Court Opinion

ID: 2899644
Source: CourtListenerOpinion
Date Created: 2015-09-09 00:12:23.174728+00
Date Added: 2024-06-11T11:36:58.826770
License: Public Domain

NO. 07-07-0321-CV

                            IN THE COURT OF APPEALS

                      FOR THE SEVENTH DISTRICT OF TEXAS

                                    AT AMARILLO

                                       PANEL B

                                   MARCH 11, 2009

                         ______________________________

                        BURNETT RANCHES, LTD., et al. and
                         TEXAS CHRISTIAN UNIVERSITY,

                                                             Appellants

                                           v.

                           CANO PETROLEUM, INC., et al.,

                                                             Appellees

                       _________________________________

             FROM THE 100th DISTRICT COURT OF CARSON COUNTY;

                   NO. 9840; HON. DAVID M. MCCOY, PRESIDING

                        _______________________________

                                    Opinion
                        _______________________________

Before QUINN, C.J., and CAMPBELL and HANCOCK, JJ.

      This is an appeal from summary judgments entered in favor of Cano Petroleum,

W.O. Energy of Nevada, Inc., W.O. Operating Company, Ltd., and WO Energy, Inc.,

(hereinafter collectively referred to as Cano) and against Anne Burnett Windfohr, Windi

Phillips, Ben Fortson, Jr., and Ed Hudson Jr., as trustees of the Tom L. and Anne Burnett
Trust, Burnett Ranches, Ltd., and Texas Christian University (collectively referred to as

Burnetts). The suit arose from a fire on property in which the Burnetts owned an interest.

The Burnetts raise four issues on appeal and contend that the trial judge erred in granting

summary judgment, sustaining objections to portions of their summary judgment evidence,

and failing to recuse himself.1 We reverse in part and affirm in part.

        Background

        On March 12, 2006, during a period of extremely dry weather and high winds, a fire

ignited and burned the 6666 Ranch in Carson and Hutchinson Counties. The surface of

the 6666 Ranch was owned by Anne Burnett Windfohr and the Tom L. and Anne Burnett

Trust. The mineral rights were owned by Anne Burnett Windfohr and Texas Christian

University (TCU). Burnett Ranches, Ltd. runs cattle on the property, while W.O. Operating

conducts oil and gas operations on the ranch.

        The fire was believed to have originated on a portion of the ranch near a transformer

bank servicing the operations of W.O. Operating. The Burnetts filed suit, alleging claims

in negligence and breached contract; they also sought to terminate the oil and gas lease.

Underlying their claims was the contention that Cano’s defective and improperly

maintained electrical lines caused the fire.

        1
           W ithin issue five, the Burnetts assert that the adm inistrative law judge abused his discretion in
granting a m otion to quash the deposition of Jam es Farren. However, the allegations were conclusory and
accom panied by no briefing; therefore, the com plaint was waived. See T EX . R. A PP . P. 38.1(h) (requiring a
brief to contain a clear and concise argum ent for the contentions m ade with appropriate citations to authorities
and to the record); see Croos v. M1 Real Estate Partners, Ltd., 238 S.W .3d 474, 488 (Tex.App.–Dallas 2007,
pet. denied) (stating that the failure to brief an issue results in its waiver).

                                                        2
       The trial court granted Cano’s motions for summary judgment. Consequently, it

denied the Burnetts recovery on any of their claims. This appeal ensued from that

judgment.

       Summary Judgment on Negligence

       We first address the Burnetts’ issues encompassing negligence. They believe that

the trial court erred in granting summary judgment for a myriad of reasons.2 Upon

reviewing those contentions and the summary judgment record, we conclude that this

portion of the judgment must be reversed.

       As previously mentioned, the Burnetts alleged causes of action sounding in

negligence and contract. With regard to the former, their contention had at least two

aspects. According to the allegations in the Burnetts’ live pleading, Cano purportedly

“failed to take reasonable measures to prevent fires on the premises.” They further alleged

that it “failed to prevent those fires from spreading to other Ranch property.” Given that

pleadings must be liberally construed, Horizon/CMS Healthcare Corporation v. Auld, 34
S.W.3d 887, 897 (Tex. 2000), we conclude that two negligent acts or omissions were

allegedly committed by Cano, those being that it not only acted unreasonably in causing

the fire to ignite but also in allowing it to spread once it ignited.

       One reading that motion for summary judgment would discover six genral grounds

asserted therein. They involved the allegations that 1) “Chapter 95 of the Texas Civil

Practice and Remedies Code bar[red] any recovery for property damage,” 2) [n]o

Defendant owe[d] any duty to any Plaintiff or Intervenor,” 3) “[n]o Defendant had actual

       2
           Cano filed both a traditional and no evidence m otion for sum m ary judgm ent.

                                                       3
knowledge of the danger or condition that allegedly resulted in property damage but failed

to adequately warn of it . . .,” 4) [t]he Lease [barred] any recovery in tort,” 5) no evidence

illustrated that “any Defendant had knowledge of a dangerous condition with regard to

claims of licensees or actual or constructive knowledge with regard to claims of invitees,”

and 6) no evidence showed that “the conduct of any Defendant proximately caused any

damage to any Plaintiff or intervenor.” Of those six, four focused upon a particular

“condition” that allegedly caused the fire, Cano’s responsibility for creating that “condition,”

and its obligation to become aware of and rectify it.3 Specifically, Cano posited that it did

not create the condition, had no knowledge of it, and violated no duties in failing to discover

it. So too did it believe that the existence of the “condition” did not cause the fire. Yet,

none of those four propositions encompassed Cano’s purported obligation to reasonably

prevent the fire from spreading once it began.4

        And, while it may be that the remaining two grounds (i.e. Chapteer 95 of the Civil

Practice and Remedies Code and the lease language) conceivably could be read as

encompassing the failure to act once the fire began, neither have merit. For instance,

Chapter 95 insulates a “property owner” from liability “for personal injury, death, or property

damage” suffered by “a contractor, subcontractor, or an employee of a contractor or

subcontractor who constructs, repairs, renovates, or modifies” improvements to realty.

TEX . CIV. PRAC . & REM . CODE ANN . § 95.003 (Vernon 2005). We find no evidence

illustrating that the Burnetts were contractors, subcontractors, or employees of Cano

        3
         The “condition” at issue consisted of placing a hot, uninsulated wire too close to a bare m etal guy
wire. So locating the wires allowed them to release sparks when the blowing wind allowed them to touch.

        4
         More im portantly, the Burnetts deny that they averred a claim based on prem ises liability; so, these
four grounds are irrelevant in its estim ation.

                                                      4
tasked with improving, repairing, or constructing improvements on the land when the fire

arose. So, Chapter 95 is inapplicable.

       Similarly inapplicable is the lease wording invoked by Cano to bar recovery. Per the

document, the parties agreed that the “party of the second part [i..e. Cano] and its assigns

shall pay all damages occasioned to fences or gates or any other part of the premises by

any willful act on the part of its servants or employees.” According to Cano, this verbiage

restricted its liability to damage arising solely from the willful conduct of its employees or

servants. Such a construction of the passage, however, is unreasonable given its context.

For example, to be willful, one must be more than negligent. Michels v. Boruta, 122
S.W.2d 216, 220 (Tex. Civ. App.–Eastland 1938, no writ). That is, he must act with

purpose and design. Id.; accord Morrone v. Prestonwood Christian Academy, 215 S.W.3d
575, 582-83 (Tex. App.–Eastland 2007, pet. denied) (noting that willful means intentional

or, at least, connotes such an entire want of care so as to raise a belief that the act or

omission was the result of a conscious indifference to the right or welfare of others). On

the other hand, negligence encompasses no such mens rea, but rather the failure to act

reasonably under the circumstances then present. See id. Indeed, negligent and willful

conduct have been viewed as “opposites of each other.” Michels v. Boruta, 122 S.W.2d

at 220. This is of import here because under the lease, the original lessee obligated itself

and its assigns to “exercise reasonable care to prevent damage to the grass or other

property on said land.” In other words, Cano agreed to not act negligently when it came

to pursuing conduct that may damage the Burnetts’ property. Yet, if the lessee was only

obligated to avoid willfully damaging the Burnetts’ property, as suggested by Cano, then

                                              5
the provision obligating it to act without negligence would be meaningless. Simply put, one

would be left to wonder why the lessee agreed to act reasonably if it was only responsible

for willful acts or omissions. So, because we generally cannot interpret one contractual

provision in a way that nullifies another, see Seagull Energy E & P, Inc. v. Eland Energy,

Inc., 207 S.W.3d 342, 345 (Tex. 2006), Cano’s interpretation of the lease provision is

inaccurate.

       Another reason exists to support our conclusion. One must remember that the

common law generally insulated an employer from liability for the willful or intentional acts

of its servants or employees. See e.g., Soto v. El Paso Nat. Gas Co., 942 S.W.2d 671,

680-81 (Tex. App.–El Paso 1997, writ denied) (indicating that intentional torts are not

ordinarily within the scope of an employee’s authority and, therefore, unattributable to the

employer). The provision relied upon by Cano obviously overrides that rule of law, which

the parties can do by contract. See id.

       Given these two observations and the rule of construction obligating us to read a

contract in a way that gives life to all its wording when possible, Seagull Energy E & P, Inc.

v. Eland Energy, Inc., 207 S.W.3d at 342, we find only one reasonable construction of the

clause at issue. Rather than limit Cano’s liability to only willful acts, it expands its liability

to include damages arising from both negligent and willful conduct.

       In sum, the allegation that Cano was negligent in failing to prevent the fire from

spreading was either unaddressed in or outside the scope of each ground mentioned in

its motion for summary judgment. Thus, the trial court had no authority to grant it. See

City of Pasadena v. State ex rel. City of Houston, 442 S.W.2d 325, 330 (Tex. 1969).

                                                6
       As for the allegation that Cano was negligent in preventing the fire from igniting in

the first place, we conclude that entry of summary judgment was also inappropriate. This

is so for the following reasons. First, it sought to defeat liability by contending that it

retained an independent contractor, Kel-Tex Electric, Inc., to build and connect the

electrical lines in question. And, since it purportedly exercised no control over the manner

in which the independent contractor performed, it was not responsible for the contractor’s

negligence. See Fifth Club, Inc. v. Ramirez, 196 S.W.3d 788, 791 (Tex. 2006) (holding that

one does not have a duty to assure that an independent contractor performs his work

safely). Yet, while Cano may have proffered evidence illustrating that it retained Kel-Tex

to perform its electrical work, other evidence raises questions as to whether Kel-Tex did

so. Thus, there exists a question of fact regarding Kel-Tex’s involvement. Yet, Cano

deemed this fact question unimportant because it believed that other “undisputed”

evidence established that, irrespective of which independent contractor actually built the

lines, it (Cano) did not. And, to support that contention, it tendered statements and data

garnered from its employees and officers. The type of evidence submitted, however, is of

concern.

       Given the employment relationship between those providing the evidence and Cano,

one can reasonably conclude that the former may have an interest in shielding the latter

from liability. Moreover, while it may be that those interested witnesses clearly assert that

Cano hired independent contractors to do the work in question, Cano representatives also

named Kel-Tex as that contractor. So, if the latter proposition is wrong and Kel-Tex did not

do the work, the accuracy of Cano’s overall assertion of non-involvement may be placed

in question. That is, it may not be farfetched for a jury to reasonably conclude that if Cano

                                             7
was mistaken about one thing, it may be mistaken about other closely related matters. So,

the credibility and reliability of those Cano witnesses uttering favorable comments

regarding the retention of independent contractors is in play. And, because that is so, their

evidence does not support the entry of a summary judgment. See TEX . R. CIV. P.166a(c)

(stating that summary judgments may be granted upon the testimony of interested

witnesses only when that testimony is clear, positive, direct, credible, free from

inconsistencies and contradictions, and readily controvertible).

       Second, the evidence cited to us by Cano purports to establish that it exercised no

control over the operations of the supposed independent contractor. Yet, that alone does

not necessarily free it from liability. One hiring such a contractor may be responsible for

its wrongs not only if it exercised control over the contractor’s work, but also if it retained

the right or power to control the manner in which the work was performed and failed to

exercise reasonable care in supervising the contractor. Clayton W. Williams, Jr., Inc. v.

Olivo, 952 S.W.2d 523, 528 (Tex. 1997). As stated in Clayton W. Williams, Jr., Inc. v.

Olivo, “[i]t is typically the general contractor’s right of control over the injury-causing activity

. . . that gives rise to a duty to ensure that the independent contractor performs . . . safely.”

Id. (Emphasis added). If there is “no contractual right to control, however, the general

contractor can be liable if it actually exercised control . . . . .” Id.

       Given Clayton, there are two ways in which Cano could be held responsible for the

acts of the supposed independent contractor that installed the electrical lines. But, it

asserted and cited us to evidence touching upon only one, i.e. the absence of control.

That it had no right to control the alleged independent contractor, irrespective of whether

                                                 8
it exercised that right, was not established as a matter of law, according to that evidence

to which we have been cited. So, Cano failed to prove that it was insulated from liability

simply because it allegedly hired an independent contractor to build the electrical lines.

TEX . R. CIV. P. 166a(c) (authorizing summary judgment if the movant establishes its

entitlement to same, as a matter of law).

        As for the summary judgment ground regarding causation, Cano asserted that no

evidence illustrated that the defective wiring proximately caused the fire. To rebut this, the

Burnetts tendered the affidavits of two experts who attested that the messenger wire

assembly ignited the fire.5 Those opinions arose from the juxtaposition of the improperly

electrified messenger wire to the grounded guy wire, signs of arcing caused by the two

wires touching each other, the presence (at the time of the fire) of wind speeds sufficiently

high to cause the messenger and guy wires to come in contact, the emission of sparks (i.e.

molten metal) when the two wires came into contact, and the presence of dry foliage on

the ground. Moreover, at least one expert considered and then rejected other potential

causes of the fire. These opinions constitute some evidence sufficient to raise a material

issue of fact regarding whether the manner in which the electrical lines were built was a

cause-in-fact of the blaze.

        And, that sparks may emanate from a bare, electrified wire touching grounded metal

is common sense, a matter of common experience, and reasonably foreseeable. That this

is so is best illustrated by recalling what happens when the red lead of a battery charger

        5
          Cano com plains of the trial court’s decision to adm it this particular testim ony since the individuals
allegedly failed to qualify as experts. The trial court overruled those com plaints, and we conclude that it did
not abuse its discretion in doing so, given the education, expertise, investigation, and experience of the
witnesses.

                                                        9
is mistakenly placed on the black (grounded) terminal of a car battery.                              Similarly

foreseeable and a matter of common experience or knowledge is the likelihood that sparks

can ignite dry, combustible materials, like grass. Simply asking a boy scout how to start

a campfire in the wilderness reveals this to be true. So, some evidence appears of record

satisfying both elements of proximate causation and tying the electrified messenger wire

to the fire.6 See McClure v. Allied Stores of Texas, Inc., 608 S.W.2d 901, 903 (Tex. 1980)

(holding that proximate cause has two components, cause-in-fact and reasonable

foreseeability).

        As for the remaining grounds for summary judgment uttered by Cano, they pertained

to theories of premises liability. We need not consider them, however. As previously

mentioned, the Burnetts conceded that they were not pursuing such a cause of action.

        Finally, the appellate contention that a non-operator, such as Cano, owed no duty

to the Burnetts was not included as a ground for summary judgment on the negligence

claims. And, that Cano asserted it owed “no duty” to the Burnetts did not fill the void. This

is so because the latter allegation was based upon Cano’s purported hiring of an

independent contractor to install the electrical lines and the insulation from liability garnered

under that circumstance. Nothing was said about Cano being a non-operator. So, since

the allegation was not raised below, it cannot support summary judgment on appeal. TEX .

R. CIV. P. 166a(c) (stating that summary judgment shall issue if there exists no genuine

issues of material fact and the movant establishes as a matter of law its entitlement to

        6
          W e further note that this ground for sum m ary judgm ent did not test whether evidence existed
establishing the causal link between the Burnetts’ injury and Cano’s purported failure to reasonably curtail the
fire’s spread once it started. So it cannot be the basis for sum m ary judgm ent on that aspect of the Burnetts’
negligence claim .

                                                      10
judgment “on the issues expressly set out in the motion or in an answer or any other

response”); see City of Pasadena v. State ex rel. City of Houston, 442 S.W.2d at 330

(stating that summary judgment cannot be affirmed on a ground omitted from the motion).

        For the reasons stated above, we conclude that Cano was not entitled to summary

judgment on the claims of negligence. Thus, the trial court harmfully erred in granting it.

        Summary Judgment on Breach of Contract

        Next, we consider whether summary judgment was appropriate on the Burnetts’

contractual claims. Again, the live petition before us contained causes-in-action sounding

in tort and breach of contract. Through the latter, Burnett sought to terminate the mineral

lease because Cano failed to exercise reasonable care to prevent damage to the grass

and property on the land and surrender possession of the surface and mineral interests

upon termination of the lease. Those obligations were purportedly contractual.7 And,

because they went unfulfilled, the lessor or their successors allegedly could terminate the

lease per another clause of the lease.8

        Cano attempted to defeat the assertion by moving for summary judgment. Though

its motion included both traditional and no-evidence grounds, most involved the issue of

whether the Burnetts provided the requisite notice and opportunity to cure. Yet, grounds

        7
        Again, the parties had “stipulated” in the lease that the lessee and its assigns would “exercise
reasonable care to prevent dam age to the grass and other property on said land.”

        8
            The clause stated that the “failure” of the lessee to:

        keep and observe the term s, covenants, conditions, and requirem ents, or any one of them ,
        . . . shall entitle the [lessor or Burnett] . . . at his option, at the tim e of the breach, or at any
        tim e thereafter, to term inate this contract . . . without notice of any kind, Provided [sic] . . . that
        before advantage is taken of any such breach that notice thereof shall be served on [the
        lessee] . . . and reasonable tim e allowed within which to correct the conditions of which
        com plaint is m ade.

                                                          11
encompassing other argument were also alleged. For instance, Cano had averred that a

“one-time event, such as a fire, is not a remediable event and does not support termination

under the terms of the Lease . . . [but rather] if anything, a claim for damages.” Despite its

inclusion, the Burnetts did not address it on appeal. Nor did the trial court specify any

particular grounds as the basis for its decision to grant the summary judgment. Under

these circumstances, the Burnetts had the duty to explain why none of the grounds

mentioned in the motion warranted summary judgment. Aust v. Conroe I.S.D., 153 S.W.3d
222, 226 (Tex. App.–Beaumont 2004, no pet.) (stating that when the trial court grants

summary judgment without specifying the grounds, the appellant must show it was error

to base the judgment on any ground asserted in the motion); Lyco Acquisition 1984 Ltd.

Partnership v. First Nat’l Bank, 860 S.W.2d 117, 119 (Tex. App.–Amarillo 1993, writ

denied) (stating the same). And, because it did not, we overrule the issue.

       Excluded Evidence

       Next, the Burnetts complain of the trial court’s decision to exclude certain summary

judgment evidence. We overrule the issue.

       First, we examine the decision to exclude evidence provided by Scott White, Tommy

Hefner, and Joe Leather. Cano alleged various grounds purportedly rendering that

evidence inadmissible. The trial court sustained Cano’s objections but again failed to state

the basis for its decision. And, while the Burnetts addressed some of the grounds

underlying Cano’s objections, they did not explain or tender argument illustrating why all

were deficient. Rather, they simply concluded that they were baseless. Such an argument

does not satisfy the requirements of Texas Rule of Appellate Procedure 38.1(h). In the

                                             12
Interest of M.J.G., 248 S.W.3d 753, 760-61 (Tex. App.–Fort Worth 2008, no pet. h.)

(holding that conclusory or unexplained arguments without substantive analysis do not

satisfy the requirements of Rule 38.1(h) and result in the waiver of the issue). Therefore,

the contentions were waived.

       The same is true regarding 1) the comments by Jeffrey Johnson and John Lacik,

and 2) the Cano press release. The Burnetts’ argument again is conclusory and cites no

legal authority supporting their position. Nor did their argument address all grounds urged

by Cano as rendering the evidence inadmissible, such as that implicating Texas Rule of

Evidence 403 (permitting a trial court to exclude evidence when its relevance is

substantially outweighed by the risk of undue prejudice as well as the risk of confusing or

misleading the jury, among other things). Thus, their effort fell short of establishing why

the trial court’s decision to exclude the evidence constituted an abuse of discretion. See

Texas Dep’t of Transp. v. Able, 35 S.W.3d 608, 617 (Tex. 2000) (holding that the decision

to admit or exclude evidence is tested against the standard of abused discretion); Duerr

v. Brown, 262 S.W.3d 63, 69 (Tex. App.–Houston [14th Dist.] 2008, no pet.) (requiring the

appellant to illustrate why no ground supported the trial court’s exercise of discretion).

       Third, the trial court excluded, as unauthenticated, a writing and recording from

Cano’s website. Counsel for the Burnetts attested that the former was a “true and correct

copy of Cano Petroleum’s Environmental Overview printed from its website” and the latter

was “a true and correct copy of excerpts from AMEX TV Interview of S. Jeffrey Johnson

obtained from Cano’s website.” So identifying the former was sufficient to establish its

authenticity in Daimler-Benz v. Olson, 21 S.W.3d 707, 717 (Tex. App.–Austin 2000, pet.

                                             13
dism’d w.o.j.) (wherein the affiant attested that the documents were true and accurate

copies of the originals). Yet, the affiant here did not establish that the website from which

he secured the document was actually that of Cano. Indeed, most anyone with knowledge

of the internet may be able to create a website. And, while it may be arguable that most

information found on the internet is what it purports to be, we cannot simply assume that

all of it is. Also missing from the affiant’s comments were statements revealing that he

knew or recognized the voice of Jeffrey Johnson and that the voice excerpts captured from

the website were actually those of Johnson. Consequently, we cannot say that the trial

court abused its discretion in excluding the items as unauthenticated. See Amis v. State,

910 S.W.2d 511, 516 (Tex. App.–Tyler 1995, writ ref’d) (holding that the recorded message

was not properly authenticated since the witness attempting to authenticate it could not

conclusively identify appellant’s voice).

       Fourth, the trial court erred in refusing to allow the late designation of Jay Baze and

Roy Tarpley as experts on the causes of fires, according to the Burnetts. This was

allegedly so because Cano would suffer no prejudice or unfair surprise. Yet, the order

signed by the trial judge did not state that it ruled as it did simply because of prejudice or

surprise. Indeed, it may well have relied on the witnesses’ own testimony in denying them

that status. The record reveals that neither Baze nor Tarpley considered themselves

experts in the area of what causes fires due to their training, experience or lack thereof.

Given this, we cannot say that the trial court abused its discretion in denying the Burnetts

opportunity to belatedly designate the two as experts.

                                             14
       Recusal

       Finally, the Burnetts objected to the order denying its motion to recuse the trial

judge. Allegedly, recusal was appropriate once the trial judge disclosed his “animosity”

towards an expert witness retained by the Burnetts. This purported “animosity” was

disclosed after the trial court convened its hearing on the summary judgment motions in

question. We overrule the issue.

       The record reveals that the Burnetts did not move to recuse the trial judge

immediately after they discovered the aforementioned ground. Rather, they continued with

the summary judgment hearing. So too did they later agree to submit to a special master

the question of whether the testimony of the expert in question was admissible.

Conceivably, this procedure could or would insulate the decision to either permit or disallow

his testimony from potential bias and, that way, the existing trial judge could continue to

preside over the matter.

       Authority holds that a motion to recuse should be filed at the earliest practicable

time after the grounds for recusal become known to the parties. Carmody v. State Farm

Lloyds, 184 S.W.3d 419, 422 (Tex. App.–Dallas 2006, no pet.). Given that the Burnetts

delayed in seeking the trial judge’s recusal and actually took steps to retain him after the

latter revealed his supposed “animosity,” the regional presiding judge who ultimately

refused to order recusal could have legitimately deemed the motion as untimely. And,

because he could have, we will not disturb the decision.

       While other matters and contentions were asserted by the parties in their respective

briefs, the resolution of those contentions is not necessary to the disposition of this appeal.

Accordingly, we will not address them. And, upon addressing those which are necessary

                                              15
to a final disposition, we reverse that portion of the summary judgment denying the

Burnetts recovery on their claims of negligence, remand that portion of the suit to the trial

court, and affirm the remainder of the judgment.

                                                  Brian Quinn
                                                  Chief Justice

                                             16