De Vera v. Long Beach Public Transportation Co.
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Full Opinion
Opinion
Defendant Long Beach Public Transportation Company appeals from a judgment awarding plaintiff Federico De Vera $17,500 as *789 damages for injuries he sustained when another motor vehicle ran into the rear end of defendantâs bus. The fundamental question presented by defendantâs appeal is whether a common carrier owes a duty to its passengers to investigate an accident caused by a third party for the purpose of facilitating a claim by the passenger against the third party tortfeasor. We hold that it does, and affirm the judgment.
In a consolidated appeal, plaintiff appeals from an order made after judgment denying his motion for relief pursuant to Code of Civil Procedure section 473 from an award of attorney fees made pursuant to Code of Civil Procedure section 128.5. We affirm the order.
Facts
Plaintiff sustained injuries when a bus owned and operated by defendant was rear-ended by a vehicle owned and operated by a third party. He filed a complaint alleging, inter alia, that defendant, through its employees, ânegligently lost or failed to obtain the identity of the motor vehicle and its driver that rear-ended or otherwise collided with defendantâs bus in which plaintiff was a passenger on September 7, 1982.â Plaintiff alleged that defendant âowed a legal duty to plaintiff to obtain and safekeep this information about the other vehicle and its driver in order that plaintiff could recover against said parties for his personal injuries and other losses sustained as a proximate result of the aforesaid collision. Defendantâs representatives had ample opportunity to obtain the needed identifying information and at all times knew or should have known that plaintiff was relying on defendants to obtain and safekeep this information. As a proximate result of defendantsâ aforesaid negligence, plaintiff has been deprived of pursuing a claim against the driver of the other motor vehicle and other related parties involved in the collision .... Defendants are, therefore, legally liable to plaintiff for what plaintiff would have been entitled to receive from the other parties had defendants obtained the aforementioned information.â
At the outset of the trial, and out of the juryâs presence, the court ruled that âthe bus company, as a common carrier and because [plaintiff] was a passenger on its bus, did have a special relationship with [plaintiff].â This ruling was thereafter treated by the court and both parties as establishing a duty on the part of defendant to investigate the accident and to preserve the fruits of its investigation for the purpose of assisting plaintiff in future civil litigation.
In the course of the trial, the parties presented conflicting evidence as to the events immediately following the collision. Plaintiffâs witness, Jacqueline Lang, testified that she was seated toward the rear of the bus when it *790 was rear-ended by a pick-up truck, that the bus driver left the bus and spoke with the driver of the pick-up, then returned to the bus and obtained a pen, following which he resumed his conversation with the other driver, apparently exchanging information with him. Plaintiff also testified that the driver left the bus and spoke with the truck driver.
The bus driver, Aubra Alan Cowell, testified that his investigation revealed only that the bus was struck by a large Buick, which failed to stop, and that he therefore failed to obtain any information as to the identity of its driver.
Cowell testified that he radioed his dispatcher to report the accident while still on the scene, and filled out an accident report describing the other driver as âunknown,â upon his return to the yard. Cowell testified that he was not asked by any of the bus passengers to obtain information relating to the other driver, that he did not tell any of the passengers that he was collecting such information, and that none of the passengers stated that they were relying on him to obtain such information. He stated that he did obtain five or six courtesy cards from potential witnesses which he delivered to his dispatcher along with his accident report at the end of his shift.
Plaintiff testified that he did not perceive the bus driver as collecting information on plaintiffâs behalf.
On the day following the accident, and again approximately two weeks later, the passenger, Lang, was told by defendantâs representatives that the company had not received an accident report.
Plaintiffâs daughter-in-law took him to defendantâs office the day following the accident. The person they spoke with suggested that plaintiff see a doctor, and gave him the name and either the telephone number or the address of a person to contact concerning the accident.
Defendantâs answers to certain interrogatories were read to the jury. Asked whether the accident was reported to defendant or its agents or employees by persons other than plaintiff or those acting on his behalf, defendant responded that the occurrence was reported by one Jackie Brusard (Lang) to defendantâs agent, Carl Warren and Company, on September 9, 1982. Asked whether one of its buses traveled a route including Pacific Avenue at 21st Street in September 1982, and to furnish the names of all drivers who drove the route during that month, defendant objected to the interrogatories on the grounds that they were not reasonably calculated to lead to the discovery of admissible evidence, were too broad in terms and scope, *791 unduly burdensome, oppressive, annoying, and called for information of little or no practical benefit to plaintiff.
A letter of May 23, 1983, from Carl Warren and Company to plaintiffâs counsel, regarding the subject accident, was read to the jury, as follows: âSince our last correspondence with your office, we have conducted an exhaustive effort with regard to locating any information on the above-captioned incident. [1Ă] We have again been in contact with [defendant] and have been advised they can find no record of this incident ever occurring. We have also checked with regard to the description of the bus driver, but they find they have no record of a driver fitting this description driving in the accident area at that time. Furthermore, we have been advised that [defendant] cannot even place a bus in the accident location at the time indicated. [H] In an effort to assist you in this matter, we subsequently were in contact with the RTD, OCTD and Torrance Transit System, all of whom [szc] sometimes operate buses in the Long Beach area, but have found none have a record of this incident. After a careful review of this matter, we are of the opinion that it is a case of no legal liability on the part of [defendant]. In the absence of legal liability, we would not be justified in recommending any settlement and we hereby respectfully deny the claim in its entirety. [K] As you know, we have been attempting to locate information on this matter since September 1982. Unless your client can provide additional information, such as a bus driver, plus vehicle number, et cetera, we have no alternative but to stand firm on our denial, since we have no evidence to connect [defendant] to the incident. We are sorry we cannot be of more assistance to you in this matter.â
The jury was instructed, in part, as follows:
âIn this action, the plaintiff has the burden of establishing by a preponderance of the evidence all of the facts necessary to prove the following issues:
â 1. That the defendant, the Long Beach Public Transportation Company, or its employee bus driver, were negligent in conducting an investigation to obtain information relating to the driver and vehicle that rear ended the bus, or
â2. That the defendant, Long Beach Public Transportation Company and/or its employees were negligent in that after obtaining the information [they] either lost, misplaced, destroyed or refused to disclose the information to the plaintiff.
â3. The nature and extent of plaintiffâs damages.â (BAJI No. 2.60.)
*792 The jury was also instructed that the defendant was a common carrier operating a bus on which the plaintiff was a passenger for hire (BAJI No. 6.50), and that âa common carrierâs duty to investigate is one of ordinary and reasonable care.â
On June 12, 1984, the jury returned its verdict awarding plaintiff damages in the amount of $17,500. Following denial of its motion for new trial on September 6, 1984, defendant filed a timely notice of appeal on September 25, 1984.
On October 9, 1984, plaintiff served a writ of execution on defendant. Defendantâs ex parte application to quash the writ on the ground that defendant is a public entity against which a writ of execution may not issue was granted on November 20, 1984. Defendant was awarded attorney fees in the amount of $ 1,000 pursuant to the provisions of Code of Civil Procedure section 128.5.
Thereafter, plaintiff sought relief from the order granting attorneys fees on the ground that it resulted from surprise, mistake, and excusable neglect on the part of plaintiffâs counsel. (Code Civ. Proc., § 473.) This motion was denied on February 5, 1985. Plaintiffâs notice of appeal was timely filed on February 22, 1985.
The appeals have been consolidated.
Discussion
Defendantâs Appeal
The Common Carrierâs Duty
Defendant contends the judgment must be reversed because defendant is a public corporation and plaintiff failed to establish a statutory basis for imposition of liability upon it. It is settled that the liability of a common carrier to its passengers is the same whether the carrier is a public or a private entity. (Lopez v. Southern Cal. Rapid Transit Dist. (1985) 40 Cal.3d 780, 785 [221 Cal.Rptr. 840, 710 P.2d 907].) The carrierâs duty is described in Civil Code section 2100, which provides: âA carrier of persons for reward must use the utmost care and diligence for their safe carriage, must provide everything necessary for that purpose, and must exercise to that end a reasonable degree of skill.â This standard is set forth in BAJI No. 6.51, which was given to the jury.
Defendant contends the trial court erred in ruling that a common carrier has a special relationship with its passengers giving rise to a duty *793 to investigate and to assemble evidence for future civil litigation. Defendant urges this court to adopt the analysis applied to the duty of a police officer in Williams v. State of California (1983) 34 Cal.3d 18 [192 Cal.Rptr. 233, 664 P.2d 137]. The Williams court stated: â[Although âno special relationship may exist between members of the California Highway Patrol and the motoring public generally, or between the Patrol and stranded motorists generallyâ [citation], when the state, through its agents, voluntarily assumes a protective duty toward a certain member of the public and undertakes action on behalf of that member, thereby inducing reliance, it is held to the same standard of care as a private person or organization. [Citations.]â (Id., at p. 24.)
With respect to Williams, the Lopez court observed: âOur statement in Williams was essentially a particularized application of the âgood Samaritanâ doctrine which provides that a âvolunteer who, having no initial duty to do so, undertakes to come to the aid of another ... is under a duty to exercise due care in performance and is liable if (a) his failure to exercise such care increases the risk of such harm, or (b) the harm is suffered because of the otherâs reliance upon the undertakingâ (Williams, 34 Cal.3d at p. 23, italics added.) Implicit in our discussion in Williams is the recognition that some relationships by their very nature are âspecialâ ones giving rise to an âinitial dutyâ to come to the aid of others, regardless of whether there has been detrimental reliance in a particular case. The relationship between a common carrier and its passengers is just such a special relationship, as is the relationship between an innkeeper and his or her guests, between a possessor of land and those who enter in response to the landownerâs invitation and between a psychiatrist and his or her patients. [Citations.] [¶] ... [¶] Contrary to RTDâs assertion, there is nothing anomalous about finding this kind of special relationship between a common carrier and its passengers when no such relationship has been found to exist between police officers and members of the general public. In contrast to a police officerâs generalized duty to the public as a whole, common carriers have a specific statutory duty to provide for the safe carriage of those specific individuals who have accepted the carrierâs offer of transportation and have put their safety, and even their lives, in the carrierâs hands.â (Lopez v. Southern Cal. Rapid Transit Dist., supra, 40 Cal.3d 780, 788-790.)
The question in our case goes to the nature and extent of the duty arising out of the special relationship recognized in Lopez. We find no case, and plaintiff cites none, in which a carrierâs duty has been held to extend beyond the duty to protect its passengers from physical harm and to see that they are cared for if injured. According to the Restatement, âA common carrier is under a duty to its passengers to take reasonable action [¶] (a) to protect them against unreasonable risk of physical harm, and [¶] (b) to give *794 them first aid after it knows or has reason to know that they are ill or injured, and to care for them until they can be cared for by others. â (Rest.2d Torts, § 314A.) It follows that a carrier must exercise care in selecting and training drivers, and the drivers, as agents of the carrier, must exercise care in the transportation of passengers. A carrier also has a duty to exercise the utmost care and diligence to protect passengers from third-party assaults, and is liable for injuries resulting therefrom âwhere, in the exercise of the required degree of care, the carrier has or should have knowledge from which it may reasonably be apprehended that an assault on a passenger may occur, and has the ability in the exercise of that degree of care to prevent the injury. [Citation.]â (Lopez v. Southern Cal. Rapid Transit Dist., supra, 40 Cal.3d at p. 791.)
In the case at bench, we are asked to recognize an expanded duty on the part of the carrier to assist its passengers in pursuing civil litigation against third parties who cause them harm. The term âdutyâ is âââonly an expression of the sum total of those considerations of policy which lead the law to say that the particular plaintiff is entitled to protection. â â (Prosser, Law of Torts [3d ed.] at pp. 332-333.)ââ (Thompson v. County of Alameda (1980) 27 Cal.3d 741, 749-750 [167 Cal.Rptr. 70, 614 P.2d 728, 12 A.L.R.4th 701], citing Dillon v. Legg (1968) 68 Cal.2d 728, 739 [69 Cal.Rptr. 72, 441 P.2d 912, 29 A.L.R.3d 1316].) âThe existence of âdutyâ is a question of law. [Citation.] â[L]egal duties are not discoverable facts of nature, but merely conclusory expressions that, in cases of a particular type, liability should be imposed for damage done.â [Citation.]â (Thompson v. County of Alameda, supra, 27 Cal.3d at p. 750.) âThe real basis of negligence is not carelessness, but behavior which society in general views as involving unreasonable risk of harm to others. (Prosser, Law of Torts (3d ed. 1964) § 31, pp. 148-149.)â (Richard P. v. Vista Del Mar Child Care Service (1980) 106 Cal.App.3d 860, 866 [165 Cal.Rptr. 370].)
â[I]n considering the existence of âdutyâ in a given case several factors require consideration including âthe foreseeability of harm to the plaintiff, the degree of certainty that the plaintiff suffered injury, the closeness of the connection between the defendantâs conduct and the injury suffered, the moral blame attached to the defendantâs conduct, the policy of preventing future harm, the extent of the burden to the defendant and consequences to the community of imposing a duty to exercise care with resulting liability for breach, and the availability, costs, and prevalence of insurance for the risk involved. [Citations.]â [Citations.] When public agencies are involved, additional elements include âthe extent of [the agencyâs] powers, the role imposed upon it by law and the limitations imposed upon *795 it by budget; . . .â [Citations.]â (Thompson v. County of Alameda, supra, 27 Cal.3d at p. 750.)
When we apply the relevant considerations of policy we find that they militate strongly in favor of a finding of duty.
A carrier can readily foresee the possibility of harm to its passengers by reason of its failure to collect and preserve information concerning a motorist involved in an accident with the carrierâs vehicle, in that the passengers could be foreclosed, as was plaintiff, from recovery against such a motorist for any injuries they sustained in the accident. The duty to collect and preserve accident-related information imposes no undue burden upon a carrier, which would presumably, as did defendant, have a procedure in place for the reporting of accidents by its drivers, if only for its own benefit.
Conversely, absent such a duty on the part of the carrier, each passenger would be obliged to alight from the carrierâs vehicle and seek the requisite information for himself or herself. Such a practice would be unwieldy, unduly time-consuming, and possibly even dangerous. It would also require the cooperation of the carrierâs driver in waiting for passengers to collect the information, a process that could seriously interfere with the carrierâs schedule.
We hold that, following an accident between its vehicle and that of another, a common carrier has a duty to collect and preserve information concerning the other vehicle and its driver for use by the carrierâs passengers in future civil litigation.
Jury Instructions
Defendant contends the trial court erred in refusing to instruct on comparative negligence. For the reasons stated above, we hold that the court properly refused the proffered instructions.
Defendant contends the trial court erred in giving the jury BAJI No. 2.60, supra, in that the instruction fails to make it clear that the information defendant did not obtain or failed to preserve âmust have been sufficient to identify the other driver, a necessary prerequisite to liability.â The instruction refers to negligent failure to obtain or preserve âinformation relating to the driver and vehicle that rear ended the bus. â Defendant argues that this language failed to require the jury to resolve the question whether or not the accident was hit-and-run. In our view, the instruction permitted a verdict in plaintiffâs favor only upon a finding that the requisite information was available to defendant at the scene of the accident.
*796 Defendant contends the court erred in giving the jury paragraph 2 of BAJI No. 2.60, in that there was no substantial evidence supporting a theory of negligent safekeeping. On the contrary, the jury could infer from Langâs testimony that defendantâs driver, Cowell, did in fact obtain information from the driver of the other vehicle, and that he or another agent or employee of the defendant company negligently lost, misplaced, destroyed or refused to disclose the information to plaintiff.
Defendant points to declarations of two jurors offered in support of defendantâs motion for new trial as establishing that the jury failed to resolve the question whether the accident was hit-and-run. The declarations are identical, conclusory, and purport to report the thought processes by which the jury collectively arrived at its verdict. Of necessity, the declaring jurors purport to appreciate the individual thought processes of their fellow jurors, as well as to report their own. Such evidence is not admissible under Evidence Code section 1150. 1 âThe only improper influences that may be proved under section 1150 to impeach a verdict... are those open to sight, hearing, and the other senses and thus subject to corroboration.â (People v. Hutchinson (1969) 71 Cal.2d 342, 350 [78 Cal.Rptr. 196,455 P.2d 132].) The present declarations do not meet the standards set forth in Evidence Code section 1150 and People v. Hutchinson, supra. (Cove, Inc. v. Mora (1985) 172 Cal.App.3d 97, 100-103 [218 Cal.Rptr. 7].)
Defendantâs authorities are readily distinguishable from the case at bench. In Krouse v. Graham (1977) 19 Cal.3d 59 [137 Cal.Rptr. 863, 562 P.2d 1022], âthe declarations established that not only had the jury discussed and considered inclusion of attorney fees, but had expressly agreed to inflate damages to include attorney fees.â (Tramell v. McDonnell Douglas Corp. (1984) 163 Cal.App.3d 157, 172 [209 Cal.Rptr. 427].) In Tramell, â[t]he trial judge found, upon contradictory evidence, that there was an extensive discussion among the jurors evidencing an implied agreement to inflate their verdict to compensate for attorney fees and taxes.â (Id., at pp. 172-173.) The court held that â [t]his finding . . ., having been based upon competent, though contradictory evidence, is not to be disturbed on appeal.â (Id., at p. 173.)
In Drust v. Drust (1980) 113 Cal.App.3d 1 [169 Cal.Rptr. 750], the declarations of all twelve jurors as to the components of their total award *797 of damages were placed into evidence by the plaintiff for the purpose of justifying the fees of his expert witness on the question of economic loss. The court determined that in light of the manner in which the declarations came into the record, and the fact that they were âsusceptible of being interpreted as describing the overt act of awarding a particular sum for a particular element of damage,â (id., at p. 9) it was not improper to consider the information thus presented. (Id., at p. 11; but see Ferreira v. Quick Stop Markets, Inc. (1983) 141 Cal.App.3d 1023, 1033-1035 [190 Cal.Rptr. 778].)
The present declarations more closely resemble those found inadequate in Cove, Inc. v. Mora, supra, 172 Cal.App.3d 97. There, the declarations were limited to assertions as to matters found by the jury in arriving at its verdict. Here, the two jurors also declared that the jury made no findings as to certain matters. In neither case did the declaring jurors relate âobjective and verifiable incidents.â (Id., at p. 103; Ferreira v. Quick Stop Markets, Inc., supra, 141 Cal.App.3d at p. 1035.) The declarations did not constitute competent evidence in support of defendantâs new trial motion, which was properly denied.
Finally, defendant contends the trial court erred in admitting evidence of, and instructing the jury on, willful suppression of evidence. (BAJI Nos. 2.60, 2.03.) In light of the evidence tending to establish that some information concerning the subject accident was transmitted by defendantâs driver to his dispatcher, and that defendant claimed to have no information at all about the accident in response to subsequent inquiry, we cannot say that the court erred in instructing the jury on willful suppression of evidence.
With respect to the evidence on this issue, defendant complains of the courtâs admission of the earlier described interrogatories, answers thereto, and letter from defendantâs insurance agent to plaintiffâs counsel. These items were relevant to the question whether defendant was at fault in failing to provide plaintiff with the information he needed to pursue an action against the third party tortfeasor, through either negligence or willful acts of suppression. Insofar as defendant objects to admission of the letter on the ground of lack of foundation, the record shows that plaintiffâs counsel provided the requisite foundational facts. With respect to defendantâs claim that the letter constituted inadmissible hearsay, it was not admitted for the truth of its content, but only to show that the same was communicated to plaintiff. Finally, we find no abuse of discretion in the trial courtâs denial of defendantâs motion to exclude the letter pursuant to Evidence Code section 352.
*798 Plaintiffâs Appeal
Sanctions
Plaintiff contends the trial court abused its discretion in denying his motion for relief from the order granting attorney fees to defendant.
In a declaration supporting defendantâs motion to quash the writ of execution, attorney Raymond T. Kaiser stated that he spoke with plaintiffâs counsel, Joseph L. Shalant, on October 26, 1984, in an effort to persuade him to withdraw the writ. According to Kaiser, Shalant advised him that upon proof that defendant was a public corporation, Shalant would stipulate to withdrawal of the writ. Kaiser referred to the accompanying declaration of Clark Heggeness, corporate counsel for defendant, stating that it âshould satisfy attorney Shalantâs demands in this regard.â
Heggeness declared that defendant was an instrumentality of the City of Long Beach at the time of the alleged incident, and had remained such thereafter. He attached a copy of defendantâs articles of incorporation, which established that all of the authorized shares of defendantâs capital stock were issued to the City of Long Beach or to a trustee designated by the city.
Plaintiffâs response to the motion to quash, filed November 13, 1984, was based on Shalantâs declaration, wherein he claimed that he was unaware of the existence of any exemption when he obtained the writ of execution. Shalant stated, âIf the court is satisfied that defendant is a public corporation entitled to immunity from plaintiffâs writ of execution, the court should act accordingly with respect to quashing our writ of execution.â
In support of plaintiffâs motion for relief from the order granting attorney fees, Shalant again declared that he had believed defendant to be a private corporation, that he would not have obtained the writ had he known otherwise, and that he would have entered into a stipulation withdrawing the writ had Kaiser called him again or submitted a stipulation for his signature. Shalant also stated that he had been unable to appear at the hearing on the motion to quash because he was engaged in an arbitration hearing. Finally, Shalant challenged the amount of the attorney fees requested by defendant, characterizing it as excessive for âa single court appearance to argue an unopposed motion.â
In opposition to the motion, Kaiser pointed out that defendant was described as âa public corporationâ in its answer to the complaint and in all documents thereafter filed by it, that plaintiff made no showing at the trial *799 that defendant was other than a public corporation, that plaintiffâs counsel, Shalant, âhad irrefutable evidence in his hands on November 9, 1984 that defendant was in fact a public corporation,â but, rather than withdrawing the writ, filed a response to the motion to quash calling upon the court to determine whether defendant was in fact a public corporation. Kaiser noted that Shalant had failed to appear at the hearing on the motion to quash, without then offering any explanation to the court or opposing counsel. Kaiser also declared that the actual fee charged defendant for legal services in opposing and quashing plaintiffâs writ of execution was $1,189.50, calculated at $65 per hour.
Code of Civil Procedure section 473 provides that a court may relieve a party or his or her counsel âfrom a judgment, order, or other proceeding taken against him or her through his or her mistake, inadvertence, surprise or excusable neglect.â Plaintiffâs position is that his counsel made a good faith mistake in assuming that defendant was a private corporation subject to a writ of execution, and that counselâs failure to withdraw the writ upon receipt of defendantâs opposition was not unreasonable in the circumstances.
Plaintiff overlooks the facts that counsel not only failed to withdraw the writ, thus requiring defendant to appear at the hearing on the motion to quash, but also failed to oppose defendantâs request for sanctions. In the circumstances, we cannot say that the trial court abused its discretion in denying plaintiffâs belated request for relief from the order imposing sanctions. (See Guenter v. Lomas & Nettleton Co. (1983) 140 Cal.App.3d 460, 466-467 [189 Cal.Rptr. 470].) Moreover, and quite apart from the fact that any dispute as to the amount of the sanction award should have been raised at the hearing on the motion to quash, the only evidence before the court at that hearing, with respect to defendantâs costs in moving to quash, supported the award of $1,000.
Decision
The judgment and order are affirmed.
Klein, P. J., and Lui, J., concurred.
Evidence Code section 1150 provides: â(a) Upon an inquiry as to the validity of a verdict, any otherwise admissible evidence may be received as to statements made, or conduct, conditions, or events occurring, either within or without the jury room, of such a character as is likely to have influenced the verdict improperly. No evidence is admissible to show the effect of such statement, conduct, condition, or event upon a juror either in influencing him to assent to or dissent from the verdict or concerning the mental processes by which it was determined. [I] (b) Nothing in this code affects the law relating to the competence of a juror to give evidence to impeach or support a verdict.â