2003 Ford pickup truck, which he

had purchased used in 2007, when he hit a patch of ice. He claims that his seatbelt,

which he was wearing, came undone during the crash sequence. As a result of the

accident, he suffered serious injuries and sued Ford for breach of an implied

warranty of merchantability.

      This case requires us to answer two straightforward questions. First, what is

the legal standard under Alabama law for breach of an implied warranty of

merchantability? And second, does the summary-judgment record before us

contain sufficient admissible evidence of breach?

      We vacate the District Court’s order granting summary judgment for Ford

because the record contains sufficient admissible evidence to raise a genuine

question of fact on whether Ford breached the warranty. Because we write for the

parties, we set out facts only as they are needed to support our analysis.

                                          I.

      We review de novo a district court’s grant of summary judgment. Flournoy

v. CML-GA WB, LLC, 851 F.3d 1335, 1337 (11th Cir. 2017). We “view the facts

in the light most favorable to the non-moving party and draw all reasonable

inferences in that party’s favor.” Id. The movant must show that the record

contains “no genuine dispute as to any material fact.” Id. (quoting Fed. R. Civ. P.

56(a)). A dispute is genuine if “a reasonable trier of fact could return judgment for

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the non-moving party.” Id. (quoting Miccosukee Tribe of Indians of Fla. v. United

States, 516 F.3d 1235, 1243 (11th Cir. 2008)). A fact is “material” if “it would

affect the outcome of the suit under the governing law.” Id. (quoting Miccosukee

Tribe of Indians of Fla., 516 F.3d at 1243).

                                               II.

       Under Alabama law, 1 proving an implied-warranty-of-merchantability claim

requires “the existence of the implied warranty, a breach of that warranty, and

damages proximately resulting from that breach.” Bagley v. Mazda Motor Corp.,

864 So. 2d 301, 315 (Ala. 2003) (quoting Barrington Corp. v. Patrick Lumber Co.,

447 So. 2d 785, 787 (Ala. Civ. App. 1984)).

       The question before us is the legal standard under Alabama law for “breach”

of the implied warranty.

       The statute provides a ready answer: The warranty, among other things, is

that goods “[a]re fit for the ordinary purposes for which such goods are used.”

Ala. Code § 7-2-314. So naturally, breach occurs when goods are not fit for the

ordinary purposes for which they are used. It’s that simple. Indeed, a civil jury in

1
        Easterling invoked the District Court’s diversity jurisdiction, which requires us to apply
Alabama substantive law. Erie R.R. Co. v. Tompkins, 304 U.S. 64, 78, 58 S. Ct. 817, 822 (1938).
In determining the contents of Alabama law, decisions of the Supreme Court of Alabama and the
Alabama Court of Civil Appeals control. See Bravo v. United States, 577 F.3d 1324, 1325 (11th
Cir. 2009) (per curiam) (“[F]ederal courts are bound by decisions of a state’s intermediate
appellate courts unless there is persuasive evidence that the highest state court would rule
otherwise.” (quoting King v. Order of United Commercial Travelers of Am., 333 U.S. 153, 158,
68 S. Ct. 488, 491 (1948))).

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Alabama is instructed on the law with this exact language. See 2 Alabama Pattern

Jury Instructions: Civil 32.21 (rev. 3d ed. 2018), Westlaw (database updated Dec.

2018) (“The (name of product) was not suitable or fit for the ordinary purpose for

which (type of product) is used.”).

      Ford argues that to prove breach of the warranty, a plaintiff must prove that

that the good was “defective” and that the unfit condition existed “at the time of

sale.” We address each concern in turn.

      On the one hand, it is difficult to speak of a good that is “unfit” without

explaining why it is in some way “defective.” Indeed, the commentary to § 7-2-

314 states that “[a]ction by the buyer following an examination of the goods which

ought to have indicated the defect complained of can be shown as matter bearing

on whether the breach itself was the cause of the injury.” Ala. Code § 7-2-314

official cmt. (Purposes of Changes) (emphasis added).

      On the other hand, defectiveness and unfitness are two distinct concepts

under Alabama law. In Ex parte Gen. Motors Corp., 769 So. 2d 903 (Ala. 1999),

the Supreme Court of Alabama reaffirmed a “clear distinction” between product

liability and warranty liability under Alabama law. Id. at 913. To prevail on a

product-liability claim, a plaintiff must prove that a product suffered from some

“defect.” Id. at 912. The court explained that “defect” under Alabama law is a

hybrid of two concepts—fitness for the ordinary purpose (derived from warranty

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law) and unreasonable dangerousness (derived from product-liability law). Id. at

912−13. Because “defect” is a term of art that was hatched in the context of

product-liability law, it stands to reason that “defect” is not an element of an

implied-warranty claim, especially since “defect” appears nowhere in the text of

§ 7-2-314. Cf. Mamani v. Berzain, 825 F.3d 1304, 1310 (11th Cir. 2016) (“We

construe the statute’s silence as exactly that: silence.” (quoting EEOC v.

Abercrombie & Fitch Stores, Inc., 135 S. Ct. 2028, 2033 (2015) (alteration

adopted))).2

       Suffice it to say that although an implied-warranty plaintiff must prove a

“defect” in the colloquial sense of the word, the legislature has chosen specific

language that establishes the warranty—and “defect” is not part of that language.

The District Court’s task on Ford’s motion for summary judgment was to evaluate

whether the record contains sufficient admissible evidence that the seatbelt at issue

was not “fit for the ordinary purposes for which [seatbelts] are used.” See Ala.

Code § 7-2-314.

       2
         The Supreme Court of Alabama has indicated that defectiveness and unfitness “go
hand-in-hand,” Ex parte Morrison’s Cafeteria of Montgomery, Inc., 431 So. 2d 975, 977 (Ala.
1983), but has done so only in cases involving food products. See id.; Allen v. Delchamps, Inc.,
624 So. 2d 1065, 1068 (Ala. 1993). We have no reason to believe that the rationale extends
beyond that context.

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      Before we assess the District Court’s performance of that task, however, we

address whether breach of the warranty must be evaluated, as Ford argues, “at the

time of sale.”

      Section 7-2-314 does not allow a plaintiff to prevail on his claim by simply

submitting evidence of a broken good. By the statute’s plain text, a broken good

does not generate liability when (1) damage resulted either from non-ordinary use

or when (2) even if the use was ordinary, nothing about the good was unfit. And

just because some good breaks at some time and place does not mean it is unfit.

Cf., e.g., Wetzel v. Bingman Labs., Inc., 104 So. 2d 452, 453 (Ala. Ct. App. 1958)

(characterizing merchantability as “quality of inherent soundness sometimes

described as a little above the level of mediocrity, sometimes as being of a

middling grade, and in other cases as of being of average suitability to the

market”).

      For this reason, the statute requires a factfinder (or a court on summary

judgment) to account not just for uses to which a good has been put, but also for its

age and wear and tear. See, e.g., DaimlerChrysler Corp. v. Morrow, 895 So. 2d

861, 864−65 (Ala. 2004) (framing the inquiry as whether a pickup truck was “not

fit for the ordinary purposes for which such trucks are used” when “bucking and

jerking” occurred only intermittently, only when the plaintiff was pulling his

longest trailer at 55 miles per hour and when the truck had been driven 248,000

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miles by the time of trial); Bagley, 864 So. 2d at 315 (framing the inquiry as

whether a car was “fit for its ordinary purpose and therefore merchantable” when a

wheel came off of a roughly ten-year old car while it was being driven); Terrell v.

R & A Mfg. Partners, Ltd., 835 So. 2d 216, 229 (Ala. Civ. App. 2002) (framing the

inquiry as whether a trailer was “not fit to haul loads as a trailer is intended to do”

when, despite problems with brackets, side lights, the antilock braking system, and

the alignment, the plaintiff had successfully used the trailer except on some days

on which it was being serviced).

      To Ford’s point, these cases reveal that even if breach is assessed at the time

of sale, the inquiry is forward-looking in nature. A good is unfit if it lacks a level

of hardiness and resistance to wear and tear, such that normal use will not cause

sudden and catastrophic failure. Just as the District Court was required to account

for the fact that the seatbelt was ten years old, it was required to analyze what a

ten-year-old seatbelt should be able to withstand.

      Having explained what proof of breach requires, we now turn to the record

before us.

                                          III.

      Whether summary judgment is appropriate, insofar as what inferences a

factfinder may draw, is a matter of federal law. See Hull v. Merck & Co., 758 F.2d

1474, 1476 (11th Cir. 1985) (“The quantity and quality of proof necessary to make

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out a case for submission to a jury in a federal court are determined by federal

law.” (alteration adopted) (quoting Johnson v. Buckley, 317 F.2d 644, 646 (5th Cir.

1963))). Federal law “allows the jury to choose among reasonable inferences in a

case based on circumstantial evidence.” Fid. & Deposit Co. of Md. v. S. Utilities,

Inc., 726 F.2d 692, 694 (11th Cir. 1984).

      The record here contains sufficient admissible evidence of breach. We

begin our analysis by reviewing the material facts.

      To operate a seatbelt, the user inserts the latch plate into the buckle, and as

he does so, the button is gradually depressed. When the latch plate reaches the

correct position, a spring-loaded lock bar within the buckle locks the latch plate

into place. At the same time, return springs force the button back to its home

position. When the latch plate is properly inserted, the buckle makes an audible

“click” sound. To undo the buckle, the user depresses the button. As he does so,

ramps molded onto the button gradually push the lock bar away from the latch

plate. At the proper point of depression, the spring ejects the latch plate from the

buckle. A correctly functioning seatbelt will thus (1) hold the latch plate in place

until the user depresses the button to release it and (2) provide an audible “click”

when (and only when) it is correctly latched.

      Easterling retained an expert, Eric Lee Van Iderstine, to examine the subject

seatbelt. Over the course of his mechanical-engineering career, Van Iderstine has

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designed equipment for the manufacture, assembly, and testing of automotive

components, including those used by Ford. Van Iderstine performed a

computerized tomography (“CT”) scan of the subject buckle.

      The scan revealed that the pair of return springs—those that force the button

back to its home position—were broken, out of position, and not in contact with

the intended part of the button. Taking measurements, Van Iderstine determined

that the button was 1.72 millimeters below its home position. That is, its natural

resting place at the time of measurement was recessed from the top of the buckle,

where it should have been. Ford’s seatbelt expert, Eddie Cooper, agreed that the

springs were broken and that the button was recessed from its home position. Van

Iderstine stated that it would be impossible to know exactly how many millimeters

the button was recessed on the day of the accident—“whether 1.9 or 1.7, 2.9, 2.5.”

      The testing protocol that Van Iderstine employed directed him to test manual

removal of the latch plate (that is, removal without depressing the button) at a

recessed distance of 2.9 millimeters. At this distance, he was able to remove the

latch plate from the buckle after finessing it back and forth three or four times with

his hands. Based on these test results, he stated that with enough lateral load—i.e.,

in a forceful crash—the latch plate might be unintentionally ejected from the

buckle even at a recessed distance of 1.72 millimeters.

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      Before the accident, Easterling would sometimes insert the latch plate into

the buckle but not hear a click. On those occasions, he would reinsert the buckle

until he heard a click. This click, Van Iderstine stated, would occur even though

the button was recessed, thus giving Easterling the (incorrect) feedback that the

mechanism was functioning properly.

      So is there sufficient evidence for a factfinder to determine that Easterling’s

seatbelt was not “fit” for its ordinary intended use of passenger restraint?

Absolutely—on two fronts. First, everyone agrees on the key fact: The pair of

guide springs was broken, thus causing the button to return somewhere short of its

intended home position. In Van Iderstine’s words, “The—the button on the subject

buckle was—without a latch plate in place, was in a depressed condition that

should not be the case if the buckle is—is functioning properly.” As such, he said,

the buckle was in a “compromised condition.” Second, the mechanism not only

failed to notify Easterling that it was compromised; it misled him into thinking it

was functioning properly by providing a “click.”

      The most significant fact that Ford takes grievance with is the age of the

seatbelt. But when all parties agree that the pair of guide springs was broken, and

thus that the button was compromised, when the button would erroneously lead a

user to believe that the mechanism was functioning properly, and when Ford’s own

expert observed wear and tear “typical of normal use”—a factfinder must be

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allowed to apply the statutory standard to the facts of Easterling’s claim. The

record contains no evidence, moreover, that Easterling used the seatbelt for some

ill-purpose—say storing loose change or stashing chewing gum in the buckle slot.

A body of “reasonable and fair-minded men” could determine that a seatbelt in a

car purchased today should not unexpectedly come undone in an accident ten years

later due simply to wear and tear. See Daniels v. Twin Oaks Nursing Home, 692

F.2d 1321, 1326 (11th Cir. 1982) (quoting Boeing Co. v. Shipman, 411 F.2d 365,

374 (5th Cir. 1969) (en banc), overruled on other grounds by Gautreaux v.

Scurlock Marine, Inc., 107 F.3d 331 (5th Cir. 1997) (en banc)).

      Ford also flags Van Iderstine’s test, emphasizing that he tested removal of

the latch plate only at a recessed position of 2.9 millimeters, whereas the measured

position was 1.7 millimeters.

      The test, and the inferences that may be drawn from it, go to causation, not

to breach. This is so because whether and how far the button was recessed from its

normal position goes to whether the latch plate in fact came undone on the day of

the accident and thus caused Easterling’s injuries. But Ford has not once argued

that we should affirm the District Court’s grant of summary judgment on the basis

that the record contains insufficient admissible evidence of causation; it has argued

only that there is insufficient evidence of breach. Even if such an argument could

somehow be gleaned from Ford’s brief, Ford has brought us no law on causation to

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apply to the facts of this case. We thus follow our usual practice of addressing

only those issues raised by the parties. See, e.g., United States v. Levy, 416 F.3d

1273, 1275 (11th Cir. 2005) (per curiam) (observing “our prudential rule that

issues not raised in a party’s initial brief are deemed abandoned and generally will

not be considered”).

                                         IV.

      The District Court’s order granting summary judgment for Ford is

VACATED. The case is REMANDED for further proceedings consistent with

this opinion.

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