Court Opinion

ID: 4685678
Source: CourtListenerOpinion
Date Created: 2021-05-11 16:15:03.590604+00
Date Added: 2024-06-11T08:04:29.674548
License: Public Domain

J-A25022-19; J-A25023-19

                              2021 Pa. Super. 93

 GEORGE ROGERS, ADMINISTRATOR           :   IN THE SUPERIOR COURT OF
 OF THE ESTATE OF JOSHUA ROGERS         :        PENNSYLVANIA
                                        :
                  Appellant             :
                                        :
                                        :
             v.                         :
                                        :
                                        :   No. 1915 MDA 2018
 LLOYD THOMAS, HAYDEN THOMAS            :
 AND/OR THE OUTDOORSMAN INC.            :

             Appeal from the Order Dated November 21, 2018
   In the Court of Common Pleas of Susquehanna County Civil Division at
                            No(s): 2016-1244

 SUZETTE BENET, ADMINISTRATOR           :   IN THE SUPERIOR COURT OF
 OF THE ESTATE OF GILBERTO              :        PENNSYLVANIA
 ALVAREZ                                :
                                        :
                  Appellant             :
                                        :
                                        :
             v.                         :
                                        :   No. 1916 MDA 2018
                                        :
 LLOYD THOMAS, HAYDEN THOMAS            :
 AND/OR THE OUTDOORSMAN INC.            :

            Appeal from the Order Entered November 21, 2018
   In the Court of Common Pleas of Susquehanna County Civil Division at
                           No(s): 2016-00869

BEFORE: STABILE, J., McLAUGHLIN, J., and MUSMANNO, J.

OPINION BY McLAUGHLIN, J.:              FILED: MAY 11, 2021

     Lloyd Thomas (“Lloyd”) shot and killed Joshua Rogers and Gilberto

Alvarez (collectively, “Decedents”) in February 2012, while they were on
J-A25022-19; J-A25023-19

property belonging to Lloyd’s father, Haydn Thomas (“Haydn”).1 Lloyd was

charged criminally and a jury found him guilty in January 2014 of voluntary

manslaughter. The administrators of the Decedents’ estates – i.e., the Rogers

Estate and the Alvarez Estate (collectively, “Appellants”) – brought civil suits

against Lloyd, Haydn, and a gun shop on Haydn’s property, The Outdoorsman

Inc. (“the Outdoorsman”) (collectively, “Appellees”). Although the suits were

initially in different counties, they were ultimately coordinated in Susquehanna

County, and the Susquehanna County court consolidated them. At trial, the

court entered a directed verdict in favor of Haydn, and after the jury rendered

a defense verdict, it entered judgment in favor of Lloyd and the Outdoorsman.

This appeal followed.

       We conclude that the trial court erred in submitting to the jury the

question of whether Lloyd was negligent. However, it did not err in permitting

the jury to determine whether the Outdoorsman was liable, directing a verdict

in favor of Haydn, allowing the jury to determine whether the Decedents were

comparatively negligent, making certain evidentiary rulings, or consolidating

the cases. As to the coordination of the cases, Appellants waived their

challenge by failing to lodge a timely appeal from the coordination order. We

thus vacate the judgment entered in favor of Lloyd and the Outdoorsman,

____________________________________________

1 According to Appellees, Appellants in their pleadings below misspelled
Haydn’s name as “Hayden.” See Haydn Thomas and The Outdoorsman, Inc.’s
Br. at 2. Because Appellees did not ask the trial court to change the caption,
we leave it as it was in the trial court, but we use his preferred spelling in the
body of this Opinion.

                                           -2-
J-A25022-19; J-A25023-19

affirm the judgment entered in favor of Haydn, and remand for a new trial

against Lloyd and the Outdoorsman.

       Shortly after the shootings, in March 2012, the Rogers Estate filed a civil

action against Lloyd, Haydn, and the Outdoorsman, in Lackawanna County.

Once Lloyd had been found guilty of voluntary manslaughter,2 the Rogers

Estate moved for summary judgment against Lloyd, arguing that, because of

the conviction, “summary judgment must be granted.” Mot. for Summ. Judg.

Against Def. Lloyd Thomas, at ¶ 5. The court granted the motion and entered

partial summary judgment against Lloyd. It explained in an opinion

accompanying       the   order    that    by   finding   Lloyd   guilty   of   voluntary

manslaughter, the jury in the criminal case had found beyond a reasonable

doubt that Lloyd had committed an intentional killing and did not act in

justifiable self-defense. The court concluded that those findings collaterally

estopped Lloyd from denying liability. See Opinion, filed Oct. 1, 2014, at 1, 3.

       In February 2014, the Alvarez Estate initiated its action against Lloyd,

Haydn, and the Outdoorsman, in Luzerne County. The Luzerne County court

sustained a preliminary objection to venue and transferred the case to

Susquehanna County. On interlocutory appeal, this Court affirmed the

transfer.3 The Lackawanna County court then coordinated the Rogers Estate’s
____________________________________________

218 Pa.C.S.A. § 2503(b); see Commonwealth v. Thomas, No. 1751 MDA
2014, 2015 WL 6948965 (Pa.Super. filed July 6, 2015) (unpublished
memorandum).

3 See Benet v. Thomas, No. 1484 MDA 2014 (Pa.Super. filed Aug. 7, 2015)
(unpublished memorandum).

                                           -3-
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case (in Lackawanna County) with the Alvarez Estate’s case (in Luzerne

County), and directed further proceedings to take place in Susquehanna

County. Susquehanna County then consolidated the cases.

      As trial approached, Appellants filed a motion to preclude evidence of

the Decedents’ allegedly violent propensities and their “medication/drug use,”

as well as evidence that they had trespassed, had possessed firearms, and

had criminal records. The court granted the motion in part and precluded

evidence of the Decedents’ alleged violent propensities and their criminal

records, protection from abuse orders, vehicle violations, and prior bad acts.

However, it refused to preclude evidence that the Decedents were trespassers,

had firearms in their possession or in their vehicle at the time in question, or

that they parked the car in the driveway. The court also denied the motion

seeking to preclude evidence of medication/drug use “as to evidence relating

to chronic drug use.” Order, filed Apr. 5, 2018, at ¶ 5 (emphasis in original).

      Appellants also filed a motion to preclude Appellees from asserting a

defense of comparative negligence. The court denied this motion. It reasoned

that the prior grant of summary judgment barred Lloyd from re-litigating the

issue of intent and that Lloyd could not argue that he did not intend to shoot

the Decedents or that he acted in self-defense. However, the court found Lloyd

was not estopped from raising affirmative defenses not available in his

criminal trial, including comparative negligence.

                                     -4-
J-A25022-19; J-A25023-19

      The court also granted a motion to quash Appellants’ trial subpoena for

a psychiatrist, John Michael Shovlin, M.D., and his wife, Lori Shovlin.

Appellants had subpoenaed them to testify at trial as fact witnesses.

      At trial, various individuals testified about Lloyd’s actions in the years

and months leading up to the shooting, and whether Haydn knew that Lloyd

had exhibited any concerning behavior. One such witness, Jeffrey Gunn,

testified about an incident in 2008 or 2009 in which a vehicle driven by Lloyd

almost hit Gunn’s vehicle. Gunn said he initially followed Lloyd, but then

stopped, at which point Lloyd stopped his car, got out, and pulled out a gun.

Gunn testified that Lloyd “just stood there looking at me,” and after “[Gunn]

identified [him]self and his passenger . . . [Lloyd] got back in his truck and he

left.” N.T., 4/16/18, at 178. Gunn testified that Haydn was not present during

the incident. Id. at 182. A friend of Haydn’s, John Touch, testified that Lloyd

changed after some events in his life, such as a fire at a previous location of

the Outdoorsman and a tree falling on his car. Id. at 190. He testified that

Lloyd became scared and paranoid, and said that he spoke with Haydn about

Lloyd’s behavior. Id. at 190, 198.

      Another witness, Kathryn Chesnick, testified that she called the police

in January 2012 after she ran past Lloyd and saw him acting aggressively and

cursing. Id. at 212. She told the police that Lloyd was “off his rocker,” not

acting like himself, and she was afraid he would kill himself or someone else.
Id. One other person, Brian Griffis, testified that Lloyd removed a flag from

Griffis’ porch, threw it on the ground, and jumped on it. Id. at 245. However,

                                      -5-
J-A25022-19; J-A25023-19

he said he did not speak to Haydn about the incident. Id. at 259. Appellants

also presented evidence that Lloyd used marijuana and that he had previously

entered a mental health or rehabilitation facility. See N.T., 4/20/18, at 61,

133.

       The jury also heard testimony about the ownership of the gun Lloyd

used in the shooting and Lloyd’s relationship with the Outdoorsman.

Appellants presented testimony that an official report listed the gun as

belonging to a third party, and not to either Lloyd or the Outdoorsman.

According to the testimony, such would be the case if the Outdoorsman owned

the gun, because when a shop purchases a firearm, the listed owner does not

change until the store sells the firearm to a customer. See N.T., 4/19/18, at

129. Appellants also presented testimony that Lloyd signed and filed

documents for the Outdoorsman and helped with the paperwork. See, e.g.,

N.T., 4/20/18, at 137-38. Appellees countered with testimony that the gun

belonged to Lloyd and that Lloyd did not work at the Outdoorsman at the time

of the shootings. See, e.g., id. at 153, 170.

       After Appellants rested, Haydn and the Outdoorsman made oral motions

for compulsory nonsuit. The trial court granted Haydn’s motion, but denied

the Outdoorsman’s motion.

       Before the charging conference, Appellants submitted a proposed

verdict slip. It included the question, “Did Defendant Lloyd Thomas

intentionally and/or recklessly kill Joshua Rogers and Gilberto Alvarez[?]” The

sheet had check boxes for “Yes” and “No” next to the question, with the “Yes”

                                     -6-
J-A25022-19; J-A25023-19

box marked. Appellants argued that the court had to give the jury a verdict

slip informing the jury that Lloyd was liable because the court had already

entered summary judgment against Lloyd as to liability. See N.T., 4/25/18,

at 129. The court declined to use Appellants’ verdict slip and instead submitted

one to the jury asking it to determine whether Lloyd was negligent.

       Following trial, the jury found that Lloyd and the Outdoorsman were not

negligent and that both Decedents were comparatively negligent. Appellants

filed a post-trial motion, which the trial court denied. This timely notice appeal

followed.4

       Appellants raise the following issues:

          a. Whether [Appellants] are entitled to a new trial when
          summary judgment was granted [as] to [Lloyd] and the trial
          court allowed the jury to determine if [Lloyd] was negligent?

          b. Whether nonsuit should have been denied when there
          was sufficient evidence of record to establish liability?

          c. Whether the trial court erred when it allowed the jury to
          hear and decide comparative negligence issues despite
          [Lloyd’s] actions being found intentional and without
          justification beyond a reasonable doubt in the criminal case?

          d. Whether the trial court erred when it allowed psychiatrist
          Shovlin to not appear and testify at [the] time of trial?

          e. Whether the trial court erred when it allowed prior bad
          acts and alleged chronic drug use of [the Decedents] to be
          introduced at [the] time of trial?

____________________________________________

4 Appellants filed a notice of appeal at each docket number, each listing both
trial court docket numbers. Because there is a separate notice at each docket,
we do not quash this appeal. See Commonwealth v. Johnson, 236 A.3d
1141, 1147-48 (Pa.Super. 2020) (en banc).

                                           -7-
J-A25022-19; J-A25023-19

          f. Whether the trial court erred when it refused to have
          proper questions included, allowed impermissible questions
          and did not have the proper order of the questions on the
          jury verdict slip?

          g. Whether the trial court erred when it refused to give
          and/or included certain jury instructions?

          h. Whether the trial court erred when not granting
          [Appellants’] directed verdict?

          i. Whether this case, on remand, should be coordinated in
          Lackawanna County?

Appellants’ Br. at 8 (unnecessary capitalization omitted). We will address

Appellants’ issues out of order, for ease of discussion.

   I.     The Criminal Conviction and Its Impact on Liability and
          Affirmative Defenses

        Issues one, three, and six raise various arguments regarding Lloyd’s

criminal conviction for voluntary manslaughter and its impact on this civil

case. Appellants argue the conviction established Lloyd was liable and

therefore the court erred in permitting the jury to determine otherwise. They

also argue that, because Lloyd was negligent, Haydn and the Outdoorsman

also were liable. They further maintain that the court erred in permitting the

jury to determine whether the Decedents were comparatively negligent.

        In denying Appellants’ motion to preclude Appellees from asserting a

defense of comparative negligence, the trial court reasoned that, although

Lloyd was barred from re-litigating his intent, he was not barred from

asserting Appellants were contributorily negligent:

          The Wrongful Death Act provides that “an action may be
          brought, under procedures prescribed by general rules, to
          recover damages for the death of an individual caused by

                                     -8-
J-A25022-19; J-A25023-19

       the wrongful act or neglect or unlawful violence or
       negligence of another if no recovery for the same damages
       claimed in the wrongful death action was obtained by the
       injured individual during his lifetime.” 42 Pa.C.S. § 8301(a).
       A survival action permits the decedent’s personal
       representative to pursue a cause of action that accrued to
       the decedent before death. 42 Pa.C.S. § 8302. It is the
       plaintiff’s burden to show the defendant’s negligence.
       Nonetheless, contributory negligence is a defense to
       negligence. Contributory negligence is conduct on the part
       of a plaintiff which falls below the standard [of care] to which
       he should conform for his own protection and which is a
       legally contributing cause, cooperating with the negligence
       of the defendant, in bringing about the plaintiff’s harm.
       Contributory fault may stem either from a plaintiff’s careless
       exposure of himself to danger or from his failure to exercise
       reasonable diligence for his own protection. In
       Pennsylvania, the burden of establishing comparative
       negligence rests on the defendant.

       Prior to transfer of the Rogers estate action from
       Lackawanna to Susquehanna County, Judge Peter J. O’Brien
       issued an order on October 1, 2014 granting the Rogers
       estate’s motion for partial summary judgment in respect to
       Lloyd only. In his opinion, Judge O’Brien determined that
       since a conviction of voluntary manslaughter in a parallel
       criminal action acts as collateral estoppel, Lloyd was barred
       from relitigating the issue of intent in the civil action. The
       Benet and Rogers estates assert that Judge O’Brien has
       already determined that Lloyd was barred from relitigating
       the issue of intent in the civil action since a conviction of
       voluntary manslaughter in a parallel criminal action acts as
       collateral estoppel. This court will adopt that determination
       pursuant to the coordinate jurisdiction rule. Thus, Lloyd
       would be estopped from denying the acts for which he was
       convicted and would be estopped from asserting self-
       defense. (To establish unreasonable belief voluntary
       manslaughter or “imperfect self-defense,” a defendant must
       demonstrate that he acted in self-defense by satisfying the
       requirements for justified self-defense, including that he
       was not the aggressor and did not violate a duty to retreat
       safely, except that an imperfect self-defense involves an
       unreasonable rather than a reasonable belief that deadly
       force was required to save the actor’s life.[)] Nevertheless,

                                    -9-
J-A25022-19; J-A25023-19

         in Martinez v. Uckele, 35 Pa. D.&C. 5th 463 (Pa.Com.Pl.
         Monroe 2013), Judge David J. Williamson determined that
         while a criminal defendant is estopped from denying liability
         in . . . subsequent wrongful death and survival actions, he
         can plead comparative negligence. In Martinez, the
         defendant had been convicted of involuntary manslaughter
         following the fatal shooting of his son. In reaching his
         determination, Judge Williamson noted that other
         jurisdictions have allowed civil defendants to assert
         comparative negligence defenses, including the United
         States District Court for the District of Oregon. In Cloud v.
         Hosack, 2006 WL 1876620 (D.Or. 2006), the District Court
         noted that an assertion of self-defense in a criminal
         proceeding “is dissimilar to the claim of comparative fault.”
Id. at 2. The reasoning in Martinez is persuasive. Thus,
         Lloyd, [Haydn,] and the Outdoorsman will not be precluded
         from presenting evidence as to the contributory negligence
         of Rogers and Alvarez.

Order, filed Apr. 5, 2018, at 1 n.1 (alteration in original; some citations and

internal quotation marks omitted).

      A. Whether Lloyd is Estopped From Disputing He Was Negligent

      In their first issue, Appellants argue that the question of Lloyd’s liability

should not have gone to the jury “because a criminal conviction collaterally

estops a defendant from denying his acts in a subsequent civil trial.”

Appellants’ Br. at 37. Appellants point out that the trial court in Lackawanna

County entered summary judgment against Lloyd. Similarly, in their sixth

issue, Appellants claim the trial court erred because it refused to use a verdict

slip marking negligence or recklessness as proven, even though Lloyd had

                                      - 10 -
J-A25022-19; J-A25023-19

been found guilty of voluntary manslaughter.5 We agree that the trial court

should not have submitted the question of Lloyd’s negligence to the jury.

       To establish a right to relief on a negligence claim, the plaintiff must

prove that “the defendant owed her a duty to conform to a certain standard

of conduct, the defendant breached that duty, and the breach was the

proximate cause of actual damages.” Gavula v. ARA Servs., Inc., 756 A.2d
17, 22 (Pa.Super. 2000) (citations omitted).

       Absent extraordinary circumstances, a criminal conviction against a

defendant estops the defendant from denying, in a civil case, things

necessarily proven in the criminal case. See Folino v. Young, 568 A.2d 171,

172, 174 (Pa. 1990) (concluding trial court erred in submitting question of

defendant’s negligence in car crash to jury where defendant was convicted of

driving at unsafe speed and vehicular homicide, because criminal conviction

established negligence per se); Hurtt v. Stirone, 206 A.2d 624, 626 (Pa.

1965) (concluding defendant convicted of extortion in criminal trial could not

“deny that which was established by his prior criminal conviction without proof

that his conviction was procured by fraud, perjury or some other manner of

error now sufficient to upset the conviction itself”); In re Estate of Reinhert,

532 A.2d 832, 835 (Pa.Super. 1987) (concluding entry of summary judgment

____________________________________________

5 They further claim the court erred by submitting a verdict slip to the jury
that included questions about negligence, without asking the jury to determine
whether Lloyd was reckless. They claim that, because of the design of the
verdict slip, the jury never reached the question of whether Lloyd was
reckless.

                                          - 11 -
J-A25022-19; J-A25023-19

was proper where “[a]ppellant was convicted of theft and the Estate now

requests the return of the stolen money, as ordered by the court in the

criminal case”).

      In Folino, the defendant’s vehicle crashed into a vehicle driven by the

plaintiff. 568 A.2d at 172. A passenger in the defendant’s vehicle died in the

collision. Id. The defendant was convicted of driving at unsafe speeds and

vehicular homicide. Id. However, a jury in a companion civil action found the

defendant not negligent. Id. The Pennsylvania Supreme Court found it was

error for the trial court to allow the jury to determine negligence. Id. at 172-

74. It pointed out that the defendant’s “failure to drive at a safe speed was an

operative fact in his vehicular homicide conviction.” Id. at 172. The court cited

its decision in Hurtt, which reasoned that the defendant had had an

opportunity and motive to overcome the criminal charges, and was not

entitled to a second opportunity in the civil action to prove his innocence:

         The defendant was presented with more than ample
         opportunity to overcome the charges lodged against him
         while he was swathed in a cloak of presumed innocence. His
         case was twice presented to a federal jury which found him
         guilty of extortion beyond a reasonable doubt, upon the
         same facts which are now urged as the basis for his civil
         liability. To now hold that the effect of those jury
         determinations is nil not only would be to fly in the face of
         reason but would also be a general indictment of the whole
         American jury system . . . . The defendant should not now
         be heard to deny that which was established by his prior
         criminal conviction, without proof that his conviction was
         procured by fraud, perjury or some manner of error now
         sufficient to upset the conviction itself. Defendant has had
         his day in court and has failed to instill even a reasonable
         doubt in the collective mind of his then jury. No valid reason

                                     - 12 -
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           exists why he should be given a chance to try his luck with
           another jury.

Folino, 568 A.2d at 173 (quoting Hurtt, 206 A.2d at 626-27) (alteration in

original).

        The Folino court also rejected the defendant’s argument that estoppel

would unjustifiably prevent him from presenting evidence of justification or

excuse for violation of the statute. Id. at 174. The court explained that the

proven violation of the statute rendered the defendant negligent per se and

barred any argument that the defendant’s acts were justified or excusable.
Id. However, the court noted that although the prior conviction estopped the

defendant from denying negligence, the plaintiffs still bore the burden of

proving causation. See id. at 174 n.6.

        Here, the trial court explained negligence to the jury as follows:

           A person must act in a reasonably careful manner to avoid
           injuring or harming or damaging others. Care required
           varies according to the circumstances and the degree of
           danger at the particular time. You must decide how a
           reasonably careful person would act under the
           circumstances established by the evidence in this case. A
           person who does something a reasonably careful person
           would not do under the circumstances at the time is
           negligent.

N.T., 4/26/18, at 154.6
____________________________________________

6   The trial court also instructed the jury,

           [T]he standard of care owed by an owner or occupier of land
           to a person who enters a land depends on whether the
           person who entered was an invitee, a licensee, or a
           trespasser. If you find from the evidence that the Plaintiff[s’]

                                          - 13 -
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       The jury in the criminal case found beyond a reasonable doubt that Lloyd

intentionally shot Appellants, and that he believed that he had to do so in self-

defense, but that his belief was unreasonable. 18 Pa.C.S.A. § 2503(b) (“A

person who intentionally or knowingly kills an individual commits voluntary

manslaughter if at the time of the killing he believes the circumstances to be

such that, if they existed, would justify the killing under Chapter 5 of this title

(relating to general principles of justification), but his belief is unreasonable”).

Lloyd was therefore estopped from arguing that he did not intentionally shoot

Appellant and also estopped from arguing that he had a reasonable belief that

such action was necessary. This would prevent a finding that he acted in a

“reasonably careful manner to avoid injuring or harming or damaging others.”

See N.T., 4/26/18, at 154. Accordingly, it was error to permit the jury to

determine whether or not Lloyd was negligent.

____________________________________________

          decedents entered upon or remained on the premises of the
          Defendant without permission, right, lawful authority,
          express or implied invitation, or consent, the legal status of
          the decedents then and there was that of trespassers. . . .
          [I]f the Defendant owner or occupier knew or had reason to
          know of the – Plaintiff[s’] decedents trespassers presence
          the Defendants only duty to the decedent was to refrain
          from willful or reckless misconduct that would necessarily
          cause injury to the decedents. Reckless conduct is
          significantly worse than negligent.

          The risk that harm will be caused by conduct that is reckless
          is higher than the risk that harm will be caused by conduct
          that is negligent.

N.T., 4/26/18, at 157.

                                          - 14 -
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         Appellees cite State Farm Fire & Casualty Co. v. Bellina, 264 F.

Supp. 2d 198, 203 (E.D. Pa. 2003) – an insurance coverage case about

whether an insurance company had a duty to defend a person who has been

convicted of voluntary manslaughter, maintaining that the court there

concluded that “since a verdict for voluntary manslaughter required a finding

that the defendant had the intent to kill . . . the issue of the defendant’s intent

could not be subsequently re-litigated in the civil action.” Rogers Estate’s Br.

at 12.

         The actual holding of Bellina has no application here. In Bellina, the

court held that because the insured’s “intent to cause bodily harm has been

conclusively determined in a prior criminal proceeding, the Policy exclusion for

expected and intended harm applies, and State Farm does not owe a duty to

defend [the insured].” Bellina, 264 F. Supp. 2d at 203. The case did not

address the impact of a voluntary manslaughter conviction on a subsequent

negligence case. Indeed, if anything, Appellees’ own description of the case –

that because voluntary manslaughter entails a finding of the intent to kill, the

defendant’s intent cannot subsequently be relitigated – supports our decision

here.

         Finally, we must respectfully disagree with the dissent that the error in

allowing the jury to revisit the issue of Lloyd’s intent was harmless. The dissent

would find harmless error because it considers the jury’s apportionment of

100% of the fault to the Decedents to be conclusive proof that “if the jury had

to assign some percentage of negligence to Lloyd,” the finding that each

                                       - 15 -
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Decedent was “more than 50% causally negligent would remain unaffected,

thereby precluding any recovery.” Dissenting Opinion at 10 (emphasis in

original).

      The difficulty is that the trial court wrongly allowed the jury to reconsider

whether Lloyd was negligent and find that he was not negligent, when he had

already been convicted of voluntary manslaughter. Unlike the dissent, we are

not convinced that the jury’s subsequent apportionment of “causal negligence”

was unaffected by that error. We thus respectfully believe the better course

is to remand for a new trial.

      B. Whether Haydn and the Outdoorsman are Liable

      Appellants argue that Lloyd’s criminal conviction established that Haydn

and the Outdoorsman also were negligent. We disagree.

      To establish Haydn was liable, Appellants had to prove that Haydn had

control over the firearm and knew or should have known that Lloyd intended

to create an unreasonable risk of harm. See Restatement (Second) of Torts §

308. To establish the Outdoorsman was liable, Appellants had to establish that

Lloyd was an employee and was acting within the scope of his employment

when he shot Appellants. Costa v. Roxborough Mem. Hosp., 708 A.2d 490,

493 (Pa.Super. 1998) (noting “employer is held vicariously liable for the

negligent acts of his employee which cause injuries to a third party, provided

that such acts were committed during the course of and within the scope of

the employment”). Therefore, Appellants needed to prove additional facts,

                                      - 16 -
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beyond Lloyd’s negligence, by a preponderance of the evidence to establish

Haydn and/or the Outdoorsman were liable.7

       C. Whether the Court Properly               Instructed    the   Jury    on
          Comparative Negligence

       In their third argument, Appellants argue that the trial court erred when

it allowed the jury to determine comparative negligence, even though Lloyd

had been found guilty of committing an intentional shooting without

justification. Appellants argue that where a defendant acts recklessly or

intentionally, the contributory negligence of the plaintiffs is not at issue. They

maintain that, because the jury in the criminal trial had found Lloyd acted

intentionally, whether plaintiffs were contributorily negligent was not at issue

in the civil trial. According to Appellants, the Decedents’ actions, including

their alleged trespassing, their positioning of their vehicle, and possessing a

firearm, had been fully litigated in the criminal case, and such evidence should

have been inadmissible in the civil case, as admitting it gave Lloyd “another

bite at the apple.” Appellants’ Br. at 52.

____________________________________________

7 In a new trial, the jury will be informed that Lloyd was, in fact, negligent.
With this finding, a jury could reach a different result as to the Outdoorsman,
that is, it could find that Lloyd was an employee of the Outdoorsman and
acting within the scope of his employment when his negligence occurred.
Therefore, although we decline to find that the Outdoorsman is liable as a
matter of law, we conclude that a new trial as to the Outdoorsman is required
to determine whether it is vicariously liable.

As discussed below, we conclude the trial court did not err in entering a
directed verdict in favor of Haydn. Therefore, Haydn’s liability will not be at
issue in a second trial.

                                          - 17 -
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      Appellants further argue that the causes of action asserted against

Haydn and the Outdoorsman concerned the information Haydn and the

Outdoorsman had received about Lloyd, and the Decedents’ actions on the

day of the shooting were irrelevant to those questions. Appellants conclude

that it was error to permit the issues of comparative negligence to go to the

jury, and to allow evidence that would establish comparative negligence.

      As noted above, the trial court concluded that the issue of comparative

negligence was not before the criminal jury, and therefore the civil jury should

be permitted to determine whether the Decedents were comparatively

negligent. We agree.

      Like the plaintiffs in Folino, Appellants here must still prove causation.

Certainly, Folino rested its decision on the fact that the prior conviction there

established negligence per se, which only entitles the plaintiff to a finding of

negligence, and does not pertain to causation. Nevertheless, Appellants find

themselves in the same boat because the only pertinent facts necessarily

proven in Lloyd’s criminal case were that he killed the Decedents, and that he

acted with the intent to kill and with an unreasonable belief that he needed to

act in self-defense. Because causation was still at issue in the civil case, it was

an open question whether the Decedents’ actions were a substantial factor in

causing the harm. Hence, whether Lloyd’s liability should be reduced by any

negligence of the Decedents was properly before the jury. The trial court

therefore did not err in denying the motion to preclude evidence of the

Decedents’ actions on the day in question.

                                      - 18 -
J-A25022-19; J-A25023-19

    II.     Grant of Motion of Nonsuit in Favor of Haydn

          Appellants next argue that the trial court erred in granting Haydn’s

motion for nonsuit. They assert that the evidence established that the

Outdoorsman owned the weapon used in the killings and Haydn had reason to

believe Lloyd was not a person who should have access to a firearm. On this

basis, Appellants argue that because the Outdoorsman owned the firearm,

and Haydn was its president, the Outdoorsman and Haydn each had a duty to

ensure that Lloyd did not use the gun. Appellants maintain that “[t]here [was]

no doubt [Lloyd] was an illegal drug user . . . and, as such, access to the

firearm would have to be restricted.” Appellants’ Br. at 42.

          Appellants further argue that Haydn knew of Lloyd’s “dangerous

propensities,” noting the trial testimony regarding Lloyd’s actions that caused

neighbors to call the police or to express concern to Haydn. Id. Appellants

conclude that there was direct and circumstantial evidence that Lloyd “was a

feeble minded adult as defined by the case law of the Commonwealth” and

evidence Haydn knew of the cognitive disability and mental capacity that

rendered Lloyd unfit to use a gun.8 Id. at 49.

____________________________________________

8  In the argument section for this issue, Appellants flatly claim that it was
reversible error for the trial court to “preclude[] [Appellants’] ATF expert from
testifying in total upon this and other pertinent issues as to all [Appellees’]
liability.” Appellants’ Br. at 40. However, they fail to present any developed
argument on this issue, and therefore have waived it. Commonwealth v.
Beshore, 916 A.2d 1128, 1140 (Pa.Super. 2007) (finding waiver where
appellant presented no argument or citation to the record to support the
argument).

                                          - 19 -
J-A25022-19; J-A25023-19

      “A trial court may enter a compulsory nonsuit on any and all causes of

action if, at the close of the plaintiff’s case against all defendants on liability,

the court finds that the plaintiff has failed to establish a right to relief.”

Scampone v. Highland Park Care Ctr., LLC, 57 A.3d 582, 595 (Pa. 2012)

(citing Pa.R.C.P. 230.1(a), (c)). We will affirm an entry of a compulsory

nonsuit “only if no liability exists based on the relevant facts and

circumstances, with appellant receiving ‘the benefit of every reasonable

inference and resolving all evidentiary conflicts in [appellant’s] favor.’” Id. at

595-96 (quoting Agnew v. Dupler, 717 A.2d 519, 523 (Pa. 1998)).

      The claim against Haydn relied on the Restatement (Second) of Torts, §

308, which Pennsylvania has adopted. Wittrien v. Burkholder, 965 A.2d
1229, 1233 (Pa.Super. 2009). Section 308 provides:

         § 308 Permitting Improper Persons to Use Things or Engage
         in Activities

         It is negligence to permit a third person to use a thing or to
         engage in an activity which is under the control of the actor,
         if the actor knows or should know that such person intends
         or is likely to use the thing or to conduct himself in the
         activity in such a manner as to create an unreasonable risk
         of harm to others.

Restatement (Second) of Torts § 308. A comment to Section 308 provides:

         b. The rule stated in this Section has its most frequent
         application where the third person is a member of a class
         which is notoriously likely to misuse the thing which the
         actor permits him to use. Thus, it is negligent to place
         loaded firearms or poisons within reach of young children or
         feeble-minded adults. The rules also applies, however,
         where the actor entrusts a thing to a third person who is not
         of such a class, if the actor knows that the third person
         intends to misuse it, or if the third person's known character

                                      - 20 -
J-A25022-19; J-A25023-19

          or the peculiar circumstances of the case are such as to give
          the actor good reason to believe that the third person may
          misuse it.
Id. at § 308, comment b.

      In Wittrien, this Court concluded the trial court did not err in granting

summary judgment to the parents of an adult son on a negligence claim. 965
A.2d at 1233. The court assumed as true the facts alleged by the plaintiff,

which included that the parents knew their 20-year-old son had violent

propensities, was violent when he drank, and had a history of violent behavior;

the parents had previously confiscated the son’s gun, before returning it to

him; the father feared for his safety; and the parents knew of the son’s

communications with hate groups, convictions for assault, drinking problems,

and violent propensities. Id. at 1231. In finding entry of summary judgment

in favor of the parents proper, we reasoned that the parents did not have

control of the firearm and there was no evidence the son had a cognitive

disability:

          [T]he adult son . . . was in lawful and exclusive possession
          of the gun from the time of its purchase until the time of the
          shooting, with one exception. [The parents] confiscated the
          gun nine months before the shooting for a short period of
          time after [the son] threatened suicide. [The parents]
          returned the gun to [the son], at [the son’s] request,
          approximately five to seven months prior to the shooting.
          Thus, the record fails to reflect evidence that [the parents]
          had the right to control the gun at the date of the shooting.
          [The parent’s] temporary confiscation of the gun in an
          emergency situation fails to support a conclusion that [the
          son] had the right to use the gun “only by the consent” of
          [the parents]. Furthermore, though the record reflects
          evidence of [the son’s] violent propensities and bigotry,
          there is no evidence of any cognitive disability that would

                                      - 21 -
J-A25022-19; J-A25023-19

         render him a “feebleminded adult” whose mental capacity is
         commensurate with that of a young child. Appellant’s failure
         to establish that [the parents] had the right to control the
         firearm that was in the possession of their adult son is fatal
         to his argument on appeal.
Id. at 1233 (citations omitted).

       Here, the trial court concluded that there was no evidence that Lloyd

was “feebleminded” or had the mental capacity of “a young child.” 1925(a)

Op. at 9. We agree. Even if the Outdoorsman owned the firearm, Appellants

did not present sufficient evidence to establish Lloyd had the right to possess

or use the firearm only by consent of Haydn, or that Haydn knew or should

have known that Lloyd intended to or was likely to use a firearm to create an

unreasonable risk of harm to others. See Restatement (Second) of Torts §

308.

   III. Motion to Quash and/or for Protective Order

       Appellants argue that the trial court erred when it granted the motion

to quash subpoena and the motion for protective order. Appellants contend

that Dr. Shovlin’s deposition testimony contradicts statements he made in

police reports. They argue the deposition was “just days before trial,” and Dr.

Shovlin was “in good health and sound mind.” Appellants’ Br. at 58. They

argue that it “would not have caused any unreasonable annoyance,

embarrassment, oppression, burden or expense to have Dr. Shovlin appear at

trial for his testimony.” Id. They argue Dr. Shovlin could provide testimony

regarding Lloyd’s behavior and whether Haydn knew of the need to control

Lloyd. Because we are remanding, we decline to address this issue.

                                     - 22 -
J-A25022-19; J-A25023-19

   IV.   Evidence of Prior Bad Acts

      Appellants next argue that the trial court erred when it allowed evidence

of the Decedents’ prior bad acts and alleged chronic drug use to be admitted

at trial. Appellants noted that the trial court precluded the use of prior bad

acts evidence before trial and admitted evidence of Rogers’ drug use to the

extent it established chronic drug use. As to the drug use, Appellants claim

admission of evidence of drug use was highly prejudicial and there was no

evidence Rogers was impaired by the marijuana that was found in his system.

Appellants further argue there was no evidence of chronic drug use. As to the

other evidence of prior bad acts, Appellants claim the court “reconsidered” its

prior ruling and permitted Appellees to admit evidence of prior bad acts.

Appellants claim this “caused severe prejudice to [Appellants] in light of their

reliance on the trial court[’]s order excluding this evidence and [Appellants’]

not being able to bring these issues to the jury and address them head on.”

Appellants’ Br. at 61. They state they relied on the prior ruling when

formulating their trial strategy.

      Before trial, the court precluded the use of prior bad act evidence unless

it related to chronic drug use. During the trial, the court concluded that

Appellants opened the door to prior bad act evidence:

         While the court had initially precluded introduction of prior
         bad acts evidence, pre-trial, [Appellants] opened the door
         to the introduction of this evidence after bringing in
         testimony that [the Decedents] were upstanding
         individuals.

                                     - 23 -
J-A25022-19; J-A25023-19

         As to [Appellants’] complaint that the court allowed
         admission of Rogers’ drug use, the court permitted
         [Appellees] to offer limited evidence of Rogers’ medication
         drug only as to any chronic drug use.

1925(a) Op. at 6 (footnote omitted; emphasis in original).

      This Court “review[s] a trial court’s evidentiary decisions for an abuse

of discretion.” Hassel v. Franzi, 207 A.3d 939, 950 (Pa.Super. 2019)

(citations omitted). A court abuses its discretion “when the course pursued

represents not merely an error of judgment, but where the judgment is

manifestly unreasonable or where the law is not applied or where the record

shows that the action is a result of partiality, prejudice, bias or ill will.” Id.

(citations omitted).

      Evidence of prior bad acts are inadmissible to show a person acted in

accordance with a particular character trait:

         (b) Crimes, Wrongs or Other Acts.

            (1) Prohibited Uses. Evidence of a crime, wrong, or
            other act is not admissible to prove a person's
            character in order to show that on a particular
            occasion the person acted in accordance with the
            character.

            (2) Permitted Uses. This evidence may be admissible
            for another purpose, such as proving motive,
            opportunity, intent, preparation, plan, knowledge,
            identity, absence of mistake, or lack of accident. In a
            criminal case this evidence is admissible only if the
            probative value of the evidence outweighs its potential
            for unfair prejudice.

Pa.R.E. 404(b). However, evidence of chronic drug use is nonetheless

admissible in a civil trial, as it impacts life expectancy and therefore damages.

See, e.g., Pulliam v. Fannie, 850 A.2d 636, 640-41 (Pa.Super. 2004).

                                     - 24 -
J-A25022-19; J-A25023-19

        We conclude the trial court did not err in excluding evidence of the

Decedent’s bad acts but admitting evidence of chronic drugs use. See Pa.R.E.

404(b); Pulliam, 850 A.2d at 640-41. However, because we are remanding

for a new trial, and the evidence may differ or come in a different manner at

the new trial, we decline to address whether the trial court properly concluded

that Appellants “opened the door” to bad acts evidence by presenting evidence

of the Decedents’ good character.

   V.     Jury Instructions

        Appellants next claim that the trial court erred when it failed to give

requested jury instructions. They claim they submitted a comprehensive list

of instructions, some of which they say the trial court gave in modified form,

while failing to give “quite a few of the other applicable instructions requested

by [Appellants].” Appellants’ Br. at 67. Appellants state:

          Some      of    these      instructions  include:     adverse
          inference/spoliation; negligence per se in light of 18 [U.S.C.
          §] 922(g)(3); section 219 of Restatements and other
          Agency instructions; Section 231 of Restatements and/or
          subsection b and/or c; Section 321 of Restatements;
          Section 323 of Restatements; Section 308 of Restatements.
          The trial transcript will demonstrate other instructions that
          were objected to and ones that were requested by
          [Appellants], but were not given, all of which was objected
          to on the record and submitting [Appellants’] own jury
          instructions.

          Wherefore, [Appellants’] respectfully request Your Court to
          find that the trial court was in error regarding its handling
          of the jury instructions and as such remand this matter to
          the trial court with directions to conduct a new trial as to all
          Defendants and more so only in regard to damages.
Id. at 67-68 (internal string cite omitted).

                                      - 25 -
J-A25022-19; J-A25023-19

       Appellants included no individualized argument in their principal brief as

to why their instructions and the wording they proposed were necessary. In

so doing, they waived any argument as to the jury instructions. Beshore, 916
A.2d at 1140 (finding waiver where appellant presented no argument or

citation to the record to support the argument). Although Appellants provide

some additional detail in their reply brief,9 such detail does not save the claim

from waiver. See Commonwealth v. Collins, 957 A.2d 237, 259 (Pa. 2008)

(stating “[a] claim is waived if it is raised for the first time in a reply brief”).

    VI.   Denial of Motion for Directed Verdict

       Appellants claim that the court erred when it did not grant their motion

for directed verdict. They claim the court should have entered a directed

verdict in their favor because Lloyd was acting in the scope of his employment,

and because Haydn and the Outdoorsman knew that Lloyd had violent

propensities, used illegal drugs, and had mental health issues. They claim that

Haydn had control over Lloyd and that the Outdoorsman owned the firearm.

       We review a trial court’s ruling on a motion for directed verdict to

determine “whether the trial court abused its discretion or committed an error

of law that controlled the outcome of the case.” Berg v. Nationwide Mut.

Ins. Co., 44 A.3d 1164, 1170 (Pa.Super. 2012) (quoting Fetherolf v.

Torosian, 759 A.2d 391, 393 (Pa.Super. 2000)). “A directed verdict may be

____________________________________________

9 Appellees filled a motion to strike the reply brief and Appellants filed an
answer to the motion to strike and a motion to expand the word limit. We
deny the motion to strike and grant the motion to expand the word limit.

                                          - 26 -
J-A25022-19; J-A25023-19

granted only where the facts are clear and there is no room for doubt.” Id.

(quoting Fetherolf, 759 A.2d at 393). “In deciding whether to grant a motion

for a directed verdict, the trial court must consider the facts in the light most

favorable to the nonmoving party and must accept as true all evidence which

supports that party’s contention and reject all adverse testimony.” Id.

(citation omitted).

      The trial court did not abuse its discretion or err as a matter of law. As

discussed above, Appellant failed to establish that Haydn had the ability to

control the actions of his adult son. Further, although there was evidence that

Lloyd was an employee of the Outdoorsman and working at the time,

Appellees presented evidence he did not work at the gun shop, and, if he did,

he was not working that day.

   VII. Coordination and Consolidation of the Cases

      In their final issue, Appellants claim the cases should not have been

coordinated in Susquehanna County and should not have been consolidated.

      A. Coordination

      Appellants claim that the Rogers Estate case was properly initiated in

Lackawanna County, and had been in Lackawanna for over three years before

it was coordinated with the Alvarez Estate case, which had been filed in

Susquehanna County a year after the Rogers Estate filed its case. They claim

the cases should have been coordinated in Lackawanna County, rather than

Susquehanna County, as Lackawanna County would have promoted economy

to the litigants and judicial system.

                                        - 27 -
J-A25022-19; J-A25023-19

       Appellants have waived their challenge to the coordination order.

Pennsylvania Rule of Appellate Procedure 311(c) allows a party in a civil action

to take an interlocutory appeal as of right from an order “changing venue,

transferring the matter to another court of coordinate jurisdiction, or declining

to proceed in the matter on the basis of forum non conveniens or analogous

principles.” Pa.R.A.P. 311(c). The right to an interlocutory appeal under Rule

311(c) includes appeals from orders coordinating cases, pursuant to Pa.R.C.P.

213.1, as such an order effects a change of venue in at least one case. See

Washington v. FedEx Ground Package Sys., Inc., 995 A.2d 1271, 1275

n.3 (Pa.Super. 2010).10 The failure to lodge such an interlocutory appeal

constitutes waiver in any subsequent appeal of any challenge “to jurisdiction

over the person or over the property involved or to venue, etc.” Pa.R.A.P.

311(g)(1)(ii).

       The order at issue here changed venue because it transferred the Rogers

Estate’s case to Susquehanna County, and Appellants’ challenge on appeal

goes to venue as they argue Lackawanna County was a more appropriate

forum for consolidation. Because Appellants did not file Rule 311(c) appeal

from the order coordinating the cases, they have waived this issue, and we

may not entertain it now.

____________________________________________

10  See also Wohlsen/Crow v. Pettinato Assoc. Contractors &
Engineers, Inc., 666 A.2d 701, 703 (1995) (“[A]n order directing
coordination of actions in different counties [pursuant to Rule 213.1] is an
interlocutory order appealable as of right.”); Darlington, McKeon, Schuckers
& Brown, 20 West's Pa. Prac., Appellate Practice § 311:104 (2020).

                                          - 28 -
J-A25022-19; J-A25023-19

     B. Consolidation

     Appellants contend the cases should not have been consolidated

because certain evidence – such as Rogers’ drug use and the shotgun, the

placement of the vehicle and that Rogers’ lack of a license – was properly

admissible in the Rogers Estate’s case, but not in the Alvarez Estate’s case,

and was in evidence in the Alvarez case only because the cases were

consolidated.

     We review an order consolidating cases for an abuse of discretion or

error of law. Moore v. Ericsson, Inc., 7 A.3d 820, 828 (Pa.Super. 2010).

     Rule 213 provides:

        (a) In actions pending in a county which involve a common
        question of law or fact or which arise from the same
        transaction or occurrence, the court on its own motion or on
        the motion of any party may order a joint hearing or trial of
        any matter in issue in the actions, may order the actions
        consolidated, and may make orders that avoid unnecessary
        cost or delay.

Pa.R.C.P. 213(a).

     Here, the trial court concluded that it “[could not] agree that any

prejudice has occurred to either [Appellant] by consolidating the cases for

trial. Only a very small amount of evidence differed between the two cases,

and then only in the damages portion of trial.” 1925(a) Op. at 9. This was not

an abuse of discretion or error of law. The operative facts were the same in

both cases, and no undue prejudice resulted.

     Judgment entered in favor of Haydn affirmed. Judgment entered in favor

of Lloyd and the Outdoorsman vacated. Motion to strike denied and motion to

                                    - 29 -
J-A25022-19; J-A25023-19

exceed word limit granted. Application for Relief filed on January 13, 2021

denied as moot. Case remanded. Jurisdiction relinquished.

     Judge Musmanno joins the opinion.

     Judge Stabile files a concurring/dissenting opinion.

Judgment Entered.

Joseph D. Seletyn, Esq.
Prothonotary

Date: 05/11/2021

                                   - 30 -