Court Opinion

ID: 4018086
Source: CourtListenerOpinion
Date Created: 2016-07-21 22:03:30.372357+00
Date Added: 2024-06-11T14:34:34.664947
License: Public Domain

Filed 7/21/16 Kransky v. Depuy Orthopaedics CA2/7
                  NOT TO BE PUBLISHED IN THE OFFICIAL REPORTS
California Rules of Court, rule 8.1115(a), prohibits courts and parties from citing or relying on opinions not certified for
publication or ordered published, except as specified by rule 8.1115(b). This opinion has not been certified for publication
or ordered published for purposes of rule 8.1115.

              IN THE COURT OF APPEAL OF THE STATE OF CALIFORNIA

                                     SECOND APPELLATE DISTRICT

                                                DIVISION SEVEN

SHERYL R. KRANSKY, as Personal                                       B249576
Representative, etc.,
                                                                     (Los Angeles County
         Plaintiff and Respondent,                                   Super. Ct. No. BC456086)

         v.

DEPUY ORTHOPAEDICS, INC.,

         Defendant and Appellant.

                   APPEAL from a judgment of the Superior Court of Los Angeles County,
J. Stephen Czuleger, Judge. Affirmed.
                   O’Melveny & Myers, Charles C. Lifland, Richard B. Goetz, Cynthia A.
Merrill and Jonathan P. Schneller for Defendant and Appellant.
                   Law Offices of Martin N. Buchanan, Martin N. Buchanan; Gomez Iagmin
Trial Attorneys, John H. Gomez; Law Offices of Dean A. Goetz, Dean A. Goetz;
Walkup, Melodia, Kelly & Schoenberger, Michael A. Kelly and Khaldoun A. Baghdadi;
Panish, Shea & Boyle and Brian J. Panish for Plaintiff and Respondent.

                                ___________________________________
                                    INTRODUCTION

       DePuy Orthopaedics, Inc. appeals from a judgment in favor of Loren Kransky
after a five-week jury trial.1 The jury found DePuy strictly liable under Montana law for
the defective design of a hip implant that doctors ultimately had to remove from
Kransky’s hip in a risky and painful revision surgery. The jury awarded Kransky over
$8.3 million: $338,136.12 in economic damages for medical expenses and $8 million in
noneconomic damages. The jury did not find that DePuy acted with fraud or malice.
       DePuy challenges several evidentiary rulings, including the exclusion of evidence
related to the hip implant’s clearance by the federal Food and Drug Administration
(FDA) for sale in the United States, and the admission of certain testimony by Kransky’s
expert witness and his treating physician. We conclude that the trial court did not abuse
its discretion in any of its evidentiary rulings. DePuy also argues that the jury’s verdict is
not supported by substantial evidence and is internally inconsistent. We conclude that the
verdict is supported by substantial evidence and is not irreconcilable. Finally, DePuy
argues that the damages award is excessive. We conclude that the $8.3 million
compensatory damages award is not so grossly out of proportion as to shock the
conscience. Therefore, we affirm.

                  FACTUAL AND PROCEDURAL BACKGROUND

       A.     Kransky’s Hip Implant Surgery and Subsequent Revision Surgery
       Kransky had hip implant surgery in December 2007. The implant was a device
called the ASR XL, which DePuy manufactured. The ASR XL was a “metal on metal”

1     Kransky died on February 26, 2014, while this appeal was pending. We granted
respondent’s motion to substitute Kransky’s surviving spouse, Sheryl R. Kransky, as the
personal representative of the Estate of Loren D. Kransky, for Loren Kransky.

                                              2
implant with three parts: a metal cup that is inserted into the patient’s hip during the
surgery, a metal ball that rotates inside the cup, and a stem that is attached to the ball.
       After the surgery, Kransky experienced “a lot of pain” in his hip, as well as a
clicking and popping sensation. Kransky also began to have trouble with his mobility,
“fall[ing] for no apparent reason.” He began to lose weight, and noticed declines in his
energy level and overall health. His doctor, who found Kransky had high levels of cobalt
and chromium in his blood, believed that Kransky was suffering from metal toxicity
(metal ions leaking from the implant into his body) and that Kransky would die if the hip
implant was not replaced. Although Kransky had many other health problems, his
primary care physician believed that none of those other problems was causing Kransky’s
pain, loss of mobility, unexplained weight loss, and declining health.
       Kransky was one of many patients who experienced problems with an ASR XL
implant. As early as 2006, surgeons began to observe an unusually high rate of problems
with the ASR XL. These problems included “component loosening, component
malalignment, infection, fracture of the bone, dislocation, metal sensitivity and pain.”
Data from national registries of hip implants around the world began reflecting higher
than expected rates of revision (surgery to remove and replace the implant) for the ASR
XL. Australia, one of the first countries where DePuy sold the ASR XL, showed a five-
year revision rate of 22 percent, as did English and Welsh registries. DePuy’s other
metal-on-metal hip implants on the market at the time averaged five-year revision rates of
approximately 4 percent. In 2010, when the failure rates of the ASR XL implant were
widely known, DePuy voluntarily recalled the implant before the FDA took any action.
On the recall form DePuy filed with the FDA, DePuy checked a box to indicate that the
recall was the result of a “defective product that would affect product performance and/or
could cause health problems.”
       Although Kransky’s physicians were concerned that he may not survive a revision
surgery, they believed that the need to remove the implant outweighed the risks. In
February 2012 an orthopedic surgeon successfully performed the revision surgery,
removing the ASR XL. The surgeon found classic symptoms of metal wear from a failed

                                               3
implant. A biomedical engineer analyzed Kransky’s ASR XL implant and found
evidence of “much more than normal” metal wear on the implant. The engineer also
found black-stained tissue attached to the back of the implant’s cup. The engineer
concluded that the ASR XL implant was defective because of excessive rim loading (the
engineering term for when the head of the implant gets too close to the rim of the cup)
that released a harmful amount of metal debris. After the surgery, Kransky’s pain levels
decreased and his mobility improved.

       B.     The Complaint and the Motions In Limine
       Kransky filed a complaint asserting 13 causes of action against DePuy and others.
By the time of trial, the only remaining claims were against DePuy for negligent design,
strict liability design defect, and strict liability failure to warn. Kransky alleged that
DePuy was negligent in its design of the ASR XL “by failing to exercise reasonable care
in the testing, . . . designing, formulating, constructing, . . . fabricating, [and] producing”
of the implant. Kransky also alleged DePuy was strictly liable for the ASR XL’s
defective design, which caused the device to “not perform as safely as an ordinary
consumer would have expected at the time of use,” and which resulted in the release of
metal debris into Kransky’s body, causing him pain, and requiring him to undergo a
revision surgery. Kransky further alleged that DePuy was strictly liable for failing to
warn that the ASR XL was dangerous and defective despite the fact that “potential
risks . . . were known at the time of manufacture, distribution or sale.”
       Kransky filed several motions in limine. One of Kransky’s motions asked the
court to exclude “all references to the Food and Drug Administration (FDA),” including
evidence that the FDA cleared the ASR XL for sale in the United States. Kransky argued
that DePuy would mischaracterize the evidence and confuse the jury regarding the FDA’s
approval of the ASR XL, because the FDA had cleared the implant under an abbreviated
review process provided by section 510(k) of the Food, Drug, and Cosmetic Act, rather
than under the FDA’s comprehensive Premarket Approval process (PMA), which is
much more rigorous and focuses more specifically on the safety and efficacy of the

                                               4
device. Kransky also argued that evidence of FDA clearance under section 510(k) had
little probative value on the issue whether the implant was defective. The trial court
granted the motion, finding under Evidence Code section 352 that the probative value of
the FDA evidence would be substantially outweighed by the probability that explaining
to the jury the differences between the abbreviated 510(k) review process and the
standard PMA would consume an undue amount of time. The trial court granted the
motion without prejudice to DePuy’s right to raise the issue again if Kransky “opened the
door” by suggesting the ASR XL was on the market illegally or that DePuy did not
follow FDA procedures.
       DePuy filed motions in limine to exclude opinion testimony by Kransky’s primary
care physician, Thomas Trotsky, that chromium and cobalt debris from Kransky’s ASR
XL implant was poisoning Kransky and that the implant was killing him. DePuy argued
that Dr. Trotsky was not qualified to give such opinions because he was not a
toxicologist. The court denied the motion, ruling that Dr. Trotsky had “sufficient
qualifications to treat plaintiff and report the results of his treatment.”

       C.     The Trial
       To prove that the design process of the ASR XL had been inadequate and that the
product was defective, Kransky called several witnesses, including the project manager in
charge of developing the ASR XL implant. The project manager testified that he had
never developed a hip implant before joining DePuy and he had no experience with
orthopedic devices before joining DePuy. A biomedical engineer testified that DePuy’s
testing technique and its decisions based on premarket testing fell short of acceptable
industry standards. The engineer further testified that DePuy conducted a risk analysis
that violated fundamental international consensus, downplayed the risks of the ASR XL’s
failure, and avoided fixing problems that would have prevented the implant’s failure. He
testified that DePuy violated the “rules of the road” of developing medical devices.
       Kransky also called witnesses knowledgeable about DePuy’s business practices
relating to the development and sale of the ASR XL. DePuy’s worldwide vice president

                                               5
of marketing testified about the relative importance of profit and patient safety. The
leader of the marketing team that introduced the ASR XL into the United States testified
about what and when the marketing team knew about the release of metal ions into ASR
XL patients. He also testified that DePuy recalled the ASR XL because it was not
meeting their “clinical requirements” and the revision rate was unacceptably high.
       Kransky also introduced evidence of the ASR XL’s high revision rate, and how its
unique design characteristics caused a high level of wear and the release of toxic metal
debris from the implant, which caused Kransky’s injury. A toxic-chemicals specialist
from the University of California, San Francisco testified that metal ions released by the
implant were toxic and could cause tissue damage. A key engineer of the ASR XL also
testified that metal ions from the ASR XL could cause tissue damage.
       Craig Swenson, an orthopedic surgeon with extensive experience with the
ASR XL implant, testified as an expert witness for Kransky. He showed the jury pictures
from five other revision surgeries that he had performed on other patients with the ASR
XL implant. He used these pictures and information about these surgeries to explain to
the jury how he believed the ASR XL failed and how it showed signs of such a failure.
DePuy objected to the admission of the pictures and to Dr. Swenson’s testimony about
his other patients, arguing that it was improper expert testimony because his opinions
were anecdotal and based on his “own personal experiences” rather than clinical studies,
and that Kransky had not disclosed the pictures or any details about the other patients
until a few days before trial. The court allowed Dr. Swenson to testify on direct
examination, but delayed cross-examination to give DePuy an opportunity to take an
additional, mid-trial session of Dr. Swenson’s deposition and to prepare for cross-
examination on the five surgeries.
       Several witnesses testified about Kransky’s pain, mobility difficulties, and other
health problems. Kransky testified that, for years prior to his revision surgery, he
experienced constant, debilitating, stabbing pain that prevented him from getting any rest.
His daughter testified that he was in pain, experienced falls, became unable to walk, and
required a wheelchair. Eventually, Kransky’s mobility problems became so severe that

                                             6
he was unable to shower or go to the bathroom without assistance. By the time he had
the revision surgery, his primary care physician testified that Kransky was “of very little
flesh, mostly bones. [He] looked ghostly in appearance, had little spontaneous
movement, was virtually inanimate,” and he had been like that for “quite a while.”

       D.     The Verdict, Judgment, and Posttrial Motions
       The jury found DePuy strictly liable under applicable Montana law for a design
defect in the ASR XL, but not for failure to warn.2 The jury also found that DePuy had
been negligent, but that DePuy’s negligence did not cause Kransky’s injury. The jury
awarded Kransky over $8.3 million in compensatory damages, consisting of $338,136.12
in economic damages and $8 million in past noneconomic damages. The jury did not
find DePuy liable for punitive damages.
       DePuy filed motions for judgment notwithstanding the verdict and for a new trial,
arguing, among other things, that there was insufficient evidence to support the jury’s
verdict, the jury’s verdict was “fatally inconsistent,” the court’s exclusion of the FDA
evidence and admission of the testimony of Drs. Trotsky and Swenson was prejudicial
error, and the noneconomic damages award for pain and suffering was excessive. The
court denied DePuy’s posttrial motions. DePuy appealed, raising the same issues.

2      Kransky lived in Montana and had his implant surgery in Montana. The trial court
determined that Montana had the strongest interest in having its products liability law
applied, in order to protect “people who are in Montana, and buy . . . goods [in
Montana].” Neither party argues on appeal that the court erred by applying Montana law.

                                             7
                                      DISCUSSION

       A.     The Trial Court Did Not Abuse Its Discretion by Excluding Evidence of the
              FDA’s Clearance of the Implant for Sale in the United States
       DePuy argues that the trial court erred in excluding regulatory evidence of the
FDA’s clearance of the implant for sale in the United States and of DePuy’s subsequent
interactions with the FDA regarding the implant’s failure rate and the voluntary recall.
The trial court ruled that this evidence had only “marginal probative value” to a Montana
products liability claim, and that explaining the evidence to the jury would take “an
inordinate amount of time.” (See Evid. Code, § 352, subd. (a) [“[t]he court in its
discretion may exclude evidence if its probative value is substantially outweighed by the
probability that its admission will . . . necessitate undue consumption of time”].)
       In exercising its discretion under Evidence Code section 352, the trial court first
determines whether the evidence is probative to a Montana products liability claim.
“‘Relevant evidence’ means evidence . . . having any tendency in reason to prove or
disprove any disputed fact that is of consequence to the determination of the action.”
(Evid. Code, § 210.) Montana’s definition of relevance is nearly identical: “Relevant
evidence means evidence having any tendency to make the existence of any fact that is of
consequence to the determination of the action more probable or less probable than it
would be without the evidence.” (Montana Rules of Evidence, rule 401.)3 “[T]he forum
applies its own local law in determining the grounds for excluding evidence. On the
other hand, whether a particular piece of evidence is relevant will be determined in the
light of what are the issues to be decided under the otherwise applicable law.”
(Rest.2d Conf. of Laws, § 138, com. b; see Discover Bank v. Superior Court (2005) 36
Cal.4th 148, 173-174 [California’s choice-of-law-provisions follow the analytical

3     At oral argument, counsel for DePuy conceded that the probative value of the
FDA evidence is an issue of Montana law, arguing that “[t]he question of whether the
evidence goes to a substantive issue has to be decided under Montana law.”

                                             8
approach of the Restatement Second of Conflict of Laws], disapproved of on another
ground by AT&T Mobility LLC v. Concepcion (2011) 563 U.S. 333, 352; see, e.g.,
Nedlloyd Lines B.V. v. Superior Court (1992) 3 Cal.4th 459, 462 [following “California
decisions and the Restatement Second of Conflict of Laws”]; Nobel Farms, Inc. v. Pasero
(2003) 106 Cal.App.4th 654, 659 [following the Restatement Second of Conflict of
Laws].)
       The court’s evidentiary ruling balancing the probative value of the evidence
against the time it would take to present the evidence is a question of California law (see
Rest.2d Conf. of Laws, § 138), which we review for abuse of discretion. (See Green v.
County of Riverside (2015) 238 Cal.App.4th 1363, 1369 [“[a] decision to admit or
exclude evidence under Evidence Code section 352 is a matter committed to the
discretion of the trial court”]; accord, Ajaxo Inc. v. E*Trade Group Inc. (2005) 135
Cal.App.4th 21, 44.) We will not disturb a trial court’s exercise of discretion to admit or
exclude evidence under Evidence Code section 352 “‘“except on a showing the trial court
exercised its discretion in an arbitrary, capricious, or patently absurd manner that resulted
in a manifest miscarriage of justice.”’” (Uspenskaya v. Meline (2015) 241 Cal.App.4th
996, 1000-1001; see Donlen v. Ford Motor Co. (2013) 217 Cal.App.4th 138, 150
[“‘[t]rial courts enjoy “‘broad discretion’” in deciding whether the probability of a
substantial danger of prejudice substantially outweighs probative value’”].)
       Evidence of FDA clearance, or compliance with FDA post-marketing safety
regulations, is either not relevant, or minimally relevant, to a Montana strict products
liability claim. “Under Montana law, a manufacturer’s compliance with product safety
regulations is irrelevant and inadmissible on the question of the product’s
defectiveness . . . .” (Speaks v. Mazda Motor Corp. (D. Mont. 2015) 118 F.Supp.3d
1212, 1225; see Malcolm v. Evenflo Co., Inc. (Mont. 2009) 217 P.3d 514, 521-522
[“declin[ing] to adopt the Restatement (Third) of Torts: Products Liability, § 4,” which
“provides that compliance with an applicable regulation is admissible in connection with
liability for defective design”].) For example, in Lutz v. National Crane Corp. (Mont.
1994) 884 P.2d 455, the trial court in a products liability case had granted the plaintiff’s

                                              9
motion in limine “to exclude any reference to or testimony about OSHA [the
Occupational Safety and Health Act] or ANSI [the American National Standard
Institute],” which had promulgated certain safety standards applicable to an allegedly
defective crane. (Id. at p. 464.) The Montana Supreme Court held that the trial court
“was correct in excluding evidence of OSHA and ANSI standards,” and that, “[e]ven if
OSHA and ANSI regulations have some tenuous relevancy in products liability cases
such as this, it is not reversible error to exclude them.” (Id. at p. 465.) The Montana
Supreme Court explained that the fact that OSHA and ANSI did not require the use of a
particular safety device was not relevant “to issues . . . dispositive in design defect cases.”
(Ibid.)4
       The trial court here similarly reasoned that evidence of the FDA’s clearance of the
implant was not relevant to, or had little probative value in, a Montana products liability
design defect claim, characterizing the FDA evidence as “of marginal relevance,” “of
moderate, if any, relevance,” and “irrelevant.” Because evidence that a product meets
certain agency standards is not relevant to the issue whether that product is defective
under Montana law, the trial court correctly determined that the FDA evidence had little
or no probative value in this case.
       On the other side of the balancing under Evidence Code section 352, the
presentation of the FDA evidence would have been expansive, complicated, and time-
consuming. Under the Medical Device Amendments of 1976 to the Food, Drug and

4       Without citing any Montana cases (or any cases applying Montana law), DePuy
urges us to look to California law to determine whether FDA evidence is relevant to a
strict products liability claim, because, according to DePuy, “California law governs the
admissibility of evidence in this case.” The trial court, however, was not evaluating the
probative value of the evidence in a California strict products liability action. And, just
as the Montana Supreme Court declined to adopt the Restatement’s view on the
admissibility of compliance with product safety regulations, there is no reason to believe
it would adopt California’s view of the probative value of regulatory evidence in a strict
products liability action. Moreover, as noted, DePuy conceded that Montana law applies
to the issue of the probative value of the FDA evidence.

                                              10
Cosmetic Act, there are two ways medical device manufacturers like DePuy can obtain
clearance or approval from the FDA for a product. First, there is the PMA approval
process. (21 U.S.C. § 360c(a)(1)(C)(ii).) This process “is a rigorous one. Manufacturers
must submit detailed information regarding the safety and efficacy of their devices,
which the FDA then reviews, spending an average of 1,200 hours on each submission.”
(Medtronic, Inc. v. Lohr (1996) 518 U.S. 470, 477.) Second, there is an abbreviated
process under section 510(k) of the Food, Drug, and Cosmetic Act, which allows
manufacturers to secure FDA clearance by showing that a device is “substantially
equivalent” to a device already on the market. Section 510(k) is “‘focused on
equivalence, not safety.’” (Riegel v. Medtronic, Inc. (2008) 552 U.S. 312, 323.) The
FDA clearance of the ASR XL implant was under the abbreviated section 510(k) review
process, not the more rigorous PMA process.5
      In exercising its discretion under Evidence Code section 352, the trial court was
justifiably concerned that explaining the meaning and significance of 510(k) clearance, as
opposed to PMA approval, “would require a full description of the difference between the
[two processes] and [would] take an extensive amount of time.” As Kransky pointed out
in his motion in limine, “[t]he time it would take to present evidence of the FDA’s 510(k)
clearance process, the documents and information submitted by [DePuy] during that
process, the documents and information that [DePuy] did not submit to the FDA, the
difference between 510(k) clearance and pre-market approval, and the cross-examination
of the associated witnesses[ ] would . . . be unduly time-consuming.” And, had the trial
court allowed DePuy to introduce this evidence, Kransky would have been entitled to

5      Although the record is not entirely clear, it appears DePuy claimed that the
ASR XL was substantially similar to three other implant devices (the DePuy Pinnacle
Metal-on-Metal Acetabular Cup Line; the Wright Medical Metal TRANSCEND
Articulation System; and the DePuy Ultima Unipolar Head and Adapter Sleeves), all of
which were also cleared under the 510(k) process (in 2000, 2002, and 1997 respectively).
The FDA apparently determined that the ASR XL was substantially similar to the DePuy
Pinnacle Metal-on-Metal Acetabular Cup Line and a fourth product, the Biomet Ma
System.

                                            11
argue that the FDA’s 510(k) review of the ASR XL did not focus on the unique design
characteristics of the implant that he claimed caused his injury. Kransky also would have
been able to present evidence criticizing the 510(k) process in general, the 510(k) review
of the ASR XL in particular, and the nature and sufficiency of the FDA’s regulatory
scheme to approve new medical devices. Both sides would have called expert and
percipient witnesses to testify about the two kinds of clearances and the details of
DePuy’s section 510(k) process.
       In addition, to the extent DePuy would have used this evidence to argue that it
complied with post-market reporting requirements and that the FDA never mandated or
requested a recall, Kransky, as he argued to the trial court, would have “present[ed]
evidence of all of the complaints, information and evidence that [DePuy was] obligated to
provide to the FDA after the product went on the market, but failed to do so.” As
Kransky argues on appeal, “evidence that the FDA never mandated a recall” would have
resulted in “a lengthy mini-trial over whether DePuy complied with its obligation [under
21 C.F.R. § 803.1, et seq.] to report all known adverse events to the FDA.”
       Thus, admitting the FDA evidence would have added long and complex
evidentiary issues and arguments about the adequacy of the FDA’s review processes and
recall procedures to an already lengthy trial. (See Colombo v. BRP US Inc. (2014)
230 Cal.App.4th 1442, 1483 [trial court can exercise its discretion to exclude evidence
that is marginally relevant and would lead to mini-trials on ancillary issues]; In re C.R.
Bard, Inc. (4th Cir. 2016) 810 F.3d 913, 921 [“court did not abuse its discretion by
excluding [under Federal Rules of Evidence, rule 403] evidence of 510(k) clearance”
where “bringing in such evidence would result in a ‘mini-trial’ about (1) the strengths and
weaknesses of the process and (2) whether [the defendant] had in fact made all of the
disclosures it should have made during the process”]; cf. Bowen v. Ryan (2008) 163
Cal.App.4th 916, 926-927 [trial court abused its discretion under Evidence Code section
352 by admitting evidence that “was time-consuming and essentially led to a series of
[mini-trials]” and had “great potential for prejudice, confusion, and consumption of
time”].) Having correctly ruled that evidence of regulatory compliance had minimal or

                                             12
no probative value in a Montana products liability action, and having properly considered
the amount of trial time that would be required to explain and put in context the FDA
review process and DePuy’s post-market interactions with the FDA, the trial court did not
abuse its discretion by excluding the FDA evidence. As the trial court found, admission
of the FDA evidence “would have caused an extensive use of time without any
concomitant value.”6

       B.     The Trial Court Did Not Abuse Its Discretion by Admitting the Testimony of
              Kransky’s Treating Physician and Kransky’s Expert Witness

              1.     Dr. Trotsky’s Testimony
       DePuy argues that the trial court erred when it allowed Kransky’s treating
physician, Dr. Trotsky, to testify, over DePuy’s objection, that he believed the implant
was poisoning and killing Kransky. DePuy argues that Dr. Trotsky’s testimony
constituted improper expert opinion, and that it was unduly prejudicial and misleading.
The trial court ruled that, as Kransky’s treating physician, Dr. Trotsky was “allowed to
draw conclusions, and [DePuy was] allowed to cross-examine” Dr. Trotsky on those
conclusions. We review this ruling for abuse of discretion. (See Sargon Enterprises, Inc.
v. University of Southern California (2012) 55 Cal.4th 747, 773 [“[e]xcept to the extent
the trial court bases its ruling on a conclusion of law (which we review de novo), we
review its ruling excluding or admitting expert testimony for abuse of discretion”];

6      Pursuant to the trial court’s previous invitation to raise the issue of the
admissibility of the FDA evidence again if Kransky “opened the door” by suggesting
DePuy did not follow FDA procedures, DePuy filed a motion for reconsideration after
Kransky introduced testimony that DePuy “did not follow ‘the rules of the road for
making a safe medical device.’” The court denied the motion for reconsideration. DePuy
does not argue that the trial court abused its discretion in denying the motion for
reconsideration.

                                            13
Whitney v. Montegut (2014) 222 Cal.App.4th 906, 918 [reviewing for abuse of discretion
whether a doctor was qualified to render a particular opinion].)
       Dr. Trotsky testified that, when he treated Kransky before the revision surgery, he
believed the implant was “destroying” Kransky’s health. He stated that, given his
familiarity with all of Kransky’s “underlying medical conditions and . . . the natural
history of those conditions, that there still appeared to be another factor that was killing
Mr. Kransky that was not explainable by any . . . combination of the other chronic
disorders that he suffers from.” Dr. Trotsky testified that the basis of his opinion that
toxicity from the hip was causing Kransky’s weight loss, decreased energy level, and loss
of appetite was that he “was the physician who . . . was privy to the entire perspective of
[Kransky’s] chronic illnesses,” and he had been “unable to identify any other factor” as
the cause. Dr. Trotsky testified that he was “convinced that [Kransky] would die from
toxicity if the hip wasn’t removed.” He stated, “We’re talking about an individual who
was moribund, on the verge of death, basically, who [after the revision surgery] again
developed signs of health.”
       According to DePuy, Dr. Trotsky did not have sufficient “special knowledge, skill,
experience, training, or education” (Evid. Code, § 720, subd. (a)) to testify that the
implant was poisoning Kransky and that Kransky would die without a revision surgery.
DePuy also argues that Dr. Trotsky’s testimony about the implant’s toxicological effects
lacked foundation because Dr. Trotsky was not a toxicologist.
       Dr. Trotsky’s opinion that the implant was the cause of Kransky’s poor health, and
that the implant was poisoning and killing Kransky, was admissible. “A treating
physician is a percipient expert, but that does not mean that his testimony is limited only
to personal observations. Rather, like any other expert, he may provide both fact and
opinion testimony.” (Schreiber v. Estate of Kiser (1999) 22 Cal.4th 31, 35; see Easterby
v. Clark (2009) 171 Cal.App.4th 772, 782 [“a treating physician may provide both fact
and opinion testimony, including testimony on the cause of a patient’s injuries”].) A
treating physician “may testify as to any opinions formed on the basis of facts
independently acquired and informed by his training, skill, and experience,” which may

                                              14
“include opinions regarding causation and standard of care because such issues are
inherent in a physician’s work.” (Schreiber v. Estate of Kiser, supra, at p. 39; accord
Ochoa v. Dorado (2014) 228 Cal.App.4th 120, 140; Easterby v. Clark, supra, at p. 782.)
Dr. Trotsky’s opinion was based on facts acquired and informed by his training and skill,
and his experience as Kransky’s treating physician. Those facts included his ruling out
other medical causes of Kransky’s poor health, his understanding of Kransky’s hip pain
and elevated cobalt and chromium levels, and his consultations with Dr. Jeffrey Hansen,
the surgeon who ultimately performed Kransky’s revision surgery, and Dr. Brendan
Shannon, Kransky’s nephrologist. (See Cooper v. Takeda Pharmaceuticals America, Inc.
(2015) 239 Cal.App.4th 555, 582 [describing the “‘“‘standard scientific technique of
identifying the cause of a medical problem by eliminating the likely causes until the most
probable one is isolated’”’”].) The trial court did not abuse its discretion under Evidence
Code section 720, subdivision (a), in allowing Dr. Trotsky to give this opinion.
       DePuy cites Salasguevara v. Wyeth Laboratories, Inc. (1990) 222 Cal.App.3d 379
as an example of a case where the court found that the treating physician was “not shown
to be qualified” to give his opinion on causation. Salasguevara is distinguishable, and
actually supports Kransky. The court in that case found that a vaccine manufacturer was
not entitled to summary judgment based on the deposition testimony of a treating
physician. The court found that, although the treating physician “gave an opinion based
upon his ‘understanding[ ]’ [of the vaccine,] there is no way, given the limited deposition
excerpts submitted, to determine if that understanding was based upon the doctor’s
training, experience or skill.” (Id. at p. 386.) The court concluded that five sentences of
incomplete, noncommittal deposition testimony was not enough for summary judgment,
but the court suggested that the doctor’s testimony on causation would be admissible at
trial if it were based on his training, experience, or skill. (See ibid.) Thus, to the extent
Salasguevara is relevant at all, it supports the trial court’s decision to admit Dr. Trotsky’s
testimony after determining that the doctor’s opinion was based on his training,
experience, and skill.

                                              15
       Finally, DePuy argues that the trial court should have excluded Dr. Trotsky’s
testimony under Evidence Code section 352 because it was more prejudicial than
probative. DePuy’s argument, however, assumes that Dr. Trotsky’s testimony was not
probative because it was inadmissible expert testimony under Evidence Code sections
720, 801, and 803. The assumption is false: As noted, Dr. Trotsky’s testimony was
admissible because it was based on his training, skill, and experience as a physician
(Evid. Code, § 720), his opinion was based on matter on which an expert may reasonably
rely (id., § 801), and he had a proper basis for his opinion (id., § 803). The trial court did
not abuse its discretion under Evidence Code section 352 in finding that the probative
value of Dr. Trotsky’s testimony was not substantially outweighed by substantial danger
of any undue prejudice.

              2.     Dr. Swenson’s Testimony
       DePuy argues that the trial court abused its discretion by allowing Dr. Swenson,
Kransky’s orthopedic surgery expert, to testify about his experiences with five patients on
whom he had performed revision surgeries to remove the ASR XL implant. After
performing 207 surgeries to implant the ASR XL, and 70 revision surgeries to remove the
ASR XL, Dr. Swenson testified that he saw “trends” in his experience “taking care of this
particular product.” He testified that patients “start developing a local collection of
[metal] ions and then [the hip] starts hurting and then they get this soft tissue mass that
gets bigger and bigger and bigger and then to a varying degree it starts eating away soft
tissue, muscle, bone and capsule. Their ion levels go up. We see them very frequently
compared to other total hip[ replacement]s.” Dr. Swenson used five case studies—
information about patients on whom he had performed revision surgeries and pictures
from those surgeries—to illustrate how the implant fails.
       According to DePuy, the trial court should have excluded Dr. Swenson’s
testimony because Kransky’s delay or failure to disclose information about the patients
before trial caused DePuy unfair surprise at trial, and because Dr. Swenson’s opinion
testimony was not reliable expert opinion testimony but rather was “anecdotal accounts”

                                              16
of patients that may not have been similar to Kransky. Neither argument, however,
points to an abuse of discretion.

                a. DePuy was not unfairly surprised
         DePuy deposed Dr. Swenson five weeks before he testified at trial, and during his
deposition Dr. Swenson stated he might want to use “some of the photographs of the
problems [he had] seen with ASRs” during his testimony at trial. Dr. Swenson explained
that the pictures were in his patient files and that he had not selected them yet or shown
them to counsel. Counsel for DePuy stated, “Okay. Obviously, we reserve our rights on
that. And to the extent that they are produced we’d like, obviously, to get copies of
them.” DePuy did not receive all of the photographs until two days before Dr. Swenson’s
trial testimony. According to DePuy, the pretrial disclosure “did not include any medical
records for the five patients or the group [of patients] from which Dr. Swenson drew
them.”
         DePuy asked the trial court to prohibit Dr. Swenson from testifying about his other
patients or using photographs from their revision surgeries during his testimony because,
due to the late or inadequate disclosure, DePuy was unable to cross-examine or challenge
Dr. Swenson’s testimony about the five patients. The court delayed Dr Swenson’s cross-
examination to allow counsel for DePuy to take an additional session of Dr. Swenson’s
deposition during the trial, explaining: “The only question I have is one of
fairness. . . . I’m just crafting what I think is the appropriate solution.” DePuy then
deposed Dr. Swenson regarding the other five patients. Before Dr. Swenson’s cross-
examination during the trial, the court summarized its ruling: “Well, there was
surprise. . . . The way we cured it was to have a further deposition. That’s been
completed.”
         The trial court’s solution was appropriate and well crafted. “[A] party’s expert
may not offer testimony that exceeds the scope of his deposition testimony if the
opposing party has no notice or expectation that the expert will offer the new testimony,
or if notice of the new testimony comes at a time when deposing the expert is

                                              17
unreasonably difficult.” (Easterby v. Clark, supra, 171 Cal.App.4th at p. 780.) The trial
court did not abuse its discretion by determining that neither of these conditions applied
here. As Kransky correctly points out, “DePuy had notice because Dr. Swenson testified
in his pretrial deposition that he intended to use patient photos to illustrate his opinions
[and] the trial court continued Dr. Swenson’s trial testimony to permit DePuy to depose
him again before cross-examination.” (See Kelly v. New West Federal Savings (1996) 49
Cal.App.4th 659, 674 [where feasible, the appropriate remedy for “‘“[u]nfair surprise”’”
is a continuance].) Faced with a potential problem in the middle of a long trial, the trial
court solved it.
       This case is very different from Bonds v. Roy (1999) 20 Cal.4th 140 (Bonds),
which DePuy relies on for the proposition that “‘[t]he opportunity to depose an expert
during trial, particularly if the testimony relates to a central issue, often provides a wholly
inadequate opportunity to understand the expert’s opinion and to prepare to meet it.’”
(Id. at p. 147.) At the trial in Bonds, “during the afternoon recess of the last day of
testimony, . . . trial counsel sought to expand the scope of [an expert’s] testimony to
include two new areas,” relating to wholly undisclosed topics on which the expert had
“specifically confirmed” during his deposition he would not give an opinion. (Id. at
p. 143.) The Supreme Court held that, if an expert witness declaration “inaccurately
describes the general substance of an expert’s expected testimony,” the court may
exclude the testimony under former Code of Civil Procedure section 2034, which
governed discovery of expert witness information. (Bonds, supra, at pp. 140, 147.) Dr.
Swenson’s deposition testimony was very different: He stated he was going to use the
photographs of other hips as illustrations of problems caused by the ASR XL.
       The procedural context of Bonds was also very different from this case. The court
in Bonds relied in part on the fact that the expert in that trial “was the last defense
witness, testifying in the afternoon of the last day of testimony,” and the “late request
afforded no practical opportunity for [the expert] to be deposed or for [the plaintiff’s]
own experts to rebut [the] testimony,” so that “[o]n these facts, the trial court properly
limited the scope of [the] testimony . . . .” (Bonds, supra, 20 Cal.4th at p. 147.) In

                                              18
contrast, Dr. Swenson’s testimony did not relate to a wholly undisclosed subject area (but
rather served to explain one of his fully disclosed opinions), and DePuy had the
opportunity to depose Dr. Swenson on the specific subject before counsel for DePuy
cross-examined him.7 This case was not a situation where “‘[t]he opportunity to depose
an expert during trial’” provided “‘a wholly inadequate opportunity to understand the
expert’s opinion and to prepare to meet it.’” (Ibid.)

              b. Dr. Swenson’s testimony was sufficiently reliable
       Dr. Swenson testified that he “selected five patients that [he] thought were
representative of the problems [he] saw with ASRs,” in order to illustrate those problems.
He testified that these patients, like Kransky, all had mechanical problems, pain, fibrous
fluid collection, or high cobalt and chromium levels after he put in the ASR XL, and that
they, like Kransky, all needed revision surgery to remove the implant. DePuy argues that
Dr. Swenson’s opinion testimony was inadmissible because “anecdotal accounts” are
unreliable and improper bases for an expert opinion on causation.
       The trial court did not abuse its discretion in admitting Dr. Swenson’s testimony.
Dr. Swenson never testified that he based his causation opinion on those five patients
alone, or even that he weighed their experiences more heavily than the experiences of the
other 65 patients whose revision surgeries he had performed to remove the same implant.

7      DePuy also argues that it “could not place the five patients in appropriate context”
or “challenge [ ] the purported representativeness” of those patients because Dr. Swenson
never produced information about his other patients with ASR XL implants. DePuy
made the same argument to the trial court, but only in a motion to strike Dr. Swenson’s
testimony. The court did not abuse its discretion in denying DePuy’s motion to strike.
DePuy could (and did) cross-examine Dr. Swenson regarding the representativeness of
the five patients he had chosen, and, if necessary, DePuy could have requested a further
session of Dr. Swenson’s deposition to ask additional questions about those other
patients.

                                             19
To the contrary, he based his causation opinion on his vast clinical experience, including
his extensive experience with the ASR XL.8
       Citing Allison v. McGhan Med. Corp. (11th Cir. 1999) 184 F.3d 1300, 1316
(Allison), DePuy argues that “[an] expert’s reliance on case studies constitute[s]
‘improper methodology.’” In Allison, the court held that the district court did not abuse
its discretion in excluding an expert’s testimony based on published case studies
describing the unique experiences of particular patients whom the expert had never
treated. (Id. at p. 1316; see Glastetter v. Novartis Pharmaceuticals Corp. (8th Cir. 2001)
252 F.3d 986, 989-990 [“[p]ublished case studies provide experts with limited
information about select individuals”].) In contrast, Dr. Swenson selected what he
considered representative cases from the 70 patients whose ASR XL revision surgeries he
had performed. As the treating physician, he was privy to far more information than
would appear in a published case study. In addition, the reason that the trial court in
Allison excluded the expert’s testimony based on case studies was that there were
“controlled, population-based epidemiological studies,” on which the expert did not rely,
which made the case studies “pale in comparison.” (Allison, supra, at p. 1316.) DePuy
does not contend that it presented “overwhelming contrary epidemiological evidence,” or
any other medical evidence, that rendered Dr. Swenson’s testimony unreliable. In any
event, affirming a trial court’s decision to exclude certain evidence is quite different from
reversing a trial court’s decision to admit the evidence. (Cf. Pannu v. Land Rover North

8       DePuy does not argue that Dr. Swenson’s extensive clinical experience was an
insufficient basis for his testimony. (See, e.g., Sargon Enterprises, Inc. v. University of
Southern California., supra, 55 Cal.4th at p. 772 [opinion testimony may be based on an
expert’s personal experience, and the trial court “must simply determine whether the
matter relied on can provide a reasonable basis for the opinion or whether the opinion is
based on a leap of logic or conjecture”]; Cooper v. Takeda Pharmaceuticals America,
Inc., supra, 239 Cal.App.4th at p. 561 [trial court erred in striking expert’s testimony,
which rested in part on his experience treating patients with the same illness as the
plaintiff]; Messick v. Novartis Pharms. Corp. (9th Cir. 2014) 747 F.3d 1193, 1198-1199
[“there is nothing wrong with a doctor relying on extensive clinical experience” in
forming an opinion regarding causation].)

                                             20
America, Inc. (2011) 191 Cal.App.4th 1298, 1318 [“[a]n appellate court’s ruling that a
trial court did not abuse its discretion in admitting a certain type of evidence is not
authority for the proposition that it is an abuse of discretion to exclude similar evidence
in another case,” emphases omitted].)
       DePuy also argues that “Dr. Swenson failed to demonstrate the substantial
similarity required before other incidents may be introduced as evidence of a defect or
causation.” DePuy contends that Dr. Swenson’s methodology is indistinguishable from
the methodology the court found inadequate in Stephen v. Ford Motor Co. (2005) 134
Cal.App.4th 1363, where an expert “had worked on about 300 Firestone tire failure cases
but he based his similar accident testimony on only 10 of those cases.” (Id. at p. 1372.)
In Stephen, however, the expert was not a physician relying on clinical experience, but a
tire engineer who had never examined the failed tires he was testifying about, and who
“did not provide . . . any . . . information to show that the circumstances of the 10 tire
failures were similar to the circumstances of this case.” (Id. at pp. 1368, 1372.) In fact,
the expert in Stephen conceded that only three of the 10 cases he relied on involved the
same model tire that the plaintiff claimed was defective. (Id. at p. 1372.) For these
reasons, the court concluded that the expert’s “opinions and conclusions were nothing
more than speculation.” (Id. at p. 1373.)
       In contrast, Dr. Swenson based his testimony on more than just the five patients to
which DePuy objects. And he testified that each of the five “representative” patients had
the same implant as Kransky’s and experienced the same failure pattern he saw
repeatedly with this implant. Dr. Swenson had performed 5,000 to 6,000 hip
replacements, 207 of which were ASR XL implants, and 800 to 1,000 revision surgeries,
70 of which were ASR XL implants. Under these circumstances, it was not an abuse of
discretion for the court to allow him to testify based on his clinical experience about
representative patients who had experienced similar problems with the same implant to
illustrate the problems with the implant.

                                              21
       C.     Substantial Evidence Supports the Jury’s Finding That the Implant’s
              Design Defect Caused Kransky’s Injury
       DePuy argues that there was no substantial evidence that a design defect in the
ASR XL was the cause of Kransky’s injuries. DePuy asserts that the evidence pointed to
other potential causes of Kransky’s injuries, such as infection and the angle at which the
surgeon originally implanted the device.
       “It is axiomatic that when . . . an appellant challenges the sufficiency of the
evidence to support a jury’s verdict, we apply the substantial evidence standard of
review.” (Colombo v. BRP US Inc. (2014) 230 Cal.App.4th 1442, 1451.) “‘“Evidence is
substantial if any reasonable trier of fact could have considered it reasonable, credible,
and of solid value.”’” (Carolina Casualty Ins. Co. v. L.M. Ross Law Group, LLP (2012)
212 Cal.App.4th 1181, 1189, fn. 4.) “An appellate court does not reweigh the evidence
or evaluate the credibility of witnesses, but rather defers to the trier of fact.” (Cahill v.
San Diego Gas & Electric Co. (2011) 194 Cal.App.4th 939, 957-958). “Expert opinion
testimony constitutes substantial evidence only if based on conclusions or assumptions
supported by evidence in the record. Opinion testimony which is conjectural or
speculative ‘cannot rise to the dignity of substantial evidence.’” (Roddenberry v.
Roddenberry (1996) 44 Cal.App.4th 634, 651; see Izell v. Union Carbide Corp. (2014)
231 Cal.App.4th 962, 972, fn. 2.) “‘The ultimate determination is whether a reasonable
trier of fact could have found for the respondent based on the whole record.’” (Vita
Planning and Landscape Architecture, Inc. v. HKS Architects, Inc. (2015) 240
Cal.App.4th 763, 772.)
       The court gave a jury instruction that tracked Montana’s pattern jury instructions:
“DePuy Orthopaedics’ conduct is a cause of the injury if it helped produce it and if the
injury would not have occurred without it.” (See Montana Pattern Jury Instruction 2d
No. 2.07 (2003).) Substantial evidence supports the jury’s determination that the
implant’s design helped produce Kransky’s injury and the injury would not have occurred
without it.

                                              22
       Dr. John Dennis Bobyn, a professor and researcher in the field of artificial joint
replacement at McGill University, testified that certain design features unique to the ASR
XL caused increased wear. Dr. Bobyn examined Kransky’s “explant” (the implant after
Kransky’s surgeon removed it from his hip) and testified that it was defective. Dr. Bobyn
concluded Kransky’s hip implant had worn excessively, “far beyond historical norms, far
beyond expectations,” which caused the implant to generate excessive amounts of cobalt
and chromium. (See Brandenburger v. Toyota Motor Sales, U.S.A. (1973) 162 Mont.
506, 518 [“‘[t]he most convincing evidence is an expert’s pinpointing the defect and
giving his opinion on the precise cause of the accident after a thorough inspection’”].)
Robert Harrison, a toxic chemicals specialist who had treated patients with high cobalt
and chromium levels from the ASR XL implant, testified that metal debris from a metal-
on-metal hip implant like Kransky’s implant causes “destruction, inflammation, . . . pain
and disability.” He stated that cobalt and chromium “are most certainly poisonous” and
“toxic,” and that “when they get out into the blood, [they] can cause really severe local
tissue damage around hips.” Dr. Harrison testified that, from a toxicological perspective,
Kransky’s hip implant had to be removed, in part because of the local tissue damage from
his high cobalt and chromium levels. According to Dr. Harrison, the “blackish hole [or]
blackish discoloration” visible in a photograph of Kransky’s revision surgery is “a very
common or classic metallosis-type picture that surgeons see at the time they go in with
failed metal-on-metal hips.” He testified that “Mr. Kransky’s hip failed as a result of a
toxin. His hip did not fail as a result of infection.” He based this conclusion on several
factors, including Kransky’s white blood cell count, sedimentation rate, temperature
readings, and toxic exposure.9

9      Writings by DePuy officials confirmed that the company recognized the ASR XL
was defective and was causing health problems. Raphael Pascaud, a DePuy vice
president, sent an email in 2009 saying that “[t]he issue seen with ASR and XL [sic]
today, over 5 years post-launch, are most likely linked to the inherent design of the
product, and that is something we should recognise.” Graham Isaac, the development

                                             23
       Dr. Swenson testified that the popping and grinding Kransky experienced was not
consistent with infection. Instead, he believed that “clicking and popping is [caused by]
the surfaces [of the implant] rubbing together or sliding together or sliding in and out on
each other.” He also testified that “black material,” like the material found during
Kransky’s revision surgery, is “unique to metal debris.” And Dr. Hansen, Kransky’s
surgeon, testified that he did not observe any sign of infection during the surgery.
Instead, he explained that “all that black stuff [he found] inside [Kransky’s] wound”
could not have been caused by infection: “That doesn’t happen. There is only one way
you can get that black stuff in the wound, and that’s by metal ions staining the tissues.”
Dr. Swenson also testified that “[t]he angle itself did not cause the implant to fail,” and
that the implant failed “independent of the angle.”10
       In the face of what the trial court called “strong evidence in support of plaintiff’s
claim,” DePuy argues that Montana’s causation standard required Kransky to rule out
with certainty all possible alternative causes of injury. According to DePuy, Montana

manager for the ASR XL, sent an email comparing the ASR XL to a competing implant
and concluding the ASR XL was susceptible to “extreme metal ion levels.”

10      It is undisputed that Kransky’s implant was inserted at a relatively high angle and
that hip implants in general, including non-defective implants and non-metal ones, wear
at greater rates when implanted at higher angles. The parties agree that the
“recommended” angle of implementation is approximately 45 degrees. According to Dr.
Bobyn, 45 degrees is “commonly recognized as the mean or average inclination of the
human acetabulum, or the human pelvis, the socket part of the hip joint. That doesn’t
mean that everybody’s pelvis or acetabulum is tilted at 45 degrees. There’s a relatively
wide anatomical range.” Dr. Swenson testified that Kransky’s surgeon inserted the
implant at an angle of between 55 and 58 degrees. Multiple witnesses testified that
surgeons often insert implants at high angles, and that a patient’s anatomical distinctions,
rather than a surgeon’s skill, primarily determines the angle at which implants are
inserted. There was no evidence that inserting a hip implant at a high angle was misuse
of the product or malpractice by a surgeon, and DePuy admitted in its interrogatory
responses that it was not contending that the surgeon who implanted Kransky’s ASR XL
failed to follow warnings or instructions, or acted negligently when inserting the hip
implant at a high angle.

                                             24
law required Kransky to eliminate both infection and the angle of implantation as
possible causes of his injury, which DePuy says Kransky failed to do. The issue,
however, is whether substantial evidence supports the jury’s findings under Montana law
as instructed by the trial court. “The jury’s responsibility is to decide factual issues and
return a verdict in accordance with the law as instructed by the court. [Citation.] Absent
instructional error . . . , for an appellate court to review a verdict under a rule of law on
which the jury was not instructed would allow reversal of a judgment on a jury verdict,
requiring a retrial, even though neither the jury nor the court committed error.” (Bullock
v. Philip Morris USA, Inc. (2008) 159 Cal.App.4th 655, 675; see Null v. City of Los
Angeles (1988) 206 Cal.App.3d 1528, 1534 [we do not “measure the evidence adduced at
trial against rules of law” from “codes, reports of appellate cases, etc.,” but rather “the
rules are properly located in the instructions given the jury”].) The court did not instruct
the jury that Kransky had to eliminate all other possible causes of his injury, and DePuy
does not challenge the jury instructions on appeal.
       In any event, Montana law does not require a plaintiff to eliminate all possible
causes. Instead, Montana law has two jury instructions on causation, one for cases where
there is no claim of an intervening cause and one for cases where there is, and neither of
them requires the plaintiff to disprove alternative causes. The Montana Supreme Court
has held “that with the exception of those cases involving allegations of independent
intervening cause or multiple causes, it is sufficient to instruct the jury, as recommended
in 1989 by the Montana Supreme Court Commission on Civil Jury Instructions, that:
‘The defendant’s conduct is a cause of (injury/death/damage) if it helped produce it and if
the (injury/death/damage) would not have occurred without it.’ [Citation.] In those cases
where chain of causation is an issue (e.g., where there is an allegation of an independent
intervening cause), we recommend, as did the Commission in 1989, the following
instruction: The defendant’s conduct is a cause of the (injury/death/damage) if, in a
natural and continuous sequence, it helped produce it and if the (injury/death/damage)
would not have occurred without it.” (Busta v. Columbus Hosp. Corp. (Mont. 1996)

                                              25
916 P.2d 122, 139; accord, Fisher v. Swift Transp. Co., Inc. (Mont. 2008) 181 P.3d 601,
611; Jackson v. State (Mont. 1998) 956 P.2d 35, 52.)11
       The cases cited by DePuy do not hold otherwise. The courts in Ankeny v.
Grunstead (Mont. 1976) 551 P.2d 1027 and Wilson v. Northland Greyhound Lines, Inc.
(D. Mont. 1958) 166 F. Supp. 667 held only that, in those cases, there was no credible
evidence to support the plaintiff’s causation theory. (Ankeny, at p. 135; Wilson,
at p. 675.) In Hagen v. Dow Chemical Co. (Mont. 1993) 863 P.2d 413 the plaintiffs
alleged that the defendant’s weed killer got into the water at the plaintiffs’ fish farm and
killed “over 8000 pounds of fish.” (Id. at pp. 414, 415.) The defendant argued that there
was insufficient evidence to conclude the defendant’s weed killer killed the plaintiffs’
fish because the plaintiffs’ expert witness “could only speculate on the issue of
causation.” (Id. at p. 416.) Reversing summary judgment for the defendant, the Montana
Supreme Court held that circumstantial evidence such as fish autopsies, witness
testimony from the caretaker of the fish tank, and the presence of toxins in the fish water
gave rise to factual disputes that were for a jury to resolve. (Id. at pp. 414-415, 417.)
The Montana Supreme Court held in Hagen, as here, it was for the jury to resolve the
conflicting evidence on causation. And, in Wise v. Ford Motor Co. (Mont. 1992)
943 P.2d 1310, cited by DePuy for the first time in its reply brief, the Montana Supreme
Court concluded that “substantial evidence existed to support the jury verdict in favor of
[the defendant].” (Id. at p. 1314.) The court stated that, because “[a]lternative causes
were . . . not necessarily eliminated,” “the jury could have found that [the plaintiff] did
not meet his burden of proof.” (Ibid., italics added.) DePuy’s parenthetical description
of Wise as standing for the proposition that “a products liability plaintiff relying on
circumstantial evidence to prove causation must eliminate alternative causes” is not an
accurate description of the court’s holding.

11     DePuy does not argue that, because it claimed there were other causes of
Kransky’s injury, the trial court should have included the language “in a natural and
continuous sequence” in the jury instruction on causation.

                                               26
       D.      The Jury’s Verdict Is Not Inconsistent
       “A special verdict is inconsistent if there is no possibility of reconciling its
findings with each other.” (Singh v. Southland Stone, U.S.A., Inc. (2010) 186
Cal.App.4th 338, 357.) “‘If any conclusions could be drawn . . . which would explain the
apparent conflict, the jury will be deemed to have drawn them.’” (Oxford v. Foster
Wheeler LLC (2009) 177 Cal.App.4th 700, 716; see Wysinger v. Automobile Club of
Southern California (2007) 157 Cal.App.4th 413, 424.) On the other hand, “[w]here the
jury’s findings are so inconsistent that they are incapable of being reconciled and it is
impossible to tell how a material issue is determined, the decision is ‘against law’ within
the meaning of Code of Civil Procedure section 657.” (Oxford v. Foster Wheeler LLC,
supra, 177 Cal.App.4th at p. 716.) We review alleged inconsistencies in the jury’s
special verdict de novo. (Zagami, Inc. v. James A. Crone, Inc. (2008) 160 Cal.App.4th
1083, 1092.)
       DePuy argues that the jury’s verdict is irreconcilably inconsistent in two ways.
“First, the jury’s finding that the ASR XL was defectively designed because it was
‘dangerous to an extent beyond that anticipated by . . . the treating physicians’ . . .
directly conflicted with its finding that DePuy ‘adequately warn[ed] treating physicians
of those dangers which would not be readily recognized by them.’” Second, “the jury’s
finding that design defects for which DePuy was strictly liable caused plaintiff’s injuries
conflicted with its finding that plaintiff’s negligence did not cause plaintiff’s injuries.”
According to DePuy, “[b]oth of these irreconcilable conflicts require a new trial.” We
find no fatal inconsistency in the jury’s verdict.

               1.     There Is No Inconsistency Between the Jury’s Findings of Strict
                      Liability for Design Defect and No Liability for Failure To Warn
       DePuy argues that the jury’s finding DePuy had defectively designed the implant,
which required the jury to find that the implant was “dangerous to an extent beyond that
anticipated by . . . the treating physicians,” is inconsistent with the jury’s finding that
DePuy adequately warned the treating physicians of the dangers that would not be readily

                                              27
recognizable to the physicians. In other words, DePuy argues that the implant could not
have been dangerous beyond what physicians anticipated if DePuy had adequately
warned the physicians. This argument relies on the assumption that “adequate warning”
includes warning of all dangers known and unknown to DePuy. The two findings are not
inconsistent if “adequate warning” means warning of known dangers.
       The trial court did not instruct the jury on the meaning of the phrase “adequately
warn.” There is no indication in the record that either Kransky or DePuy asked the court
to give such an instruction. DePuy argues on appeal that, because the jury instructions,
which as noted DePuy does not challenge, “did not limit the duty [to warn] to dangers of
which DePuy was aware,” the jury necessarily interpreted the duty to warn to include
risks of which DePuy was not aware. Citing Random House Webster’s Unabridged
Dictionary 24 (2d ed. 2001), DePuy argues that the only possible “plain meaning” of the
word “adequately” is “fully sufficient,” which, according to DePuy, is not limited to
“known or knowable risks.” In most jurisdictions, however, a legally adequate or
sufficient warning is a warning of known dangers. (See Annot., Strict Products Liability:
Liability for Failure To Warn as Dependent on Defendant’s Knowledge of Danger (1984)
33 A.L.R.4th 368 [collecting cases].) In California, “knowledge, actual or constructive,
is a requisite for strict liability for failure to warn.” (Anderson v. Owens-Corning
Fiberglas Corp. (1991) 53 Cal.3d 987, 1000; see Livingston v. Marie Callenders, Inc.
(1999) 72 Cal.App.4th 830, 835-837; see also CACI No. 1205 [potential risks that give
rise to strict liability for failure to warn must have been “known or knowable in light of
the scientific and medical knowledge that was generally accepted in the scientific
community at the time of manufacture/distribution/sale”].) DePuy essentially argues for
a meaning of “adequate” that contravenes the law in most jurisdictions.12

12      DePuy argues that “adequate” should not be limited to “known or knowable” risks
because such an interpretation would be contrary to Montana law, which, following a
minority view, does not require actual or constructive knowledge for failure to warn
liability. (See Sternhagen v. Dow Co. (Mont. 1997) 935 P.2d 1139, 1143, 1147.) In

                                             28
       As the trial court recognized when ruling on DePuy’s posttrial motions, “it was
quite rational for the jury to find that [DePuy] had not breached its duty to warn, when
there were inquires and information still coming in [to DePuy] at the time of the
plaintiff’s surgery,”13 while also finding DePuy strictly liable for a design defect in the
implant. The court noted that there was clear evidence of “ongoing revelations, both
foreign and domestic, about problems with the ASR, and many of those revelations came
after, not before, [Kransky’s] implant surgery.” Because there is a possibility of
reconciling the jury’s findings, there is no irreconcilable conflict between the jury’s
findings of strict liability for design defect and no liability for failure to warn.

              2.      There Is No Inconsistency Between the Jury’s Causation Findings
       DePuy also argues that the jury’s findings on the causation elements of Kransky’s
design defect and negligence claims are irreconcilable. DePuy argues: “The jury could
not logically find that the ASR’s alleged design defects caused [Kransky’s] injuries on
the strict liability claim but did not cause his injuries on the negligence claim.”
       The jury found that the implant’s defective design caused Kransky’s injury. The
jury also found that DePuy “fail[ed] to act as a reasonable medical device manufacturer
in the design or warnings of the ASR XL,” but that DePuy’s negligence did not cause
Kransky’s injury. The court instructed the jury that DePuy was strictly liable for an
injury caused by a defective product even if DePuy “exercised all possible care” and even

other words, DePuy argues that, had the court properly instructed the jury on Montana
law, the jury would have found DePuy liable for failure to warn despite having no
knowledge of the implant’s defect. DePuy, understandably, did not ask for such an
instruction. In any event, as noted and as DePuy conceded at oral argument, we consider
only the instructions the trial court actually gave.

13     The court noted “parenthetically” that the jury’s determination that DePuy did not
know about the defects in the implant at the time of Kransky’s surgery “might also
explain the jury’s decision not to impose punitive damages.”

                                               29
if the product was “faultlessly manufactured,” but that DePuy was liable for negligence
only if Kransky’s injury was caused by DePuy’s “failure to use reasonable care.”
       The jury’s causation findings were not irreconcilably inconsistent. Under the
court’s instructions, the jury could have found that DePuy was negligent when it designed
the implant; a defect in the implant caused an injury to Kransky; but the particular defect
that caused Kransky’s injury was not the result of DePuy’s negligence.14 For example,
the jury could have found DePuy was negligent in designing the implant by not having a
toxicologist on the design team, but Kransky did not prove that, had there been a
toxicologist on the design team, the product would not have come to market in a
defective state. In other words, the jury could have found the defect that made the
ASR XL susceptible to extreme metal ion levels caused Kransky’s injury, but that
DePuy’s negligence did not cause the defect. Or, the jury could have found that DePuy
was negligent, but that its negligence caused a defect different from the defect that
injured Kransky. For example, the jury could have believed Dr. Bobyn’s testimony that
DePuy should have tested (and therefore was negligent in not testing) the implant for the
likelihood of “bone ingrowth fixation,” a condition Kransky never alleged that he had,
but that in other patients can cause the implant to loosen to the point that revision surgery
is required. The jury’s verdict is consistent under either of these scenarios: negligence
that did not necessarily cause the defect, or negligence that caused a different defect from
the one that injured Kransky.
       Without citing to the record, DePuy argues that “the jury . . . was not instructed on
any theory, such as negligent testing, that could permit a negligence finding based on

14      The verdict did not distinguish between negligent design and negligent failure to
warn, but instead combined the two claims under “negligence.” Unlike California law,
which has separate approved jury instructions for negligent design (CACI No. 1220) and
negligent failure to warn (CACI No. 1222), the Montana jury instructions given in this
case did not separate negligent design and negligent failure to warn into distinct causes of
action.

                                             30
premarket conduct alone. Rather, plaintiff’s negligent design theory allowed a
negligence verdict only if the ASR XL was, in fact, defective . . . .”15 The jury
instructions, however, permitted the jury to find that DePuy was negligent based on
DePuy’s “design of the ASR hip implant.” Therefore, it was possible for the jury to find
that (1) DePuy was negligent because it failed to use ordinary care in the design of the
implant by not having a toxicologist on the design team, by not following industry
standards when testing the implant, or by choosing a design-team leader who had never
worked on a hip implant before; (2) the implant was more dangerous than Kransky’s
physicians had anticipated and therefore was defective; and yet (3) the implant’s defect
that injured Kransky was not caused by DePuy’s negligence. Because there are
reasonable, consistent ways to understand and harmonize the jury’s causation findings,
the verdict is not inconsistent.

       E.     The Damages Award Is Not Excessive
       DePuy argues that “[a] new trial on damages or, in the alternative, remittitur, is
required” because “[b]oth the size of the [$8 million] award and the circumstances under

15      To support its statement that “plaintiff’s negligent design theory allowed a
negligence verdict only if the ASR XL was, in fact, defective,” DePuy cites a case,
Merrill v. Navegar, Inc. (2001) 26 Cal.4th 465, 480, that does not say what DePuy says it
says and is from the wrong jurisdiction (i.e., California rather than Montana). In Merrill
v. Navegar, Inc., the California Supreme Court held that where a defendant is liable for
the negligent design of a product, that product is necessarily defective. (Id. at p. 480.)
Thus, it is true that liability under a theory of negligent design requires an injury-causing
defect. (See Lambert v. General Motors (1998) 67 Cal.App.4th 1179, 1184 [if a product
is not defective, there can be no liability for negligent design]; Halvorson v. American
Hoist & Derrick Co. (Minn. 1976) 240 N.W.2d 303, 307 [same].) It does not follow,
however, that an injury-causing defect is sufficient for negligent-design liability, because,
as the court instructed the jury in this case, for negligent-design liability the defendant’s
negligence must have caused (a defect that caused) the injury. In any event, the jury was
not instructed that it could only find DePuy was negligent, and that the implant was
defective, if it also determined that DePuy’s negligence caused Kransky’s injury.

                                             31
which it was rendered compel the conclusion that it was excessive as a matter of law.”
We do not find the damages award excessive.
       Under Montana law, “unless it appears that the amount awarded is so grossly out
of proportion as to shock the conscience, a court cannot substitute its judgment for that of
a jury.” (Gibson v. Western Fire Ins. Co. (Mont. 1984) 682 P.2d 725, 738.) “‘It is not a
question of the amount this Court would have awarded under the circumstances. It is not
the amount which in our opinion would compensate the injured party; rather, it is a
question of what amount of damages will the record in the case support when viewed, as
it must be, in the light most favorable to the plaintiff . . . .’” (French v. Ralph E. Moore,
Inc. (Mont. 1983) 661 P.2d 844, 849 (French).)
       Although we apply Montana substantive law to the question of whether the
damages award is excessive, we apply California’s standard of review. (See Schlessinger
v. Holland America, N.V. (2004) 120 Cal.App.4th 552, 558, fn. 3 [“rules defining the
standard of appellate review are, in general, procedural not substantive,” and “‘the law of
the state controls on matters of practice and procedure’”].) “The amount of damages is a
fact question, committed first to the discretion of the jury and next to the discretion of the
trial judge on a motion for new trial.” (Westphal v. Wal-Mart Stores, Inc. (1998)
68 Cal.App.4th 1071, 1078; see Code Civ. Proc., § 662.5, subd. (a).) “[A]lthough the
trial court’s determination is not binding upon a reviewing court, it is to be accorded great
weight because having been present at the trial the trial judge was necessarily more
familiar with the evidence.” (Bertero v. National General Corp. (1974) 13 Cal.3d 43, 64;
cf. Maurer v. Clausen Distrib. Co. (Mont. 1996) 912 P.2d 195, 198 [“[t]his Court will not
disturb a district court’s decision to grant or deny a new trial absent a manifest abuse of
discretion”].)
       The trial court did not abuse its discretion in ruling that the $8 million verdict
“does not shock the conscience” or “appear driven by passion or prejudice.” The jury
heard evidence of Kransky’s severe pain, his loss of mobility, and his sincere and realistic
fear of dying during the revision surgery. Kransky testified that, for years before his
revision surgery, he experienced constant, debilitating, stabbing pain that prevented him

                                              32
from getting any rest. His “other illnesses would come and go,” but “[t]he hip [pain] was
always there,” and there was “no way” to “get rid of any of the pain.” For approximately
five years Kransky could barely walk. He could not engage in the daily activities he had
enjoyed before the implant surgery, like “keep[ing] [his] own yard up and mow[ing] it.”
Kransky testified, “I would fall and I couldn’t trust myself to go out and mow the lawn.”
He could no longer play with his grandchildren or attend their athletic events. For nine
months Kransky was confined to a wheelchair. He testified, “[E]very time I’d look at the
wheelchair, I’d get disgusted because I was kind of strapped to it. I couldn’t go anywhere
or do anything without it.” At one point Kransky’s mobility problems prevented him
from showering or going to the bathroom on his own. Kransky testified, “Well, my
daughters are nurses, so they would help me [shower and go to the bathroom]. It’s very
embarrassing to have your daughter have to help you do personal things like that. That
went on for quite some time.” The mobility problems also prevented Kransky from
rehabilitating after he suffered a stroke, and from mitigating his other health problems,
because he “couldn’t walk, couldn’t do the things [he] should do to rehab.” He “never
could get well because that hip was always there.”
       Kransky’s doctor testified that he explained to Kransky, “There’s a good chance
you will die if the hip is replaced.” Kransky felt he “had no choice” but to have a surgery
that would likely kill him: “I thought, ‘Well, I’m going to die either way. One way is
going to be fast. The other is going to be slow.’” He was so afraid that he would die
during the revision surgery that he made funeral arrangements before the surgery. By the
time he had the revision surgery, Kransky “had little spontaneous movement [and] was
virtually inanimate.” “My relationship with my wife, my kids, my grandkids,” Kransky
testified, “it was all gone.”

                                            33
       The cases cited by DePuy, where courts in other jurisdictions have found other
awards excessive, do not compel a different result.16 The Montana Supreme Court has
held that “[a]n award of damages in one case is unique from an award of damages in
another case, and we will not use the one as a measuring rod to determine whether
damages in another case were excessive because influenced by passion or prejudice.”
(French, supra, 661 P.2d at p. 849; see Seltzer v. Morton (Mont. 2007) 154 P.3d 561, 588
[“one jury may legitimately render a compensatory award that is significantly different
from an equally legitimate compensatory award rendered by another jury [even] upon
substantially similar facts”].) The Montana Supreme Court has also explained that there
is “no authority for the notion that we may meddle with a jury’s compensatory verdict in
one case based on the size of a compensatory verdict rendered in another case. More to
the point, we have already rejected this approach.” (Seltzer v. Morton, supra, at p. 588.)
       DePuy asserts in its reply brief that, even if legitimate compensatory damages
awards in other cases do not shed light on whether the award in this case is legitimate, we
should compare the award in this case to cases where courts have found that the
compensatory damages award did shock the conscience. Montana law, however, makes

16      DePuy cites only one Montana case reversing an order denying a new trial on
damages, Safeco Ins. Co. v. Ellinghouse (Mont. 1986) 725 P.2d 217, 228. In Safeco, the
Montana Supreme Court held that an award of $200,000 to an insured for emotional
distress after its insurance company had denied a claim in bad faith “substantially
exceed[ed] that which the evidence could sustain,” and that the $5 million punitive
damages award (“20,000% above the award of $25,000 for economic damages” and
“5,000% more than the $100,000 maximum of the insurance policy”) was “so grossly
excessive and disproportionate to the injury as to shock one’s conscience.” (Id. at
pp. 226-227.) The three dissenting justices responded that it was a “sad,” unprecedented
day, when “four justices, robed in judicial omniscience” substituted their judgment for
that of the jury. (Id. at p. 228, dis. opn. of Morrison, J.) DePuy cites no other case in
which a Montana court, or a court applying Montana law, reversed an order denying a
new trial on damages or reduced the size of a damages award. The second-closest case
DePuy cites is Maurer v. Clausen Distrib. Co. (Mont. 1996) 912 P.2d 195, 199, where
the Montana Supreme Court, reviewing an order granting a new trial on compensatory
damages for abuse of discretion, affirmed that part of the trial court’s order.

                                            34
no such distinction between comparisons to awards that have been affirmed and awards
that have been reversed as excessive. Instead, “the proper measure of compensatory
damages must be determined solely based on the facts of each case [citation], and juries
have wide latitude in this regard.” (Seltzer v. Morton, supra, 154 P.3d at p. 588.)
Because, like the Montana Supreme Court in French, we “find nothing in the jury’s
verdict here to shock our conscience,” the $8 million damages award is not excessive as a
matter of law. (French, supra, 661 P.2d at p. 849.)

                                     DISPOSITION

       The judgment is affirmed. Respondent is to recover her costs on appeal.

              SEGAL, J.

We concur:

              PERLUSS, P. J.

              ZELON, J.

                                            35