Court Opinion

ID: 1711338
Source: CourtListenerOpinion
Date Created: 2013-10-30 07:12:33.696749+00
Date Added: 2024-06-11T09:46:43.547209
License: Public Domain

550 N.W.2d 809 (1996)
217 Mich. App. 35
Dick SCOTT and Vada Scott, Plaintiffs-Appellees/ Cross-Appellants, and
Motor Wheel Corporation, Intervening Plaintiff-Appellee,
v.
ILLINOIS TOOL WORKS, INC. and Signode Supply Corporation, Defendants-Appellants/Cross-Appellees.
Docket No. 170249.
Court of Appeals of Michigan.
Submitted December 20, 1995, at Lansing.
Decided May 31, 1996, at 9:15 a.m.
Released for Publication July 29, 1996.
*811 Logeman & Associates, P.C. by Robert E. Logeman, Ypsilanti, for plaintiffs.
Conlin, McKenney & Philbrick, P.C. by Allen J. Philbrick, Ann Arbor, and Mayer, Brown & Platt by Lawrence S. Robbins and Donald M. Falk, Washington, D.C., for defendants.
Before O'CONNELL, P.J., and SAAD and GIOVAN,[*] JJ.
*810 SAAD, Judge.
Defendants appeal the $1,016,732.92 judgment entered in favor of plaintiff, Dick Scott[1] following a jury verdict. Plaintiff cross appeals from the court's calculation of the present value of the portion of the judgment representing future damages. We affirm the jury verdict in favor of plaintiff and remand for the limited purpose of correcting a clerical error in judgment.
Plaintiff, a quality control inspector for intervening plaintiff Motor Wheel Corporation, was injured when a polyester strap manufactured and sold by defendants broke while he was tightening it around a palletized load of parts. Plaintiff alleged negligence, as well as breach of both express warranty and implied warranty. After a seven-day trial, the jury, on the general verdict form, returned a verdict for plaintiff. The court reduced the jury's award of future damages to present value, using a compound discount method. Following entry of the judgment, defendants moved alternatively for a judgment notwithstanding the verdict (JNOV), a new trial, or remittitur. The lower court denied defendants' motions, and this appeal followed.

*812 I
Defendants first assert that the trial court erred in permitting this case to go to the jury because, according to defendants, there was insufficient evidence of a causal relationship between the initial injury and the eventual wrist fusion (which resulted in permanent disability). Defendants contend that plaintiff's case should not have been submitted to the jury because the law requires more than mere speculation or conjecture regarding causation. Here, defendants insist that the best evidence plaintiff could produce concerning causation was, indeed, mere conjecture and speculation. In support of this argument, defendants rely heavily upon plaintiff's own treating physician, who was, at best, equivocal in his testimony de bene esse about what caused the wrist condition that ultimately required the wrist fusion. In particular, although Dr. Raymond C. Noellert testified that the accident caused an initial fracture of plaintiff's wrist, he admitted being "less certain" that the subsequent two problems with plaintiff's wrist (the Kienbock's disease and the ligament rupture) were caused by the accident.
However, according to Dr. Noellert, after plaintiff's fracture should have healed, plaintiff continued to experience pain:
[A]fter that point, we started treating him certainly eventually for all three of these, whether he in fact sustained a scaphoid fracture alone, or in combination with the ligament rupture or a bone alone, or in combination with some future damage that occurred to an area of the lunate that may or may not have been present at that time is speculation, as far as I'm concerned, on everybody's part. No one is ever going to have a definite answer on those questions.
I guess I would also think that if he did have a scaphoid fracture, and if that indeed were the only thing that was the result of the injury, that once it was healed, he should have returned to his original condition. And he did not. So that leads me to believe that somehow the ligament rupture was present in part [on the date of the accident], and was completely ripped, or that somehow his Kienbock's disease may have been present in part, and may have been aggravated by the accident; but that somehow that traumatic event was significant, you know, in causing or worsening those conditions such that he did not get better after treatment from the scaphoid fracture. Does anyone really know for sure? No.
When reviewing a trial court's failure to grant a defendant's motion for a JNOV, testimony and all legitimate inferences therefrom are examined in the light most favorable to the plaintiff. Thorin v. Bloomfield Hills Bd. of Ed., 203 Mich.App. 692, 696, 513 N.W.2d 230 (1994). On the other hand, as stated in Mulholland v. DEC Int'l Corp., 432 Mich. 395, 416-417, n. 18, 443 N.W.2d 340 (1989), quoting Prosser & Keeton, Torts (5th ed), § 41, p. 269:
"The plaintiff must introduce evidence which affords a reasonable basis for the conclusion that it is more likely than not that the conduct of the defendant was a cause in fact of the result. A mere possibility of such causation is not enough; and when the matter remains one of pure speculation or conjecture, or the probabilities are at best evenly balanced, it becomes the duty of the court to direct a verdict for the defendant."
More recently, our Supreme Court stated that it is insufficient to submit to the jury a causation theory that, while factually supported, is, at best, just as possible as another theory. Skinner v. Square D Co., 445 Mich. 153, 164, 516 N.W.2d 475 (1994). "Rather, the plaintiff must present substantial evidence from which a jury may conclude that more likely than not, but for the defendant's conduct, the plaintiff's injuries would not have occurred." Id. at 164-165, 516 N.W.2d 475. However, as the Square D Court stated: "`[I]f there is evidence which points to any 1 theory of causation, indicating a logical sequence of cause and effect, then there is a juridical basis for such a determination, notwithstanding the existence of other plausible theories with or without support in the evidence.'" Id. at 164, 516 N.W.2d 475, quoting Kaminski v. Grand Trunk W.R. Co., 347 Mich. 417, 422, 79 N.W.2d 899 (1956).
*813 Here, the evidence was very weak that the eventual wrist fusion was the result of a logical sequence of events which began with the accident. Yet, when viewed in the light most favorable to the plaintiff the evidence concerning such causation was marginally sufficient to permit the question of causation to go to the jury. Square D Co., supra at 164, 174, 516 N.W.2d 475; Schutte v. Celotex Corp., 196 Mich.App. 135, 138, 492 N.W.2d 773 (1992). Therefore, though a close question, the trial court did not err in permitting the case to go to a jury.

II
Defendants next argue that the trial court erred in denying their motion for a new trial, because the overwhelming weight of the evidence established that plaintiff's wrist could not have been injured in the manner in which he claimed. In reviewing a trial court's denial of a motion for a new trial, we must be mindful that the functions of the trial court and the appellate court are not identical. The trial court's function with respect to a motion for a new trial is to determine whether the overwhelming weight of the evidence favors the losing party. Arrington v. Detroit Osteopathic Hosp. Corp. (On Remand), 196 Mich.App. 544, 564, 493 N.W.2d 492 (1992). As an appellate court, our function is to determine whether the trial court abused its discretion in making such a finding. Id. Here, there was no such abuse of discretion. While the two orthopedic surgeons (Dr. Noellert and Dr. Waldomar Roeser) agreed concerning the typical cause of a scaphoid fracture, they disagreed with respect to whether such a fracture could have been caused by the accident that plaintiff described. However, nothing in the record indicates that Dr. Noellert lacked credibility to the extent that the trial court should have granted a new trial. This issue is without merit.

III
At trial, defendants moved for a directed verdict on the ground that there was insufficient evidence of breach of an express warranty to permit submission of the claim to the jury. The motion was denied. Defendants raise the same issue on appeal. When reviewing a claim that there was insufficient evidence presented in a civil case, this Court must view the evidence in a light most favorable to the plaintiff and give the plaintiff the benefit of every reasonable inference. Mull v. Equitable Life Assurance Society of the United States, 196 Mich.App. 411, 421, 493 N.W.2d 447 (1992). If, after viewing the evidence, reasonable people could differ, the question is properly left to the trier of fact. Id.
An express warranty is created by a seller by setting forth a promise or affirmation, description, or sample with the intent that the goods will conform. Guaranteed Construction Co. v. Gold Bond Products, 153 Mich.App. 385, 390, 395 N.W.2d 332 (1986). M.C.L. § 440.2313; M.S.A. § 19.2313 states in relevant part:
(1) Express warranties by the seller are created as follows:
(a) An affirmation of fact or promise made by the seller to the buyer which relates to the goods and becomes part of the basis of the bargain creates an express warranty that the goods shall conform to the affirmation or promise.
(b) A description of the goods which is made part of the basis of the bargain creates an express warranty that the goods shall conform to the description.
Plaintiff based his express warranty claim on a price quotation given by one of the defendants, that states in relevant part: "1822 TENAX Strapping (800# Break # 380 Strength6,500' per coil)." The "# 380" portion of the quote is handwritten; the remainder of the quote is typewritten. The "# 380" refers to a specification that appears on a separate paper (created by plaintiff's employer, intervening plaintiff Motor Wheel Corp.) that stated that the "Tenax" polyester strapping is to have "AVE. BREAKING STRENGTH: 800 LBS." Neither the price quote nor the specification mention "splicing." It is undisputed that the particular piece of strapping that snapped in this case did so at a "spliced" joinder. According to plaintiff, defendants expressly warranted: (1) that the strapping had an eight hundred *814 pound break strength, and (2) that there were no splices.
As a threshold matter, the only express warranty that this evidence supports is a warranty that the strapping was to have an average breaking strength of eight hundred pounds. There was no express statement about splices, and therefore an express warranty that no splices exist cannot be inferred. See Guaranteed Construction, supra at 390, 395 N.W.2d 332. The critical issue therefore, is whether the evidence, viewed in the light most favorable to the plaintiff, was sufficient to permit a rational jury to find a breach of an express warranty that the strapping would have an average breaking strength of eight hundred pounds.
Plaintiff grounds his case on tests conducted by his expert engineer on other pieces of the Tenax strapping, which showed that it broke at less than eight hundred pounds of tension. The actual strap at issue in this case, although preserved, was never tested for its breaking strength. Plaintiff's expert testified that he tested seven other pieces of the polyester strapping:
And this is the result that I got on those seven specimens.... you'll observe that it's 664, 797, 780 and so on. One got up to 800, but these are also less than these 800 pound break strength.
He also testified that he tested seven samples of spliced strapping, which revealed breaking strengths of 602, 595, 585, 588, 590, 580 and 604 pounds. Viewed in the light most favorable to plaintiff, this is sufficient for a reasonable jury to conclude that the average breaking strength of the Tenax strapping at issue was less than eight hundred pounds. Accordingly, this issue, although close, must be resolved in favor of plaintiff.

IV
Having affirmed the liability verdict, we turn to the question of damages. The jury's damage award compensated plaintiff for future lost wages for the years 1993 to 2021 inclusive; plaintiff will be seventy-three years old in 2021. Defendants assert that the trial court erred in denying that part of their motion for a JNOV, which asserted that there was insufficient evidence to show that plaintiff could have or would have worked until he reached age seventy-three. Defendants' allegation of error comes too late.
Although the trial court specifically instructed the jury that plaintiff's life expectancy was seventy-three years, neither plaintiff nor defendants tendered any evidence that plaintiff would have or would not have worked until the day he died. Curiously, there was no specific evidence at all concerning how long plaintiff would have, or could have, worked. As a general principle, a person's work life is not coterminous with that person's life expectancy. Kirchgessner v. United States, 958 F.2d 158, 163 (CA 6, 1992) (discussing calculation of future damages under M.C.L. § 600.6305[2]; M.S.A. § 27A.6305[2]). However, here defendants did not object to the trial court's life expectancy instruction, nor did they elicit any evidence that plaintiff would not have, or could not have, worked until he died. Therefore, while we have serious doubts about the propriety of permitting evidence of plaintiff's life expectancy to be used as the sole basis for calculation of future wage loss, this happened here because defendants failed to object to the court's instructions and failed to present their own evidence with respect to damages. Goins v. Ford Motor Co., 131 Mich.App. 185, 199, 347 N.W.2d 184 (1983). We therefore affirm the award of future damages as rendered by the jury.

V
Defendants next allege that the lower court erred in failing to grant remittitur as follows: (1) by reducing the award of future damages by one-third, in light of plaintiff's poor work attendance record, and (2) by reducing the entire award of future damages for the years in which plaintiff will be sixty-six through seventy-three years old (2014 through 2021). The trial court's decision with respect to a request for remittitur is reviewed for an abuse of discretion. Bordeaux v. Celotex Corp., 203 Mich.App. 158, 171, 511 N.W.2d 899 (1993).
Defendants' first basis for remittitur must be denied. Although the number of plaintiff's *815 preaccident absences from work due to injury and illness is startling, the jury's award of damages for future lost wages was supported by plaintiff's testimony concerning his wages, the current union scale of wages for his old job, and the fact that his worker's compensation benefit was based on a thirty-nine-week average wage well in excess of his base wage, indicating substantial overtime. Therefore, the trial court properly exercised its discretion in denying defendants' motion for remittitur regarding the award for the years 1993 through 2013.
Defendants' second basis for remittitur (for years 2014 through 2021) must also be denied for the reasons stated in issue IV.

VI
Finally, plaintiff cross appeals the lower court's application of a five percent compound discount rate, rather than a simple rate of five percent per annum, in calculating the present value of plaintiff's future damages. M.C.L. § 600.6306; M.S.A. § 27A.6306, part of the tort reform act, 1986 PA 178, provides that future damages are to be reduced to "gross present cash value." Specifically, M.C.L. § 600.6306(2); M.S.A. § 27A.6306(2) provides:
As used in this section, "gross present cash value" means the total amount of future damages reduced to present value at a rate of 5% per year for each year in which those damages accrue, as found by the trier of fact pursuant to section 6305(1)(b).
At the time the parties submitted their briefs on appeal, it was unclear whether present value was to be calculated with a simple interest rate, or with a compound rate. However, in Nation v. W.D.E. Electric Co., 213 Mich.App. 694, 700, 540 N.W.2d 788 (1995), this Court held that when a trial court reduces future economic and noneconomic damages to "gross present cash value" under M.C.L. § 600.6306; M.S.A. § 27A.6306, a compound reduction rate, rather than a simple reduction rate, must be used. The trial court thus did not err in using a compound discount rate in this case.
However, although the trial court correctly determined that the compound discount rate was to be used, it unfortunately incorporated the wrong set of calculations into its ultimate judgment. The correct calculations as presented by an expert witness are as follows:

             VERDICT        PRESENT
YEAR         AMOUNT          VALUE
----         -------        -------
1993     $  26,000.00    $ 24,761.90
1994        27,300.00      24,761.90
1995        28,700.00      24,792.14
1996        30,100.00      24,763.34
1997        31,600.00      24,759.43
1998        33,200.00      24,774.35
1999        34,800.00      24,731.71
2000        36,600.00      24,772.32
2001        38,400.00      24,752.98
2002        40,300.00      24,740.70
2003        42,400.00      24,790.40
2004        44,500.00      24,779.27
2005        46,700.00      24,766.01
2006        49,000.00      24,748.33
2007        51,500.00      24,772.38
2008        54,100.00      24,783.83
2009        56,800.00      24,781.65
2010        59,600.00      24,765.03
2011        62,600.00      24,772.95
2012        65,700.00      24,761.64
2013        69,000.00      24,767.02
2014        58,400.00      19,964.03
2015        62,100.00      20,217.98
2016        65,900.00      20,433.48
2017        69,900.00      20,641.66
2018        74,100.00      20,839.94
2019        78,500.00      21,026.09
2020        83,100.00      21,198.28
2021        88,000.00      21,379.28
TOTAL   $1,508,900.00    $685,800.04

The following is the "compound discount" formula for determining present value:
Present value = Future value × 1/(1 + I)n where I is the interest rate and n is the number of years. For example, using the above verdict amount for 1995 ($28,700), and calculating its present value at the start of 1993, (so that n equals 3), and using a statutory interest rate of five percent, the following calculations would apply:

Present value = Future value × 1/(1 + I)n
= $28,700 × 1/(1 + .05)3
= $28,700/(1.05 × 1.05 x 1.05)
= $28,700/1.157625
= $24,792.139.

The accuracy of this formula can be seen by working the calculations from 1993 forward to 1995. Taking $24,792.14 (the present value of plaintiff's verdict for 1995, as of 1993), times the statutory rate of five percent for three years (1993, 1994, 1995), will yield *816 precisely the jury award of $28,700: $24,792.14 × 1.05 for 1993 will yield $26,031.747; multiplied by 1.05 for 1994 is $27,333.334; and this figure multiplied by 1.05 for 1995 yields exactly $28,700.
In light of the trial court's apparently inadvertent error, we remand for the limited purpose of changing the erroneous figure of $661,468.97 (the present value of the future damages award in the July 12, 1993, judgment) to $685,800.04, which represents the correct total present value of the future damages portion of the judgment. This amendment will increase the total judgment from $1,016,732.92 plus interest, to $1,041,064.48 plus interest; (i.e., $238,500 past damages, plus $111,623.78 prejudgment interest on past damages, plus $685,800.04 present value of future damages, plus $5,140.66 costs, plus additional interest as set forth.)

CONCLUSION
Affirmed. The matter is remanded with directions consistent with this opinion. We do not retain jurisdiction.
O'CONNELL, P.J., concurred.
GIOVAN, Judge (concurring in part and dissenting in part).
I concur in the court's opinion, except that part which rejects the defendants' request for a judgment not withstanding the verdict regarding the award of lost earning capacity to the plaintiff for the entirety of his life expectancy.
The jury's verdict includes an award for future lost earning capacity, measured by lost wages,[1] from the date of trial to the year 2021, the last year of his life expectancy at age seventy-three.
The majority opinion concedes that a person's working life does not ordinarily extend until death and that there is no evidence in the record that supports an inference that the plaintiff would have worked beyond normal retirement age, but nevertheless declines, on two grounds, to give relief to the defendants: (1) the defendants did not object to the court's instruction on plaintiff's life expectancy and, (2) the defendants offered no evidence of their own that the plaintiff would not have worked beyond normal retirement age.
The Court says that, for want of an objection, the plaintiff should receive, and the defendant should pay, damages that will never exist. But the rationale for precluding relief where there is no objection does not exist in this instance. The rationale, of course, is that a retrial should not be required when a timely objection would have provided the opportunity to correct the error. In this instance, however, damages were not rendered in a general verdict, and the offending part of the jury's award can be identified with one hundred percent accuracy from the special verdict form, thus making a retrial unnecessary in order to achieve a just result.
In the end, however, it is unnecessary to discuss whether an objection was required to preserve the issue because the defendants could not have properly objected to the instruction on life expectancy in any event. The evidence clearly permitted a finding that some effects of plaintiff's injury were permanent, and the court was therefore obliged to instruct on plaintiff's life expectancy in order to allow for an appropriate award of future damages. The defendants waived nothing by failing to object to an instruction, the omission of which would have constituted error.
The Court's second justification for tolerating the windfall to the plaintiff and the penalty to the defendants is that the defendants did not prove that the plaintiff would not have worked beyond normal retirement age. That, of course, is a direct reversal of the allocation of the burden of proof, which always assigned, by both law and logic, to the one who asserts the affirmative of a proposition. McIntire v. Carr, 171 Mich. 647, 651, 137 N.W. 811 (1912); Dolph v. Lake Shore & M.S.R. Co., 149 Mich. 278, 281, 112 N.W. 981 *817 (1907). The Court's ruling says, in effect, that a defendant who does not prove that a plaintiff would not have worked beyond normal retirement age, even in the absence of evidence to the contrary, stands liable to be assessed for lost wages until the day that the plaintiff is projected to draw his last breath.
I would remand for remittitur of the amount awarded to the plaintiff for future lost wages beyond the age of sixty-five years.
NOTES
[*]  William J. Giovan, 3rd Judicial Circuit Judge, sitting on Court of Appeals by assignment pursuant to Const. 1963, Art. 6, Sec. 23, as amended 1968.
[1]  No award was made to Vada Scott, whose claim was apparently derivative only. Accordingly, we will speak in terms of a single plaintiff, Dick Scott.
[1]  That the award was based on projected lost wages is clear from the question on the verdict form which generated that part of the award that is in issue:

Question Number 3: If you find that the Plaintiff Dick Scott will sustain wage loss damages in the future, give the total amount for each year in which the Plaintiff will sustain damages.