Contents    Prev    Next    Last



            Title Forrest v. Beloit Corporation

 

            Date 2005

            By

            Subject Other\Concurring

                

 Contents

 

 

Page 1





1 of 52 DOCUMENTS


PAUL R. FORREST, Appellant, v. BELOIT CORPORATION; HARNISCHFEGER INDUSTRIES, INC.


No. 04-2184


UNITED STATES COURT OF APPEALS FOR THE THIRD CIRCUIT



424 F.3d 344; 2005 U.S. App. LEXIS 19904


March 30, 2005, Argued

September 16, 2005, Filed


PRIOR   HISTORY:             *1          On   appeal   from   the United  States  District  Court  for  the  Eastern  District  of Pennsylvania. District Court No. 00-cv--05032. District Judge:  The Honorable Bruce W. Kauffman.   Forrest v. Beloit  Corp.,  2005  U.S.  Dist.  LEXIS  15980  (E.D.  Pa., Aug. 2, 2005)


CASE SUMMARY:



PROCEDURAL  POSTURE:  Appellant  injured  party challenged the U.S. District Court for the Eastern District of Pennsylvania's entry of final judgment and its denial of his motion for a new trial following a jury verdict in favor of appellee, a manufacturer of multi-ton rollers, in a products liability action initiated by the employee.


OVERVIEW: The injured party sustained severe and per- manent injuries in an accident at the paper mill where he was employed, in which his arm became stuck between two multi-ton rollers. The court stated that, while the ma- jority of his appellate challenges either lacked merit or were not properly preserved,  it believed he argued cor- rectly that the district court abused its discretion by per- mitting the manufacturer to adduce testimony from two paper mill employees concerning the alleged absence of prior accidents involving the machine on which he was injured. The court determined that, where the manufac- turer had manufactured and sold multiple machines over a span of several decades, and where it admitted that it compiled  no  information  concerning  the  safety  history of these machines,  it was,  with respect to Fed R. Evid.

403, prejudicial error to permit the manufacturer to ex- tract  anecdotal  testimony  concerning  a single  machine, and  then  to  use  that  testimony  to  argue  in  closing  that

"as  far  as  the  evidence  is  concerned,  the  only  accident we know of in 36 years on the machine was the injured party's."


OUTCOME: The judgment of the district court was re-


versed and the case was remanded for a new trial.


LexisNexis(R) Headnotes


Civil  Procedure  >  Appeals  >  Standards  of  Review  > Clearly Erroneous Review

HN1  With respect to a Batson challenge, a district court's finding concerning the absence of intentional discrimina- tion is reviewed for clear error.


Civil  Procedure  >  Appeals  >  Standards  of  Review  > Abuse of Discretion

HN2  An appellate court reviews a district's court's al- legedly  inadequate  response  to  supposed  attorney  mis- conduct for an abuse of discretion.


Civil  Procedure  >  Appeals  >  Standards  of  Review  > Abuse of Discretion

Evidence  >  Procedural  Considerations  >  Rulings  on

Evidence

Legal Ethics > Professional Conduct > Tribunal

HN3   A  district  court's  determinations  concerning  the admissibility  of  evidence  are  reviewed  for  an  abuse  of discretion.


Civil  Procedure  >  Appeals  >  Standards  of  Review  > Abuse of Discretion

HN4   An  abuse  of  discretion  arises  where  a  district court's decision rests upon a clearly erroneous finding of fact, errant conclusion of law or an improper application of law to fact.


Civil Procedure > Appeals > Standards of Review > De

Novo Review

Evidence  >  Procedural  Considerations  >  Rulings  on

Evidence

HN5  To the extent an evidentiary issue turns on the in- terpretation of a Federal Rule of Evidence, rather than the mere application of the rule, review is plenary.


Civil Procedure > Appeals > Standards of Review > De

Novo Review


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *1

Page 2



HN6  The propriety of a district court's interpretations of substantive state law is subject to plenary review.


Civil Procedure > Relief From Judgment > Motions for

New Trial

Civil  Procedure  >  Appeals  >  Standards  of  Review  > Standards Generally

HN7  Where an appellant's arguments for a new trial im- plicate questions of fact, an appellate court views all the evidence and inferences reasonably drawn therefrom in the light most favorable to the party with the verdict. Civil  Procedure  >  Appeals  >  Standards  of  Review  > Harmless & Invited Errors

HN8  In the context of harmless error analysis, even if a party establishes an error by the district court, it must also show that the error was prejudicial.   28 U.S.C.S. §

2111. An error will be deemed harmless only if it is highly probable that the error did not affect the outcome of the case.


Civil Procedure > Jury Trials > Jury Selection

Civil  Procedure  >  Appeals  >  Standards  of  Review  > Harmless & Invited Errors

HN9  Harmless error analysis does not apply to a Batson challenge.


Civil Procedure > Jury Trials > Jury Selection

HN10  In Batson, the U.S. Supreme Court held that the Fourteenth Amendment's equal protection clause barred the use of peremptory challenges to exclude prospective jurors on the basis of race. The Supreme Court has ex- tended Batson's rule to civil cases.


Civil Procedure > Jury Trials > Jury Selection

HN11  The third prong of the Batson test requires that a district court conduct an independent assessment con- cerning whether the striking party has advanced a non- pretextual, race-neutral reason for the challenge.


Civil Procedure > Jury Trials > Jury Selection

Civil  Procedure  >  Appeals  >  Standards  of  Review  > Standards Generally

HN12  In the context of Batson, the reason advanced by the striking party in support of the peremptory challenge need not be especially persuasive from a tactical stand- point. Instead, a race-neutral explanation is simply one that is based on something other than the race of the juror and is free of discriminatory animus. The trial judge must then evaluate whether the reason proffered by the striking party is indeed race-neutral, and also whether it is non- pretextual, in the sense that it is not being used merely to cover the striking party's discrimination. Because the trial court's evaluation turns in large part upon the credibility and demeanor of the attorney exercising the challenge, the  trial  judge's  determination  is  afforded  considerable deference, and will not be reversed unless it is completely



devoid of minimum evidentiary support displaying some hue of credibility, or bears no rational relationship to the supportive evidence.


Civil  Procedure  >  Appeals  >  Standards  of  Review  > Abuse of Discretion

Legal Ethics > Professional Conduct > Tribunal

HN13  An appellate court reviews a district court's de- cisions concerning alleged attorney misconduct under an abuse of discretion standard. Due to his superior vantage point, the trial judge is entrusted with wide discretion in matters  relating  to  the  conduct  of  counsel  during  trial. Accordingly,  under  its  deferential  review,  an  appellate court will grant a new trial only where the allegedly im- proper statements or conduct make it reasonably probable that the verdict was influenced by the resulting prejudice. Governments > Courts > Court Personnel & Judges

HN14  The role of a trial judge should not be akin to that of schoolyard supervisor.


Legal Ethics > Professional Conduct > Tribunal

HN15  Both the breadth of a district court's discretion with respect to trial proceedings and the desirability of permitting each party to present its closing statement free from undue interruption is recognized. However, this free- dom is not a license to flout a district court's earlier rulings restricting reliance on misleading courtroom demonstra- tions or inadmissible evidence.


Torts > Products Liability

HN16   A  product  manufacturer  in  Pennsylvania  has a  non-delegable  duty  to  provide  a  safe  product.  Thus, a  manufacturer  in  a  products  liability  action  may  not invoke   industry   or   Occupational   Safety   and   Health Administration standards to argue that the plaintiff's em- ployer, rather than the manufacturer, had the responsibil- ity to provide the equipment or instructions necessary to make a product safe for its intended use.


Evidence > Witnesses > Court-Appointed Experts

HN17  Under Fed. R. Evid. 704 an expert witness may offer testimony concerning the ultimate issue in the case. Civil Procedure > State & Federal Interrelationships > Application of State Law

Evidence > Relevance > Confusion, Prejudice & Waste of Time

HN18  The admissibility of the evidence ultimately turns on a balancing of its probative value versus its prejudicial effect. In a federal court the Federal Rules of Evidence govern  procedural  issues  of  this  nature.  Federal  rather than state law governs admissibility of "no prior accident" evidence in a diversity action.


Civil Procedure > State & Federal Interrelationships > Choice of Law


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *1

Page 3



HN19   The determination  of whether  a particular  evi- dentiary ruling involves federal procedural law or state substantive law can be difficult. Courts should consider whether the choice of rule would substantially affect those primary decisions respecting human conduct which the constitutional system leaves to state regulation.


Evidence > Relevance > Relevant Evidence

HN20  Under the Federal Rules of Evidence, subject to certain limitations, all evidence is admissible if it is rele- vant, i.e., if it tends to make the existence or nonexistence of a disputed material fact more probable than it would be without that evidence. Fed. R. Evid. 401, 402. Evidence > Relevance > Confusion, Prejudice & Waste of Time

HN21  See Fed. R. Evid. 403.


Evidence > Relevance > Relevant Evidence

HN22  Fed. R. Evid. 403 is an umbrella rule spanning the whole of the Federal Rules of Evidence, and as such trial judges must apply Rule 403 in tandem with other Federal Rules under which evidence would be admissible. Where a district court fails explicitly to articulate the Rule 403 balancing, an appellate court either decides the trial court implicitly performed the required balance; or, if it decides the trial court did not, it undertakes to perform the bal- ance itself. In sum, Rule 403 recognizes that a cost/benefit analysis must be employed to determine whether or not to  admit  evidence;  relevance  alone  does  not  ensure  its admissibility. However, there is a strong presumption that relevant evidence should be admitted, and thus for exclu- sion under Rule 403 to be justified, the probative value of evidence must be substantially outweighed by the prob- lems in admitting it.


Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN23   Federal  and  state  courts  addressing  the  admis- sibility of evidence concerning the absence of prior ac- cidents have recognized that the probative value of such evidence is determined in large measure by the founda- tion laid by the offering party. The U.S. Court of Appeals for the First Circuit has observed that as a general rule, evidence  of  the  absence  of  prior  accidents  may  not  be admitted unless the offering party first establishes that the lack of accidents was in regard to products that are sub- stantially identical to the one at issue and used in settings and circumstances sufficiently similar to those surround- ing the machine at the time of the accident. Accordingly, most courts admitting evidence of the absence of prior ac- cidents in product liability cases have done so only where the testifying witness, usually an employee of the product manufacturer, has testified that (a) a significant number of substantially identical products have been used in similar circumstances over a period of time; (b) the witness would



likely be aware of prior accidents involving these prod- ucts;  and (c) to the witness's knowledge,  no such prior accidents have occurred. Conversely, where an adequate foundation  has  not  been  laid,  testimony  concerning  an alleged absence of prior accidents has been disallowed. Evidence > Relevance > Confusion, Prejudice & Waste of Time

Evidence > Relevance > Relevant Evidence

HN24    The   foundation   requirement   discussed   in Espeaignnette  is  best  described  as  a  tool  meant  to  aid in the balancing inquiry under Fed. R. Evid. 403 or its state analog. There is little doubt that as a general mat- ter  evidence  concerning  the  absence  of  prior  accidents can satisfy the relevance threshold established by Fed. R. Evid. 402. Courts have indicated that such evidence may be relevant to show (1) the absence of the alleged defect;

(2) the lack of a causal relationship between the injury and the defect or condition charged; and (3) the nonexis- tence of an unduly dangerous situation.  Notwithstanding the  potential  relevance  of  such  evidence  under  Fed.  R. Evid. 402, its probative value must be carefully balanced, pursuant to Fed. R. Evid. 403, against its possible prej- udicial effect. Testimony concerning an alleged absence of prior accidents, if offered without a proper foundation, can create risks of unfair prejudice that may substantially outweigh  whatever  probative  value  the  evidence  other- wise has. Thus, courts assessing the admissibility of such evidence emphasize the contextual nature of the inquiry, which  turns  upon  the  facts  and  circumstances  of  each particular case.


Torts > Products Liability

HN25  Pennsylvania law deems a product defective if it left the supplier's control lacking any element necessary to  make  it  safe  for  its  intended  use.  The  Pennsylvania Supreme Court has stated that products are to be evalu- ated at the time of distribution when examining a claim of product defect. Pennsylvania's approach is reflected in the  fact  that  risk-utility  analysis  concerning  whether  a product is unreasonably dangerous is performed by the trial judge rather than the jury. In answering this question a court is essentially making a social policy determina- tion and acting as both a social philosopher and a risk- utility  economic  analyst.  Thus,  where  the  plaintiff  has surmounted this initial hurdle and the case has reached the  jury,  the  jury's  focus  is  on  the  product  in  se,  and specifically on whether the product as designed presents a potential danger to the intended user.


Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN26  Fed. R. Evid. 401 defines relevance by reference to facts of consequence to the determination of the action. Thus, (where Pennsylvania products liability law applies)


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *1

Page 4



the substantive components of Pennsylvania products li- ability law are critical in determining the relevance and probative value of the evidence that was offered at trial. Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN27  In federal court the admissibility of evidence con- cerning an absence of prior accidents is governed by fed- eral law. The admissibility of such evidence turns on the facts and circumstances of each case.


Evidence > Relevance > Confusion, Prejudice & Waste of Time

Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN28  Testimony concerning an alleged absence of prior accidents will usually satisfy the relevance threshold es- tablished by Fed. R. Evid. 402. Such testimony, however, by  its  very  nature,  raises  significant  concerns  regard- ing unfair prejudice to the plaintiff, and these concerns are  heightened  in  product  liability  cases  arising  under Pennsylvania law. District courts are required under Fed. R. Evid. 403 to balance the probative value of such evi- dence against its likely prejudicial effect, but the evidence may not be excluded unless the unfair prejudice created by admitting the evidence would substantially outweigh its  probative  value.  In  an  effort  to  ascertain  probative value and minimize undue prejudice, courts considering such evidence have consistently insisted that the offering party lay a proper foundation. In most cases the required foundation has involved three elements:  (a) similarity-- the defendant must show that the proffered testimony re- lates  to  substantially  identical  products  used  in  similar circumstances; (b) breadth--the defendant must provide the court with information concerning the number of prior units sold and the extent of prior use; and (c) awareness-- the defendant must show that it would likely have known of prior accidents had they occurred.


Evidence > Relevance > Confusion, Prejudice & Waste of Time

HN29  The term "unfair prejudice" as a factor against which the probative value of evidence is weighed under Fed. R. Evid. 403 is often misstated as mere prejudice. Indeed,  any  evidence  that  tends  to  harm  a  party's  case could be said to be prejudicial. Thus, the prejudicial ef- fect of admitting the evidence must rise to the level of creating an unfair advantage for one of the parties for the evidence to be excluded under Rule 403.


Torts > Products Liability

HN30  Pennsylvania law focuses on the design of the product in the abstract, rather than the safety history of a particular unit. Thus, to the extent an inference concern- ing the safety of a product's design can be drawn from a product's safety history, the reliability of such an infer-



ence is determined in large measure by the scope of the available safety history information.


Evidence > Relevance > Confusion, Prejudice & Waste of Time

Torts > Products Liability

HN31  Evidence concerning the absence of prior acci- dents does not account for near accidents and fortuitous escapes.  The risk of jury confusion and unfair prejudice arising as a result of this issue is especially acute under Pennsylvania law, where the jury's defect determination turns  not  upon  a  risk-utility  analysis,  but  instead  upon whether the product as designed lacks a necessary safety feature.


Torts > Products Liability

HN32  In a risk-utility analysis, avoidance of accidents through extra care by product users, and post-purchase employer precautions such as additional safety training for workers, may affect the analysis of whether the prod- uct  as  designed  was  "unreasonably  dangerous."  These same factors, combined with good fortune, may also con- tribute to a lack of prior accidents involving the allegedly defective product. Consideration of such factors, however, is not within the province of the jury in Pennsylvania; in- stead, the jury is to focus on the design of the product as it existed when it left the supplier's control.


Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN33  Under Pennsylvania law, the lack of a necessary safety feature when the product leaves the factory deter- mines whether the product is defective. In arguing to the jury in a case governed by Pennsylvania law, a product liability defendant may not invoke an alleged absence of sufficiently severe or frequent injuries in support of an assertion that a product's social utility outweighs its oth- erwise defective design.


Evidence > Relevance > Confusion, Prejudice & Waste of Time

Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN34   The close  relationship  under Pennsylvania law between the existence of danger and the existence of a de- fect demonstrates that to the extent the absence of prior ac- cidents is probative, the presence of prior near-accidents or fortuitous escapes is equally probative. Such evidence, however, is inherently difficult to obtain, and thus plain- tiffs may be left at an unfair disadvantage, in that safety history testimony proffered by defendants may appear to be more probative than it actually is, but its shortcomings will not be fully exposed before the jury.


Evidence > Relevance > Confusion, Prejudice & Waste of Time


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *1

Page 5




Evidence > Relevance > Relevant Evidence

Torts > Products Liability

HN35  The mere existence of potential unfair prejudice to  the  plaintiff  does  not  in  and  of  itself  justify  the  ex- clusion of safety history evidence offered by a product liability defendant. Nonetheless,  that such concerns are always present will invariably implicate the strength of the showing a defendant must make in terms of establish- ing probative value under Fed. R. Evid. 403. This is why federal courts that have admitted such evidence have done so in the context of a foundational showing that incorpo- rates the elements of similarity, breadth, and awareness. The "breadth" aspect of the foundation need not always incorporate knowledge of the safety history of every unit of  a  particular  product;  there  may  be  gaps  in  even  the most thorough record-keeping system. Minor gaps can legitimately be said to go to the weight of the evidence, rather than its admissibility.


COUNSEL:           Joseph    R.             Viola,       Esq.         (Argued), Philadelphia, PA, Attorney for Appellant Paul R. Forrest.


Barbara   S.   Magen,   Esq.   (Argued),   Post   &   Schell, P.C.,  Philadelphia,  PA;  John  J.  Snyder,  Esq.,  Rawle  & Henderson,  Philadelphia,  PA,  Attorneys  for  Appellee




Beloit Corporation.


JUDGES:  Before:                ALITO,  SMITH,  and  ROSENN, Circuit Judges. ALITO, Circuit Judge, concurring in the judgment.


OPINIONBY: SMITH


OPINION:


OPINION OF THE COURT


SMITH, Circuit Judge.


Appellant Paul Forrest appeals the District Court's en- try of final judgment and its denial of his motion for a new trial following a jury verdict in favor of appellee Beloit Corporation ("Beloit") in a products liability action initi- ated by Forrest. n1 The lawsuit arises from an accident at the paper mill where Forrest was employed, in which his arm  became  stuck  between  two  multi-ton  rollers  man- ufactured  by  Beloit,  resulting  in  severe  and  permanent injuries. Forrest sued Beloit, advancing theories of neg- ligence and strict liability under Pennsylvania law. The jury returned a special


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *2

Page 6



*2  verdict in favor of Beloit, in which the jury found that Beloit's "Gloss Calender" machine was not defective, and that Beloit was not negligent in connection with the design or manufacture of the Gloss Calender. The special verdict form  also  addressed  causality,  with  the  jury  indicating that the actions of Forrest's employer (Jefferson-Smurfit Corporation) constituted intervening forces that actively operated  to  cause  Forrest's  accident,  and  that  these  ac- tions were so extraordinary Beloit could not reasonably have foreseen them. After the verdict, Forrest moved for a new trial. His motion was denied, and the District Court




entered final judgment in favor of Beloit.


n1 Harnischfeger Industries did not participate in this appeal. The District Court entered an August

20, 2003 order granting summary judgment in favor of Harnischfeger, and Forrest's brief indicates that Forrest is not appealing the District Court's grant of summary judgment.



Forrest  raises  five  issues.  First,   Forrest,   who  is

African-American, presents


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *3

Page 7



*3   a Batson challenge, arguing that the District Court abused its discretion in determining that the defense had proffered race-neutral reasons for striking two African- American jurors. Second, Forrest argues that counsel for Beloit engaged in "professional misconduct" in a man- ner that improperly influenced the jury's verdict. Third, Forrest argues that the jury's verdict was "tainted" as a result of questions and testimony relating to negligence and alleged OSHA violations purportedly committed by Jefferson-Smurfit. Fourth, Forrest argues that the District Court abused its discretion in permitting testimony con- cerning  the  alleged  absence  of  prior  accidents  involv-



ing the Gloss Calender that crushed Forrest's arm. Fifth, Forrest argues that the District Court erred by permitting Beloit's expert to testify whether the presence of a guard on  the  Gloss  Calender  would  have  prevented  Forrest's accident.


We  will  reverse  the  judgment  of  the  District  Court and  remand  for  a  new  trial.  While  the  majority  of Forrest's challenges either lack merit or were not properly preserved,  we  believe  Forrest  argues  correctly  that  the District Court abused its discretion by permitting Beloit to adduce testimony


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *4

Page 8



*4          from  two  paper  mill  employees  concerning  the alleged  absence  of  prior  accidents  involving  the  Gloss Calender on which Forrest was injured. The issue of the admissibility of evidence concerning the absence of prior accidents presents recurring difficulties in product liabil- ity cases, and this Court has yet to address this issue in the context of the Federal Rules of Evidence. After disposing of Forrest's other arguments, we take this opportunity to provide the district courts with guidance concerning the foundation  that  must  be  laid  by  a  product  liability  de- fendant who seeks to introduce testimony concerning the non-occurrence of prior accidents.




I. FACTUAL BACKGROUND


A. The Paper-Making Process


Forrest's underlying lawsuit arises out of injuries he suffered  on  November  30,  1999,  during  the  course  of his employment at a paper  mill operated  by Jefferson- Smurfit. Forrest suffered his injuries while trying to clear a paper jam in an eighty-to one-hundred yard line of ma- chines that transform wood pulp slurry into large rolls of dry  paper.  At  the  dry  end  of  the  line,  the  paper  is  run through two sets of calenders, or "dry stacks," which are large rotating rollers that feed


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *5

Page 9



*5   the Gloss Calender. As the paper is propelled from the dry stacks towards the Gloss Calender, it first passes under an "air shower" and then over a lead-in roller known as a "Mount Hope roll." The air shower and Mount Hope roll were not part of the original Gloss Calender when it was designed and manufactured by Beloit in 1963. The Gloss  Calender  itself  is  an  additional  set  of  multi-ton rollers, consisting of a top roll, called the "gloss roll" or

"dryer roll," and a lower roll called the "pressure roll" or

"mate roll."


William Brody, Forrest's crew supervisor and a sev-



enteen-year employee of Jefferson-Smurfit, testified that paper  is  generally  run  through  the  Gloss  Calender  re- gardless of whether gloss is applied, because the Gloss Calender rolls smooth the paper and support it as it moves toward the cutter at the end of the line. The opening be- tween the Gloss Calender's two rollers is referred to as a  "nip";  the  size  of  the  nip  may  vary  depending  upon whether gloss is being applied. Trial testimony indicated that Beloit's original design for the Gloss Calender called for the opening between the two rolls to be approximately eight feet, five inches off of the floor. Beloit's former


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *6

Page 10



*6   chief engineer, George Wong, also testified that the Gloss  Calender  was  originally  designed  to  be  threaded with the user standing on the floor. However, testimony from multiple Jefferson-Smurfit employees indicated that a different procedure was employed during paper breaks. In these situations, an employee would climb a set of steps located near one of the dry stacks, and would lean over the air shower and manually feed the paper through the Gloss Calender rolls to an employee waiting on the other side.


B. Forrest's Accident



Forrest's accident occurred on November 30, 1999. It is not clear from the record whether at the time of the accident the Gloss Calender was applying gloss. There is no dispute, however, that a paper jam occurred, and that Forrest mounted the dry stack steps to feed a "tail" of pa- per through the Gloss Calender, in the manner described above. Forrest testified that he was working about eight to ten inches away from the nip. He testified that as he was attempting to feed the paper, his hand got pulled into the rollers, after which he had no further recollection of what occurred. Testimony from other witnesses present at the time showed that when Forrest's


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *7

Page 11



*7    arm was caught between the two Gloss Calender rollers, the entire paper production line was shut down. The fire department and Forrest's co-workers eventually extricated Forrest after removing the top Gloss Calender roll. Forrest suffered severe and permanent injuries as a result of the accident.


C. Forrest's Lawsuit


Forrest  sued  Beloit,  advancing  theories  of  strict  li- ability and negligence under Pennsylvania law. Two of Forrest's pretrial motions in limine relate to issues pre- sented  in  this  appeal.  Forrest's  first  motion  in  limine



sought to exclude references at trial to (1) alleged neg- ligence on the part of Jefferson-Smurfit;  (2) Jefferson- Smurfit's  alleged  violations  of  or  non-compliance  with OSHA standards and regulations; and (3) any OSHA in- vestigations, proceedings, findings, reports or adjudica- tions. Forrest's second motion in limine sought to exclude all references at trial to the alleged absence of prior ac- cidents involving Beloit's Gloss Calender machines, in- cluding the Gloss Calender on which Forrest suffered his injuries.  Forrest  argued  that  Beloit  had  failed  to  estab- lish an adequate foundation for the admissibility of such evidence, given that Beloit's witnesses


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *8

Page 12



*8   admitted during deposition testimony that they were unaware of any databases or incident logs used by Beloit to track whether users of the Gloss Calender or other sim- ilar  Beloit  machines  suffered  injuries  in  circumstances similar to those surrounding Forrest's accident. Beloit re- sponded by arguing that evidence reflecting the absence of prior accidents involving the Gloss Calender was ad- missible on the contested issue of causation. Beloit also asserted that it would first lay an adequate foundation as required under the Federal Rules of Evidence before intro- ducing such testimony. The District Court denied Forrest's motions in limine, while preserving Forrest's right to raise




his evidentiary objections in context at trial. n2


n2 Forrest also filed a pretrial motion arguing that  counsel  for  Beloit  had  excluded  prospective jurors  on  the  basis  of  race  in  an  improper  effort to  empanel  an  all-white  jury.  The  District  Court denied Forrest's motion.



D. The Jury Trial and Verdict


Jury selection commenced on January 14, 2004, and


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *9

Page 13



*9   trial ended on February 9, 2004, when the jury re- turned a defense verdict. The special verdict form reflects four specific findings. The jury found:  (1) that the Gloss Calender machine was not defectively designed in 1963;

(2) that Beloit was not negligent in its design, manufac- ture, or sale of the Gloss Calender machine in 1963; (3) that Forrest's employer, Jefferson-Smurfit, had taken in- tervening actions that actively operated to cause Forrest's accident;  and  (4)  that  these  actions  were  so  extraordi- nary  they  could  not  reasonably  have  been  foreseen  by Beloit. Following the jury's verdict, Forrest moved for a new trial pursuant to Rule 59(a) of the Federal Rules of



Civil Procedure. Forrest also filed a supplemental mem- orandum  regarding  his  Batson  challenge.  On  April  15,

2004, the District Court denied Forrest's motion for a new trial and again rejected his Batson challenge. This appeal followed.


II. ANALYSIS


A. Jurisdiction


The District Court had subject matter jurisdiction pur- suant to 28 U.S.C. § 1332(a) and 28 U.S.C. § 1441(a). We have jurisdiction under 28 U.S.C. § 1291.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *10

Page 14




*10


B. Standard of Review


HN1  With respect to Forrest's Batson challenge, the District  Court's  finding  concerning  the  absence  of  in- tentional discrimination is reviewed for clear error. See United States v. Casper, 956 F.2d 416, 419 (3d Cir. 1992)

(citing Batson v. Kentucky, 476 U.S. 79, 98 n.21, 90 L. Ed. 2d 69, 106 S. Ct. 1712 (1986)). HN2  We review the District's  Court's  allegedly  inadequate  response  to  sup- posed attorney misconduct for an abuse of discretion. See Wagner  v.  Fair  Acres  Geriatric  Center,  49  F.3d  1002,



1017 (3d Cir. 1995). HN3  The District Court's deter- minations  concerning  the  admissibility  of  evidence  are reviewed  for  an  abuse  of  discretion  as  well.  See  In  re Merritt Logan, Inc. v. Fleming Companies, 901 F.2d 349,

359 (3d Cir. 1990). HN4  An abuse of discretion arises where the District Court's decision "rests upon a clearly erroneous finding of fact, errant conclusion of law or an improper application of law to fact." Oddi v. Ford Motor Co., 234 F.3d 136, 146 (3d Cir. 2000).


HN5  To the extent an evidentiary issue turns on the interpretation of a Federal Rule of Evidence, rather than the mere application of the


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *11

Page 15



*11    rule,  our review is plenary. See In re Paoli R.R. Yard PCB  Litigation,  35 F.3d 717,  749 (3d Cir. 1994). Likewise, HN6  the propriety of the District Court's in- terpretations of substantive state law are subject to plenary review. See Waldorf v. Shuta, 896 F.2d 723, 728 (3d Cir.

1990). HN7  Where an appellant's arguments for a new trial  implicate  questions  of  fact,  we  view  "all  the  evi- dence and inferences reasonably drawn therefrom in the light most favorable to the party with the verdict." See Marino v. Ballestas, 749 F.2d 162, 167 (3d Cir. 1984).


HN8   Even  if  Forrest  establishes  an  error  by  the



District  Court,  Forrest  must  also  show  that  the  error was  prejudicial.  See  28  U.S.C.  §  2111;  McQueeney  v. Wilmington Trust Co., 779 F.2d 916, 924 (3d Cir. 1985). An  error  will  be  deemed  harmless  only  if  it  is  "highly probable" that the error did not affect the outcome of the case. See McQueeney, 779 F.2d at 924. HN9  Harmless error analysis, however, does not apply to Forrest's Batson challenge. Ramseur v. Beyer, 983 F.2d 1215, 1225 n.6 (3d Cir. 1992) (en banc).


C. The Batson


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *12

Page 16




*12    Challenge


HN10  In Batson, the Supreme Court held that the

14th Amendment's equal protection clause barred the use of peremptory challenges to exclude prospective jurors on the basis of race. The Supreme Court extended Batson's rule to civil cases in Edmonson v. Leesville Concrete Co., Inc., 500 U.S. 614, 631, 114 L. Ed. 2d 660, 111 S. Ct. 2077

(1991). Forrest challenges Beloit's use of its peremptory challenges here, arguing that Beloit improperly used two of its challenges to exclude African-American jurors on the basis of their race. The District Court ruled that Forrest had failed to satisfy HN11  the third prong of the Batson



test,  which  requires  that  the  District  Court  conduct  an independent assessment concerning whether the striking party has advanced a non-pretextual, race-neutral reason for the challenge. See Hernandez v. New York, 500 U.S.

352, 359-60, 114 L. Ed. 2d 395, 111 S. Ct. 1859 (1991). Notably,   HN12   the  reason  advanced  by  the  strik- ing  party  in  support  of  the  peremptory  challenge  need not be especially persuasive from a tactical standpoint. See Purkett v. Elem,  514 U.S. 765,  767-68,  131 L. Ed.

2d 834, 115 S. Ct. 1769 (1995). Instead, a race-neutral explanation is


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *13

Page 17



*13   simply one that is based on "something other than the race of the juror" and is free of discriminatory animus. See  Hernandez,  500  U.S.  at  360.  The  trial  judge  must then evaluate whether the reason proffered by the striking party is indeed race-neutral, and also whether it is non- pretextual, in the sense that it is not being used merely to cover the striking party's discrimination. See United States v. Casper, 956 F.2d 416, 419 (3d Cir. 1992). Because the trial court's evaluation turns in large part upon the credibil- ity and demeanor of the attorney exercising the challenge,



see id. at 419, the trial judge's determination is afforded considerable deference, and "will not be reversed unless it is completely devoid of minimum evidentiary support displaying some hue of credibility, . . . or bears no rational relationship to the supportive evidence." United States v. Milan, 304 F.3d 273, 281 (3d Cir. 2002).


We find that the District Court did not abuse its dis- cretion  in  determining  that  Beloit's  attorney  advanced nonpretextual, race-neutral reasons in support of Beloit's challenge of two African-American jurors. Forrest


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *14

Page 18



*14   seeks to vindicate his Batson challenge by focus- ing  upon  a  comparison  of  characteristics  possessed  by the  two  stricken African-American  jurors  that  are  pur- portedly  identical  to  characteristics  possessed  by  white jurors who were not stricken. This approach is consistent with the mode of analysis we have embraced in evaluating prior Batson challenges. See, e.g., Holloway v. Horn, 355

F.3d 707,  724 (3d Cir. 2004);  Riley v. Taylor,  277 F.3d

261,  282  (3d  Cir.  2001)  (en  banc).  However,  Forrest's challenge fails on the merits, because the District Court reasonably determined, based on the record before it, that



the reasons cited by Beloit in support of its challenges to the stricken African-American jurors were not reflected in equal measure in various white jurors who were not challenged.


The first African-American juror against whom Beloit allegedly exercised an improper challenge was Juror No.

38. Beloit's counsel indicated on the record that Juror 38 was struck because she was a nurse, and Beloit anticipated putting on testimony that would be critical of the wound care received by Forrest following his accident. Forrest complains that Juror


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *15

Page 19



*15    38 was never questioned concerning whether her occupation as a nurse would affect her ability to serve as a fair and impartial juror. However, Forrest cites no author- ity for the proposition that Beloit was required to make such an inquiry prior to exercising its peremptory chal- lenge. Forrest also argues that Beloit's reliance on Juror

38's  occupation  as  a  nurse  was  pretextual,  noting  that a white female juror also employed as a nurse was not stricken. Forrest acknowledges, however, that the white juror was so far down the list that she was not seated on the jury in any event, and Beloit observes that this juror was "far enough down the list that it was unnecessary for the defense to use one of its peremptory strikes." n3 On this record, we believe it is clear that the District Court did not abuse its discretion in concluding that Beloit of-



fered  an  acceptable,  race-neutral,  nonpretextual  reason for striking Juror 38.


n3 In support of his pretext arguments, Forrest also notes that a white male who was married to a nurse was seated on the jury. However, Forrest of- fers no basis to believe that the medical knowledge and professional assumptions held by the white ju- ror's wife can be attributed in equal measure to the white juror,  and thus Beloit's failure to strike the white juror offers no support for Forrest's assertion that Beloit struck Juror 38 on the basis of her race, rather than her occupation as a nurse.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *16

Page 20




*16


The  second  African-American  juror  against  whom Beloit  allegedly  exercised  an  improper  challenge  was Juror  No.  29.  Beloit's  counsel  indicated  that  Juror  29 was  struck  for  a  combination  of  two  reasons:   (a)  she appeared inattentive and did not participate during voir dire  other  than  to  indicate  that  she  preferred  not  to  sit on the jury; and (b) she was from Philadelphia, and re- gardless  of  race  Beloit  was  concerned  that  jurors  from Philadelphia were more likely to award large verdicts than jurors from other parts of the Eastern District. Forrest ar- gues that Beloit's cited reasons were pretextual, because it



purportedly failed to strike a number of similarly situated white jurors. However, most of the jurors cited by Forrest shared neither of the two characteristics that Beloit cited as together prompting it to strike Juror 29. Five of the six jurors cited by Forrest were not Philadelphia residents, and  contrary  to  Forrest's  characterization,  a  number  of these jurors participated actively in the voir dire.


Forrest   notes   that   one   white   juror   who   was   a Philadelphia  resident  indicated  that  he  preferred  not  to sit on the jury. However, this juror participated actively in the voir dire, his


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *17

Page 21



*17    statement concerning the preventability of work- place  accidents  provided  a  reasonable  basis  for  Beloit to distinguish between this juror and Juror 29, notwith- standing that both were residents of Philadelphia. On this record, we cannot say that the District Court abused its discretion by accepting as non-pretextual Beloit's expla- nation concerning its basis for striking Juror 29.


D.            Forrest's                Allegations            Of            "Attorney

Misconduct"


Forrest argues for a new trial on the basis of alleged attorney  misconduct  by  counsel  for  Beloit.  n4  The  ar- guments grouped by Forrest under the heading of attor-



ney misconduct cover a wide range of issues, including concerns regarding evidentiary rulings, defense counsel's facial expressions, an in-court demonstration performed by defense counsel, and the tenor and content of defense counsel's questions to witnesses and statements in closing arguments. HN13  We review the District Court's deci- sions concerning alleged attorney misconduct under an abuse of discretion standard. Due to his superior vantage point, the trial judge is entrusted with wide discretion in matters  relating  to  the  conduct  of  counsel  during  trial. See Greenleaf v. Garlock, Inc., 174 F.3d 352, 363 (3d Cir.

1999)


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *18

Page 22




*18    (citing Fineman v. Armstrong World Indus., Inc.,

980 F.2d 171, 207 (3d Cir. 1992)). Accordingly, under our deferential review, we will grant a new trial only where the allegedly improper statements or conduct make it "rea- sonably probable" that the verdict was influenced by the resulting prejudice. See Greenleaf, 174 F.3d at 363-64; Waldorf v. Shuta, 142 F.3d 601, 627-28 (3rd Cir. 1998); Greate Bay Hotel & Casino v. Tose, 34 F.3d 1227, 1236

(3d Cir. 1994).


n4 Beloit's counsel on appeal did not represent



Beloit at trial, and the conduct of Beloit's appellate counsel has not been questioned.



Our consideration of the record, coupled with our def- erential standard of review, compels the conclusion that the District Court did not err in refusing to grant Forrest a new trial on the basis of the alleged attorney misconduct by counsel for Beloit. Forrest's scattered assertions con- cerning alleged "editorializing" by counsel for Beloit for the most part lack record support. In the


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *19

Page 23



*19   one instance where Forrest requested a curative in- struction, the District Court reasonably noted that the jury had heard the Court's admonitions with respect to edito- rializing, and that an additional instruction would serve only to highlight the questioned statements for the jury. n5



urged counsel for both parties to avoid making faces in front of the jury. HN14  The role of a trial judge should not be akin to that of schoolyard supervisor, and we perceive no flaw in the manner in which the able and patient trial judge dealt with this issue.


n5 Forrest also complains that Beloit's counsel made inappropriate facial expressions in the pres- ence  of  the  jury.  The  matter  was  brought  to  the attention of the trial judge, who explained that he had not noticed such expressions, but nonetheless


We need not address Forrest's remaining allegations of  attorney  misconduct  in  detail,  as  we  are  remanding for a new trial. We note, however, that Forrest has iden- tified certain actions of Beloit's trial counsel which may reasonably be


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *20

Page 24



*20    questioned. In particular,  we believe counsel for Beloit should not have invoked in his closing argument a prior courtroom demonstration in which he attempted to simulate Forrest's efforts to clear the paper jam on the night Forrest was injured. This attempted demonstration, involving  a  variety  of  poles  and  a  ladder,  was  subject to repeated sustained objections,  and the District Court eventually  ordered  Beloit's  trial  counsel  to  discontinue the demonstration.


Notwithstanding the District Court's ruling,  counsel for  Beloit  invoked  the  demonstration  repeatedly  in  his



closing, arguing that it validated the defense's theory of causation.  Two  of  the  references  to  this  demonstration occurred after the District Court had informed Forrest's trial counsel that it would not permit further objections during closing arguments. HN15  We recognize both the breadth of the District Court's discretion with respect to trial proceedings and the desirability of permitting each party  to  present  its  closing  statement  free  from  undue interruption.  However,  this  freedom  is  not  a  license  to flout a district court's earlier rulings restricting reliance on misleading courtroom demonstrations or inadmissible evidence.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *21

Page 25



*21    Although Beloit's counsel "crossed the line," we do not consider his conduct so severe as to warrant a new trial.


E. References to OSHA Standards


Forrest  also  seeks  a  new  trial  on  the  basis  of  the alleged  improper  introduction  of  evidence  concerning OSHA standards by Beloit during the course of the trial.

HN16   A  product  manufacturer in  Pennsylvania  has  a non-delegable duty to provide a safe product. See Walton v. Avco Corp., 530 Pa. 568, 610 A.2d 454, 458 (Pa. 1992). Thus, a manufacturer in a products liability action may



not invoke industry or OSHA standards to argue that the plaintiff's employer, rather than the manufacturer, had the responsibility  to  provide  the  equipment  or  instructions necessary to make a product safe for its intended use. See Sheehan v. Cincinnati Shaper Co., 382 Pa. Super. 579, 555

A.2d 1352, 1355 (Pa. Super. 1989); Majdic v. Cincinnati

Machine Co.,  370 Pa.  Super.  611,  537 A.2d  334,  336-

38 (Pa. Super. 1988). However, this rule is of limited ap- plicability here, because the District Court did not admit OSHA and industry standard evidence for such purposes. Indeed, the first OSHA reference cited by Forrest occurred


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *22

Page 26



*22        in   a   question   directed   to   Forrest's   expert, Widas,  during  cross-examination.  Forrest  objected,  a lengthy sidebar ensued,  and the District Court directed Beloit's counsel to proceed without referencing Jefferson- Smurfit's citation for an OSHA violation in connection with  Forrest's  accident.  The  District  Court  also  agreed to strike from the record the OSHA references that had occurred  thus  far.  Notably,  Forrest  did  not  move  for  a mistrial. We see no error in the District Court's actions, and thus Forrest's appeal with respect to this issue lacks merit. n6


n6  Forrest's  appeal  also  notes  that  Beloit's



trial counsel characterized the difference between Widas's draft expert report and his final expert re- port as involving the removal of "all references to the employer's liability in this case." We need not decide whether this reference may have been im- proper or prejudicial in light of Pennsylvania's sub- stantive law concerning  the non-delegable duties of a product manufacturer. Forrest did not object to the statement at trial, and thus the issue is waived. See  Medical  Protective  Co.  v.  Watkins,  198  F.3d

100, 105 n.3 (3d Cir. 1999); Waldorf, 142 F.3d at

629.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *23

Page 27




*23


F. Expert Testimony Of Kelly Kennett


Forrest argues that the District Court improperly per- mitted testimony from Beloit's biomechanical engineer- ing expert, Kelly Kennett. Forrest first argues that Kennett was improperly permitted to testify concerning the ulti- mate  issue  in  the  case.  Second,  Forrest  maintains  that Beloit  failed  to  establish  an  adequate  foundation  for Kennett's testimony concerning whether the presence of a particular type of guard would have prevented Forrest's accident. Both of Forrest's objections lack merit.



As Beloit correctly points out, Kennett was admitted to testify as an expert witness,  and HN17  under FRE

704  an  expert  witness  may  offer  testimony  concerning the ultimate issue in the case. See Salas v. Wang, 846 F.2d

897,  905  (3d  Cir.  1988).  Moreover,  Beloit  is  also  cor- rect that the question of whether the presence of a guard would  have  prevented  Forrest's  injury  is  a  question  of fact, and is distinct from the ultimate issue of whether the Gloss Calender was defectively or negligently designed and  manufactured.  The  admissibility  of  expert  opinion testimony with respect to such issues is well established.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *24

Page 28




*24   See Wilburn v. Maritrans GP, Inc., 139 F.3d 350,

356 (3d Cir. 1998).


Kennett's testimony focused upon the physical pos- ture  that  Forrest  allegedly  must  have  been  in  to  access the  Gloss  Calender  nip,  and  also  whether  the  presence of a particular guard would have prevented Forrest's in- jury. Forrest argues that Kennett failed to lay an adequate foundation for this testimony. However,  Kennett's testi- mony set forth his methodology and described at some length  the  various  measurements  relevant  to  his  calcu- lations. This foundation adequately supported Kennett's expert testimony, and thus the District Court did not abuse




its discretion in permitting Kennett to testify.


G.  Evidence  Concerning  The  Absence  Of  Prior

Gloss Calender Accidents


Forrest  argues  that  the  District  Court  erred  by  per- mitting Beloit to introduce evidence concerning the al- leged  absence  of  prior  accidents  involving  the  Gloss Calender  at  the  Jefferson-Smurfitt  mill.  Beloit  intro- duced this evidence through testimony extracted on cross- examination  from  former  Jefferson-Smurfit  employees William Brody and Edward Marshall, who had been em- ployed at Jefferson-Smurfit (and its corporate predecessor CCA) for


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *25

Page 29



*25   seventeen years and thirty-five years, respectively. They testified that the way Forrest attempted to thread the Gloss Calender on the night of the accident was the same as that used for years by other employees. Both Brody and  Marshall  also  indicated  that  they  were  unaware  of any prior similar accidents involving the Gloss Calender during  their  years  at  Jefferson-Smurfit.  Beloit  invoked this testimony in its closing,  arguing that "as far as the evidence is concerned, the only accident we know of, in thirty-six years, on the Gloss Calender was Mr. Forrest's." The  foregoing  testimony  came  in  over  Forrest's  re-



peated objections, including a pretrial motion in limine. Forrest's  objections  centered  on  Beloit's  alleged  failure to establish an adequate foundation for introducing this testimony  concerning  the  alleged  absence  of  prior  ac- cidents  involving  the  Gloss  Calender  at  the  Jefferson- Smurfitt mill. Forrest noted that George Wong, Beloit's former  chief  engineer,  had  admitted  in  his  deposition that Beloit kept no records relating to either safety com- plaints by Beloit customers or past accidents involving Beloit's Gloss Calender machines. Invoking Federal Rules of Evidence 402


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *26

Page 30



*26    and 403,  Forrest argued that the lack of records precluded  Beloit  from  satisfying  the  foundation-laying requirement traditionally imposed on a product liability defendant seeking to introduce testimony concerning the alleged absence of prior accidents involving its products. Forrest's  motion  in  limine  argued  that  "because  Beloit cannot establish a foundation for the admissibility of ev- idence concerning an absence of prior substantially simi- lar accidents, any reference to such alleged evidence . . . would be unfairly prejudicial to Forrest . "



To assess Forrest's challenge to the disputed evidence, we must first determine the applicable law. The parties and the District Court focused primarily on Pennsylvania law concerning this issue, and in particular, on the decision of  the  Pennsylvania  Supreme  Court  in  Spino  v.  Tilley,

548 Pa. 286, 696 A.2d 1169 (Pa. 1997). While the well- reasoned decision in Spino provides useful guidance, the question presented is governed by federal rather than state law. HN18  The admissibility of the evidence ultimately turns on a balancing of its probative value versus its prej- udicial effect, and we have held that in


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *27

Page 31



*27        a  federal  court  the  Federal  Rules  of  Evidence govern procedural issues of this nature. See, e.g., Diehl v.  Blaw-Knox,  360  F.3d  426,  431  n.3  (3d  Cir.  2004)

(stating in product liability diversity action governed by Pennsylvania law that "assessment of the dangers of un- fair prejudice and confusion of the issues are procedural matters that govern in a federal court notwithstanding a state policy to the contrary") (emphasis added); Kelly v. Crown Equipment Co., 970 F.2d 1273, 1277-78 (3d Cir.

1992) (noting that relevancy provision in Federal Rules of Evidence is "arguably procedural" and therefore governs in diversity action notwithstanding contrary Pennsylvania law); Espeaignnette v. Tierney, 43 F.3d 1, 9 (1st Cir. 1994)

(federal rather than state law governs admissibility of "no prior accident" evidence in a diversity action). n7


n7 Judge Alito's concurrence cites our decision in Greiner v. Volkswagenwerk Aktiengeselleschaft,

540  F.2d  85  (3d  Cir.  1976),  as  pointing  toward the  application  of  state  law.  Our  ability  to  as- sess Greiner's rationale is hampered by the brevity of  that  opinion's  one-line  assertion  that  "Erie  R. Co. v. Tompkins compels us to follow the law of Pennsylvania." Id. at 89. We have recognized that

HN19  "the determination of whether a particular evidentiary ruling involves federal procedural law or state substantive law can be difficult," and have



quoted with approval Justice Harlan's observation that courts should consider "whether the choice of rule 'would substantially affect those primary deci- sions respecting human conduct which our consti- tutional system leaves to state regulation.'" Schulz v. Celotex Corp., 942 F.2d 204, 207 (3d Cir. 1991)

(quoting Hanna v. Plumer, 380 U.S. 460, 475, 14 L. Ed. 2d 8, 85 S. Ct. 1136 (1965) (Harlan, J., concur- ring)). Greiner dealt with the rules governing the admissibility of evidence of a plaintiff's alleged in- toxication in a product liability suit against a motor vehicle manufacturer. See 540 F.2d at 89-90. Such rules, similar to state rules regulating the admissi- bility of evidence concerning a plaintiff's non-use of a seatbelt, Dillinger v. Caterpillar Inc., 959 F.2d

430,  434 n.11 (3d Cir. 1992),  arguably are inter- twined with the manner in which states seek to reg- ulate primary behavior involving the operation of motor vehicles on public roads, and as such may fall on the substantive side of the substance/procedure dichotomy.  This  distinguishing  factor,  combined with our more recent statements in Kelly and Diehl characterizing  as  "procedural"  FRE  407's  provi- sions concerning evidence of subsequent remedial measures, leads us to conclude that federal law gov- erns the question presented here.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *28

Page 32




*28


HN20  Under the Federal Rules of Evidence,  sub- ject  to  certain  limitations,  all  evidence  is  admissible  if it  is  relevant,  i.e.,  if  it  tends  to  make  the  existence  or nonexistence of a disputed material fact more probable than it would be without that evidence. See Fed. R. Evid.

401, 402. Pursuant to Rule 403 of the Federal Rules of Evidence,  a district court may nonetheless exclude rel- evant evidence if the probative value of the evidence is

HN21  "substantially outweighed by the danger of un-



fair prejudice, confusion of the issues, or misleading the jury, or by considerations of undue delay, waste of time, or needless presentation of cumulative evidence." Fed. R. Evid. 403. HN22  Rule 403 is an "'umbrella rule' span- ning the whole of the Federal Rules of Evidence," and as such trial judges must apply Rule 403 "in tandem with other Federal Rules under which evidence would be ad- missible." See Coleman v. Home Depot,  Inc.,  306 F.3d

1333, 1343 (3d Cir. 2002). Where, as here, a district court fails explicitly to articulate the Rule 403 balancing, "we


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *29

Page 33



*29  either decide the trial court implicitly performed the required balance; or, if we decide the trial court did not, we undertake to perform the balance ourselves." Ansell v. Green Acres Contracting Co., 347 F.3d 515, 525 (3d Cir. 2003) (quoting Glass v. Philadelphia Electric Co.,

34 F.3d 188, 192 (3d Cir. 1994)). In sum, "Rule 403 rec- ognizes that a cost/benefit analysis must be employed to determine  whether  or  not  to  admit  evidence;  relevance alone  does  not  ensure  its  admissibility."  Coleman,  306

F.3d  at  1343.  However,  "there  is  a  strong  presumption that relevant evidence should be admitted,  and thus for



exclusion  under  Rule  403  to  be  justified,  the  probative value of evidence must be 'substantially outweighed' by the problems in admitting it." Id. at 1343-44.


HN23  Federal and state courts addressing the ad- missibility of evidence concerning the absence of prior accidents have recognized that the probative value of such evidence is determined in large measure by the founda- tion laid by the offering party. In Espeaignnette, the First Circuit observed that as a general rule, "evidence of the absence of prior accidents may


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *30

Page 34



*30   not be admitted unless the offering party first estab- lishes that the 'lack of accidents was in regard to products that are substantially identical to the one at issue and used in settings and circumstances sufficiently similar to those surrounding the machine at the time of the accident.'" 43

F.3d at 10 (quoting Klonowski v. International Armament Corp.,  17 F.3d 992,  996 (7th Cir. 1994)). Accordingly, most courts admitting evidence of the absence of prior ac- cidents in product liability cases have done so only where the testifying witness, usually an employee of the product manufacturer, has testified that (a) a significant number of



substantially identical products have been used in similar circumstances over a period of time; (b) the witness would likely be aware of prior accidents involving these prod- ucts;  and (c) to the witness's knowledge,  no such prior accidents  have  occurred.  See,  e.g.,  Pandit  v.  American Honda Motor Co., 82 F.3d 376, 380-81 (10th Cir. 1996)

(permitting testimony where allegedly defective feature had been included in nearly 1.9 million automobiles over eight-year period, and these other automobiles had been used


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *31

Page 35



*31  in substantially similar settings and circumstances); Espeaignnette, 43 F.3d at 10 (permitting testimony where manufacturer's president testified that eighty-seven sim- ilar products had been sold in the previous fifteen years, and that as president of company any prior accidents or claims involving these products would have come to his attention); Bilski v. Scientific Atlanta, 964 F.2d 697, 700

(7th Cir. 1992) (permitting testimony where defendant's expert  testified  that  4,000  identical  satellite  dishes  had been sold and were used under circumstances similar to those  at  plaintiff's  place  of  employment);  Hines  v.  Joy Mfg. Co., 850 F.2d 1146, 1154 (6th Cir. 1988) (permitting testimony where defendant's expert testified that original design of product dated back to the 1950s and that 200 substantially identical units had been sold by defendant); Spino, 696 A.2d at 1174 (permitting testimony where de- fendant's president indicated that over 100,000 identical ladders had been sold, and that company claims log did not reveal the existence of any prior accidents involving the allegedly defective ladder). n8



n8 Conversely, where an adequate foundation has not been laid, testimony concerning an alleged absence of prior accidents has been disallowed. See, e.g.,  Klonowski,  17 F.3d at 996 (where manufac- turer failed to show that all shotguns sold since 1980 employed trigger mechanism substantially identi- cal to shotgun that injured plaintiff, trial court prop- erly refused to allow defendant's expert to testify as to number of shotguns sold without injury); Walker v.  Trico  Mfg.,  487  F.2d  595,  599  (7th  Cir.  1973)

(holding  that  it was error  for  trial  court  to  admit evidence of lack of prior accidents where similarity of forty-five units previously sold was not known); Balsley v. Raymond Corp., 232 Ill. App. 3d 1028,

600  N.E.2d  424,  426-27,  175  Ill.  Dec.  493  (Ill. App. Ct. 1992) (trial court abused its discretion in admitting  testimony  concerning  absence  of  prior accidents  where  expert  was  unable  to  show  that other forklift users had followed identical battery recharging process).


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *32

Page 36




*32


With  respect  to  the  conceptual  underpinnings  of this  foundation  requirement,  Espeaignnette  stated  that it  was  unclear  "whether  such  preliminary  requirements are aimed at preventing the admission of irrelevant evi- dence under Rule 402, excluding relevant evidence that is unfairly prejudicial and confusing under Rule 403, or both . . . ." Id. We think HN24  the foundation require- ment discussed in these cases is best described as a tool meant to aid in the balancing inquiry under Rule 403 or its state analog. There is little doubt that as a general matter



evidence concerning the absence of prior accidents can satisfy the relevance threshold established by Rule 402. Courts  have  indicated  that  such  evidence  may  be  rele- vant to show (1) the absence of the alleged defect;  (2) the lack of a causal relationship between the injury and the defect or condition charged; and (3) the nonexistence of  an  unduly  dangerous  situation.  See,  e.g.,  Pandit,  82

F.3d at 380; Espeaignnette, 43 F.3d at 9-10; Hines, 850

F.2d at 1152. Notwithstanding the potential relevance of such evidence under Rule 402, its probative value must be carefully balanced, pursuant


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *33

Page 37



*33    to  Rule  403,  against  its  possible  prejudicial  ef- fect. Testimony concerning an alleged absence of prior accidents,  if  offered  without  a  proper  foundation,  can create risks of unfair prejudice that may substantially out- weigh whatever probative value the evidence otherwise has. Thus, courts assessing the admissibility of such ev- idence  emphasize  the  contextual  nature  of  the  inquiry, which turns upon the facts and circumstances of each par- ticular case. See Espeaignnette,  43 F.3d at 10;  Walker,

487 F.2d at 599;  Spino,  696 A.2d at 1173-74;  Jones v. Pak-Mor Mfg. Co., 145 Ariz. 121, 700 P.2d 819, 824-25




(Ariz. 1985).


The importance of the foundation requirement is un- derscored by the potential for unfair prejudice that may result from such evidence. The Arizona Supreme Court's thorough  opinion in Jones  summarized  the concerns  at issue. First, the mere fact that a witness does not know of  any  prior  accidents  does  not  prove  that  no  such  ac- cidents  occurred.  See  Jones,  700  P.2d  at  824.  Second, generalized assertions concerning an alleged absence of accidents over an extended period of time can be directly rebutted


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *34

Page 38



*34    only with specific evidence of prior occurrences, but  such  evidence  may  be  difficult  or  impossible  for  a plaintiff to obtain in cases where the defendant has not kept records concerning the safety history of its products. See id. at 824-26. Third, the absence of prior accidents may simply mean that the plaintiff was the first to be in- jured; there is always a first victim. See id. at 825; Spino,

696 A.2d at 1173. Fourth, testimony concerning the ab- sence of prior accidents "does not tell us how many near- accidents, nor how many fortuitous escapes from injury, may have occurred . " See Jones, 700 P.2d at 826.



This  fourth  concern  is  especially  salient  in  product liability  cases  arising  under   HN25   Pennsylvania  law, which deems a product defective if it "left the supplier's control lacking any element necessary to make it safe for its intended use." Lewis v. Coffing Hoist Div., Duff-Norton Co., 515 Pa. 334, 528 A.2d 590, 593 (Pa. 1987) (quoting Azzarello v. Black Bros. Co., 480 Pa. 547, 391 A.2d 1020,

1027 (Pa. 1978)). The Pennsylvania Supreme Court has stated that "products are to be evaluated at the time of distribution


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *35

Page 39




*35        when  examining  a  claim  of  product  defect."

Duchess v. Langston Corp., 564 Pa. 529, 769 A.2d 1131,

1142 (Pa. 2001). Pennsylvania's approach is reflected in the  fact  that  risk-utility  analysis  concerning  whether  a product  is  unreasonably  dangerous  (which  is  required under  §  402A  of  the  Restatement  (Second)  of  Torts)  is performed  by  the  trial  judge  rather  than  the  jury.  See Azzarello, 391 A.2d at 1026. "In answering this question a court is essentially making a social policy determina- tion and acting as both a social philosopher and a risk-




utility economic analyst." Riley v. Warren Mfg. Inc., 455

Pa. Super. 384, 688 A.2d 221, 224 (Pa. Super. Ct. 1997)

(citing Fitzpatrick v. Madonna, 424 Pa. Super. 473, 623

A.2d  322,  324  (Pa.  Super.  Ct.  1993)).  Thus,  where  the plaintiff has surmounted this initial hurdle and the case has reached the jury, the jury's focus is on the product in se, and specifically on whether the product as designed presents a potential danger to the intended user.


The  nature  of  this  inquiry  is  such  that  evidence  of near-misses or fortuitous escapes would be highly


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *36

Page 40



*36   probative of the existence of a danger, and thus of the existence of a defect. Such evidence, however, is by definition extremely difficult to obtain, if for no other rea- son than that a user who has fortuitously escaped injury may not even recognize that he was exposed to danger in the first place. Permitting a product liability defendant to introduce testimony concerning an alleged absence of prior accidents may thus create a misleading impression as to whether a defect exists,  due to the potential inac- cessibility of contrary probative evidence that would cast doubt  upon  the  product's  safety.  It  may  also  divert  the jury's focus onto a balancing of the product's proven costs vis-a--vis its proven benefits, notwithstanding that this is- sue will already have been resolved in the plaintiff's favor




by the trial judge's earlier risk-utility analysis. n9


n9 As set forth above, the evidentiary issues in this case are governed by federal rather than state law.  However,   HN26   Rule  401  of  the  Federal Rules of Evidence defines relevance by reference to  facts  "of  consequence  to  the  determination  of the  action."  Thus,  the  substantive components  of Pennsylvania products liability law are "critical" in determining the relevance and probative value of the evidence that was offered at trial. Diehl,  360

F.3d at 431 n.3.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *37

Page 41




*37


To  summarize  the  applicable  analytical  framework,

HN27  in federal court the admissibility of evidence con- cerning an absence of prior accidents is governed by fed- eral law. The admissibility of such evidence turns on the facts and circumstances of each case. HN28  Testimony concerning  an  alleged  absence  of  prior  accidents  will usually  satisfy  the  relevance  threshold  established  by Rule 402. Such testimony,  however,  by its very nature, raises significant concerns regarding unfair prejudice to the plaintiff, and these concerns are heightened in prod-



uct liability cases arising under Pennsylvania law. District courts are required under Rule 403 to balance the proba- tive value of such evidence against its likely prejudicial effect, but the evidence may not be excluded unless the unfair prejudice created by admitting the evidence would substantially outweigh its probative value. In an effort to ascertain probative value and minimize undue prejudice, other courts considering such evidence have consistently insisted that the offering party lay a proper foundation. In most cases the required foundation has involved three elements:  (a) similarity -  the defendant must show that the proffered testimony


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *38

Page 42



*38    relates to substantially identical products used in similar circumstances; (b) breadth -  the defendant must provide the court with information concerning the num- ber of prior units sold and the extent of prior use; and (c) awareness - the defendant must show that it would likely have known of prior accidents had they occurred.


The facts and circumstances surrounding the disputed testimony at issue in this case present an uncommon sce- nario. Prior cases have usually involved a product liability defendant's attempt to introduce evidence concerning the absence  of prior accidents  through  the testimony of its



own witness,  typically a corporate officer or an expert. Here, in contrast, Beloit sought to introduce safety his- tory evidence by extracting testimony during the cross- examination of two witnesses who were long-time em- ployees of the Jefferson-Smurfitt paper mill. Beloit also restricted  its questions to the safety history of the spe- cific Gloss Calender that was installed at the Jefferson- Smurfitt mill. This narrower focus was understandable, because Wong, Beloit's corporate designee, admitted in his deposition that he knew of no records or databases relating to either safety


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *39

Page 43



*39   complaints by Beloit's customers or past accidents involving  Beloit's  Gloss  Calender  machines.  Thus,  any attempt by Beloit to introduce through its own witness a broad claim with respect to the safety history of Beloit's Gloss Calender machines would likely have been fore- closed by the witness's inability to show that he or she would have known of prior accidents had they occurred. The  question  now  before  us  is  whether  Beloit,  by focusing  solely  upon  the  single  Gloss  Calender  at  the Jefferson-Smurfitt mill, so diluted the probative value of the testimony in question as to render it inadmissible in light of the potential for unfair prejudice that inheres in



all  such  testimony.  We  answer  this  question  in  the  af- firmative, and hold that the testimony should have been excluded pursuant to Rule 403.


We reach this conclusion for several reasons. Our pri- mary concern is that notwithstanding the disputed testi- mony, we have no idea whether there were prior accidents involving  Beloit's  allegedly  defective  Gloss  Calenders. The record is clear that Beloit designed and sold its Gloss Calenders  to  many  customers  over  a  period  of  several decades. Wong, who at one time personally led Beloit's Gloss


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *40

Page 44



*40   Calender design group, testified that to his knowl- edge Beloit kept no records concerning whether injuries or accidents involving these Gloss Calenders might have occurred during the decades prior to Forrest's accident. The  combination  of  (a)  the  existence  of  multiple  other Beloit Gloss Calenders of similar or identical design; (b) the  likely  use  of  these  Gloss  Calenders  in  similar  cir- cumstances over a period of several decades; and (c) the absence  of  any  evidence  concerning  the  safety  history of these other Gloss Calenders, leaves us with no reliable way to determine the probative value of what is essentially



anecdotal testimony from two former Jefferson-Smurfitt employees concerning a single Gloss Calender installed at a single mill. Thus, we can do little more than engage in rank speculation concerning the "probative value" side of the Rule 403 balancing equation.


The same uncertainty that hampers our ability to as- certain the probative value of the disputed testimony also undermines Forrest's ability to respond. Forrest could of course speculate that other accidents might have occurred on one or more of the Beloit Gloss Calenders used at other mills over the past forty years. Such


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *41

Page 45



*41   speculation, however, is unlikely to have anywhere near the same effect on the jury when compared to the concrete  testimony  from  two  witnesses  concerning  the specific Gloss Calender involved in Forrest's accident.


The asymmetry in the persuasive force of the cross- examination testimony extracted by Beloit and the spec- ulative  nature  of  Forrest's  potential  response  highlights two ways in which Forrest was unfairly prejudiced. First, Forrest's inability to address the issue in a more concrete fashion is traceable in large measure to Beloit's failure to maintain records concerning the safety history of its own



products. Second, the advantage Beloit gains over Forrest in  this  situation  is  not  primarily  the  result  of  the  natu- ral probative force of the disputed testimony; indeed, the disputed testimony leaves us no way of knowing whether the  absence  of  prior  accidents  involving  the  Jefferson- Smurfitt Gloss Calender was an aberration,  as opposed to a typical example of industry experience with substan- tially identical Beloit Gloss Calenders. This problem is basically a variation of a general concern applicable to all similar evidence from which a jury is asked to draw a negative inference:


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *42

Page 46



*42   Witnesses testify from limited knowledge, and the fact that a particular witness is unaware of prior accidents does not mean such accidents have not occurred. We be- lieve that given these considerations, the potential harm Forrest suffered as a result of Beloit's reliance on the dis- puted testimony constitutes  the sort of unfair prejudice that Rule 403 is meant to combat. See Coleman, 306 F.3d at 1343, n.6. n10


n10 "It is worth stressing that HN29  the term

'unfair prejudice' as a factor against which the pro-



bative value of evidence is weighed under Rule 403 is often misstated as mere prejudice. Indeed,  any evidence that tends to harm a party's case could be said to be prejudicial. Thus, the prejudicial effect of admitting the evidence must rise to the level of creating an unfair advantage for one of the parties for the evidence to be excluded under Rule 403." Coleman, 306 F.3d at 1343 n.6.



The disputed testimony at issue is also troubling in light of Rule 403's reference to "confusion


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *43

Page 47



*43    of the issues" and "misleading the jury." Isolated testimony  concerning  the  alleged  safety  history  of  the Gloss Calender on which Forrest was injured tends natu- rally to focus the jury's attention upon that specific Gloss Calender. This focus may lead the jury to generalize from the limited experience surrounding one Gloss Calender to a broader conclusion concerning the overall safety of Beloit's Gloss Calender design. HN30  Pennsylvania law, however, focuses on the design of the product in the ab- stract, rather than the safety history of a particular unit. See Duchess,  769 A.2d at 1142. Thus,  to the extent an



inference concerning the safety of a product's design can be drawn from a product's safety history, the reliability of such an inference is determined in large measure by the scope of the available safety history information. Here, of course, the information relied upon by Beloit does not cover all of Beloit's prior Gloss Calenders, or even a ma- jority of them. Thus, to the extent this evidence could lead the jury to an inference concerning the overall safety of Beloit's Gloss Calender design,  we cannot discount the possibility that the inference would be based on either


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *44

Page 48



*44        false  assumptions,  unsupported  speculation,  or both.


All of the foregoing concerns with respect to possible unfair prejudice and jury confusion are in addition to the generally applicable concerns discussed earlier. Of partic- ular significance is that the HN31  evidence concerning the absence of prior accidents does not account for "near accidents" and "fortuitous escapes." See Jones, 700 P.2d at 826. The risk of jury confusion and unfair prejudice arising as a result of this issue is especially acute under Pennsylvania law, where the jury's defect determination turns  not  upon  a  risk-utility  analysis,  but  instead  upon



whether the product as designed lacks a necessary safety feature. See Lewis, 528 A.2d at 593.


HN32   In  a  risk-utility  analysis,  avoidance  of  ac- cidents  through  extra  care  by  product  users,  and  post- purchase employer precautions such as additional safety training for workers, may affect the analysis of whether the product as designed was "unreasonably dangerous." See  Surace  v.  Caterpillar,  Inc.,  111  F.3d  1039,  1046

(3d  Cir.  1997)  (discussing  risk-utility  analysis  under Pennsylvania law, and citing factors including "the user's ability


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *45

Page 49



*45   to avoid danger by the exercise of care in the use of the product" and "the user's anticipated awareness of the dangers inherent in the product and their avoidabil- ity,  because  of  .  .  .  the  existence  of  suitable  warnings or instruction") (quoting Dambacher v. Mallis,  336 Pa. Super. 22, 485 A.2d 408, 423 n.4 (Pa. Super. Ct. 1984)). These  same  factors,  combined  with  good  fortune,  may also contribute to a lack of prior accidents involving the allegedly  defective  product.  Consideration  of  such  fac- tors,  however,  is not within the province of the jury in Pennsylvania; instead, the jury is to focus on the design of the product as it existed when it left the supplier's con- trol. n11 See Duchess, 769 A.2d at 1142; Lewis, 528 A.2d at 590; Azzarello, 391 A.2d at 1027.


n11 In practice, the result is that design defect cases governed by Pennsylvania law generally boil down  to  a  battle  between  competing  expert  wit-



nesses. It is not our place to question from a sub- stantive  standpoint  the  desirability  of  this  aspect of Pennsylvania's products liability law. We note, however, that such battles may be particularly con- fusing for lay jurors. In this context, any testimony that leaves the ethereal realm of expert opinion and discusses real-world prior experience is likely to have an especially profound impact upon the jury, particularly when the time comes to apply the trial testimony to complex and abstract legal concepts such as "defect" and "proximate cause." That jurors in Pennsylvania products liability cases may place disproportionate weight upon testimony from lay witnesses concerning prior real-world events rein- forces our view that the wrongful admission of the disputed testimony at issue here was not harmless error.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *46

Page 50




*46


These  characteristics  of  Pennsylvania  law  create  a heightened risk that testimony concerning the alleged ab- sence of prior accidents may confuse or mislead the jury.

HN33  Under Pennsylvania law, the lack of a necessary safety  feature  when  the  product  leaves  the  factory  de- termines whether the product is defective. In arguing to the jury in a case governed by Pennsylvania law, a prod- uct liability defendant may not invoke an alleged absence of  sufficiently  severe  or  frequent  injuries  in  support  of an assertion that a product's social utility outweighs its otherwise defective design. There is a danger, however,



that  testimony  concerning  the  alleged  absence  of  prior accidents  may  tend  to  lead  the  jury  towards  forbidden inferences of this sort.


Moreover, as discussed above, HN34  the close rela- tionship under Pennsylvania law between the existence of danger and the existence of a defect demonstrates that to the extent the absence of prior accidents is probative, the presence of prior near-accidents or fortuitous escapes is equally probative. Such evidence, however, is inherently difficult to obtain, and thus plaintiffs such as Forrest may be  left  at  an  unfair  disadvantage,  in  that  safety  history testimony


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *47

Page 51



*47   proffered by defendants such as Beloit may appear to be more probative than it actually is, but its shortcom- ings will not be fully exposed before the jury.


A number of the concerns set forth above are aspects of prejudice that arise from the unique facts of this case. Others, however, are more or less equally applicable to all evidence concerning an alleged absence of prior acci- dents. We note this to emphasize that HN35  the mere existence of potential unfair prejudice to the plaintiff does not  in  and  of  itself  justify  the  exclusion  of  safety  his- tory  evidence  offered  by  a  product  liability  defendant.



Nonetheless, that such concerns are always present will invariably implicate the strength of the showing a defen- dant must make in terms of establishing probative value under  Rule  403.  We  believe  this  is  why  other  federal courts that have admitted such evidence have done so in the context of a foundational showing that incorporates the elements of similarity, breadth, and awareness.


The "breadth" aspect of the foundation need not al- ways incorporate knowledge of the safety history of every unit of a particular product; there may be gaps in even the most thorough record-keeping system. Minor


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *48

Page 52



*48   gaps can legitimately be said to go to the weight of the evidence, rather than its admissibility. In the present case, however, we are not dealing with disputed testimony predicated  upon  a  solid  foundation  containing  isolated gaps; we are dealing instead with a complete absence of records that Beloit has attempted to remedy using a small fragment of anecdotal testimony.


We also note that our reference to the breadth of a proponent's evidentiary foundation should not be taken as automatically barring evidence concerning an alleged absence of prior accidents in cases involving a one-of--



a-kind product, or cases where only a small number of substantially identical units have been sold. In cases in- volving  a  unique,  one-of--a-kind  product,  there  is  less concern that testimony regarding the safety history of the single unit will present a distorted picture of the overall risks associated with the product's design. In cases involv- ing unique products or products with a small number of identical units, concerns regarding the plaintiff's access to contrary probative evidence are lessened as well, because the universe in which plaintiffs can seek such evidence is smaller and more manageable. n12


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *49

Page 53




*49






n12 Of course,  in situations involving a one- of-a--kind product or a small number of products, the  smaller  set  of  examples  of  comparable  prior use  by  persons  other  than  the  plaintiff  may  also dilute the probative value of testimony concerning the product's safety history. All of these competing variables  should  be  factored  into  the  trial  court's balancing analysis under Rule 403.



Other  concerns  endemic  to  safety  history  evidence may still exist, but we do not purport today to create a cat- egorical rule for all circumstances, instead leaving these issues in the first instance to the sound discretion of dis- trict judges. We are confident, however, that where Beloit has manufactured and sold multiple Gloss Calenders over a span of several decades, and where Beloit admits that it has compiled no information concerning the safety his- tory of these Gloss Calenders, it was prejudicial error for the  District  Court  to  permit  Beloit  to  extract  anecdotal testimony concerning a single Gloss Calender, and then to use that testimony


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *50

Page 54



*50    to argue in closing that "as far as the evidence is concerned, the only accident we know of in 36 years on the Gloss Calender was Mr. Forrest's."


III. CONCLUSION


The judgment of the District Court will be reversed and the case remanded to the District Court for a new trial consistent with this opinion.


CONCURBY: ALITO


CONCUR:  ALITO,  Circuit  Judge,  concurring  in  the judgment.


I agree that evidence of the absence of prior accidents



involving the gloss calendar at the plant in question should not have been admitted and that the plaintiff is therefore entitled to a new trial. If we were not constrained by prior circuit law, I would join the majority in holding that the admission of such evidence should be analyzed under the Federal  Rules  of  Evidence,  but  our  court's  decision  in Greiner v. Volkswagenwerk Aktiengeselleschaft, 540 F.2d

85 (3d Cir. 1976), points toward the application of state law. In addition, except for one passing reference in his District Court papers, the plaintiff's arguments at the trial level and on appeal focused exclusively on Pennsylvania law and in particular on the Pennsylvania Supreme Court's decision in Spino v. Tilley, 548 Pa. 286, 696 A.2d 1169

(Pa. 1997),


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *51

Page 55



*51   and therefore I am doubtful that an argument based on Rule 403 of the Federal Rules of Evidence is properly before  us.  However,  because  I  see  no  conflict  between state and federal law on the point in question,  I would follow the path we took in Schulz v. Celotex Corp., 942

F.2d 204, 207 (3d Cir. 1991), and I would refrain from deciding which law applies.


Under either federal or state law, Beloit did not estab- lish an adequate foundation. Beloit did not introduce its own safety records. Nor did it introduce evidence regard- ing the safety history of a large number of similar ma- chines. Instead,  in cross-examining two long-time em- ployees,  Beloit elicited testimony about the absence of prior accidents involving the machine in question. One of



the employees, Edward Marshall, testified as follows: Q. . . . You've never had an accident on the gloss calendar, correct?


A. I never had an accident, no.


Q.  Okay.  And  you're  not  aware  of  anyone other  then  (sic)  Mr.  Forrest  that's  ever  had an accident where his hand went through the gloss calendar correct? . . . .


A. No. . . . I'm only aware of Paul, that's all.


A-709.


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *52

Page 56



*52  This was the entirety of Marshall's testimony on this point. Thus, he was not asked and did not state whether he would have been aware of any accidents that occurred when he was not present. Moreover, he stated only that he had not been personally involved in any accidents on the gloss calendar and that he was not aware of any accidents in which a worker's hand "went through the gloss calen- dar." A-709. He was not asked about and did not state whether he knew of other types of accidents that might be relevant. In my view,  Marshall's brief testimony did not provide the foundation required by either Spino or the




Federal Rules of Evidence.


The other employee, William Brody,  provided a bit more information than Marshall,  but his testimony was far  from  ideal.  Specifically,  Brody's  brief  testimony  on this point focused solely on injury-producing accidents and not on any other accidents that might have been rele- vant. See A-669. In any event, even if Brody's testimony provided a barely adequate foundation, the admission of Marshall's testimony was erroneous and could not be re- garded as harmless. The foundation requirement in cases like this is important, and this requirement cannot


424 F.3d 344; 2005 U.S. App. LEXIS 19904, *53

Page 57



*53   be met in the casual way that Beloit attempted here. For these reasons, I agree that the judgment of the District



Court must be reversed and the case must be remanded for a new trial.



Contents    Prev    Next    Last


Seaside Software Inc. DBA askSam Systems, P.O. Box 1428, Perry FL 32348
Telephone: 800-800-1997 / 850-584-6590   •   Email: info@askSam.com   •   Support: http://www.askSam.com/forums
© Copyright 1985-2011   •   Privacy Statement