Urban v. Dollar Bank
Opinion of the Court
In these lawsuits, plaintiffs have filed motions to amend their complaints to raise spoliation of evidence as a separate cause of action. Defendants oppose the motions on the ground
In Urban v. Dollar Bank, plaintiff initially filed a six-count complaint seeking recovery for malicious abuse of process, intentional infliction of emotional distress, defamation, conspiracy, and negligent infliction of emotional distress. Plaintiff alleges that she was the head teller at a branch of Dollar Bank. The branch manager conspired with other employees to influence the upper management of Dollar Bank to wrongfully terminate the employment of plaintiff. Pursuant to this conspiracy, an employee of the bank wrongfully and without probable cause executed a false application for involuntary emergency examination and treatment under the Pennsylvania Mental Health Procedures Act. This application described an alleged conversation that occurred on February 7,1994 (Monday) between plaintiff and the employee in which plaintiff named bank employees whom she did not like and stated that she would have no problem bringing a gun into the bank and killing someone. According to plaintiff’s complaint, such a conversation never took place.
As a result of the filing of the application, during the afternoon of February 11, 1994 (Friday), plaintiff was taken into custody by the police at her home, involuntarily transported to St. Clair Memorial Hospital, and detained for more than three hours at which time she was released based on a finding that she was not suffering from any severe mental disability.
Plaintiff’s negligent spoliation of evidence count avers that if the reuse of the tapes was not intentional,
In Hough v. Knickerbocker Russell Company and Ground Hog Incorporated, plaintiff was seriously injured during the course of his employment while operating an earth auger. Plaintiff alleges that Ground Hog designed, manufactured, and sold the auger and that Knickerbocker Russell Company supplied the auger to plaintiff’s employer. Plaintiff has brought 402A, breach of warranty, and negligence claims against Knickerbocker and Ground Hog. The allegations include failure to warn, the sale of a dangerously defective product, the failure to include a “kill” switch, the failure to design a throttle to automatically return to an idling speed, the failure to include an on/off switch at an accessible location, and the failure to utilize a safety clutch that would have protected plaintiff.
In his proposed amended complaint, plaintiff seeks to include a claim for spoliation of evidence against Knickerbocker based on allegations that there was an agreement between counsel for plaintiff and counsel for Knickerbocker that the auger would be made available to plaintiff’s expert for further testing, that when plaintiff’s expert asked to re-examine the auger, Knickerbocker advised plaintiff’s counsel that it had been lost or sold, that Knickerbocker was eventually able to recover the auger but that it had been badly damaged, that plaintiff incurred expenses in order to prepare the auger for further testing and use at trial, and that the damage to the auger has made plaintiff’s presentation of evidence more difficult.
A tort of intentional spoliation of evidence was first recognized in Smith v. Superior Court for County of Los Angeles, 198 Cal. Rptr. 829 (Cal.Ct.App. 1984). In that case, Smith, while driving southbound, was se
Smith brought a product liability claim against the parties whom she believed to be responsible for the personal injuries that she sustained from the accident. She also sued the dealer for intentionally interfering with her opportunity to win her lawsuit.
The lower court sustained the dealer’s demurrer to the cause of action for intentional spoliation of evidence. The court of appeals reversed.
The court of appeals stated that the tort of spoliation of evidence had never been recognized; however, it cited the principle that “California has long recognized ‘[f]or every wrong there is a remedy’ and has allowed for new torts through the legislative and judicial process.” Id. at 832. (citations omitted) The court concluded that a prospective civil action in product liability is a valuable probable expectancy that the courts must protect from the kind of interference alleged in plaintiff’s complaint. Consequently, the court held that Smith was entitled to legal protection against the dealer’s alleged intentional spoliation of evidence, even though her damages could not be stated with certainty, and directed that this cause of action be heard at the same time as the cause of action for personal injuries.
Also, while Smith said that it recognized the difficulty of establishing damages with a reasonable certainty, it did not address specific damage issues. If spoliation of evidence is to be recognized, will this cause of action be considered by a jury only if the plaintiff does not recover in the underlying personal injury action or will the plaintiff be permitted to pursue a spoliation claim . on the ground that the plaintiff would have recovered a greater amount if the missing evidence had been available? If the plaintiff recovers damages in the personal injury case based on a finding that the defendant is 100 percent liable, may the plaintiff pursue a spoliation claim to recover punitive damages? If the plaintiff does not prevail in the personal injury case, in the spoliation cause of action, will the jury be instructed that it may award damages only if it believes that the plaintiff would have prevailed but for the missing evidence or will
The Smith opinion did not go unnoticed. Since 1984, numerous other jurisdictions have been asked to recognize a tort of spoliation of evidence, the contours of which have been described as sufficiently flexible so as to include whatever fact situation might be involved in the case before the court being asked to recognize this new tort.
Florida and Alaska were the first two jurisdictions that followed the Smith decision in recognizing a tort of spoliation of evidence. In Bondu v. Gurvich, 473 So.2d 1307 (Fla. Dist. Ct.App. 1984), in an underlying medical malpractice action, the court entered summary judgment in favor of the defendants because the plaintiff could not offer expert testimony to establish medical malpractice. Thereafter, the plaintiff proceeded against the hospital on the ground that the hospital negligently lost medical records that had to be reviewed before the plaintiff could obtain favorable expert testimony in the underlying medical malpractice lawsuit. The Florida Court of Appeals found that under administrative regulations promulgated by the State Health and Rehabilitation Services, the hospital had a duty to maintain the medical records that it had lost. Consequently, it held that the plaintiff could pursue a cause of action
In Hazen v. Municipality of Anchorage, 718 P.2d 456 (Alaska 1986), the plaintiff contended that she was falsely arrested for solicitation; she alleged that she had told the undercover police officer that she operated a legitimate massage parlor and that if he wanted sex he should go home and sleep with his wife or go down the block. The undercover police officer had taped his conversation with the plaintiff with a hidden recorder. This tape would, according to the plaintiff, show that she was telling the truth and that the police officer was lying.
Following dismissal of the criminal proceedings, the plaintiff filed suit against four arresting officers and the municipality of Anchorage seeking recovery for false arrest, malicious prosecution, libel, and violation of civil rights. During discovery, the plaintiff’s attorney obtained the arrest tape, but it was not audible. The plaintiff sought to add a new cause of action based on the intentional alteration of the arrest tape. The lower court fashioned an implied cause of action under the Alaska Constitution for deliberate violations of due process. The Alaska Supreme Court said that it would not decide whether a cause of action should be implied under the Alaska Constitution based on these allegations; the court said that although the issue was neither briefed nor discussed at oral argument, it concluded that there was a common-law cause of action in tort for intentional interference with prospective civil action by spoliation of evidence.
While the Bondu and Hazen cases followed and expanded the Smith decision, in general, the tort of spoliation of evidence has not been widely adopted. Many
A recent opinion of the California Court of Appeals, Fifth District, in Willard v. Caterpillar Inc., 48 Cal. Rptr. 2d 607, 617-18 (Cal.Ct.App. 1995), summarizes the case law of the various jurisdictions that have addressed the issue of whether a spoliation tort should be recognized:
“(b) Other jurisdictions
“In addition to California, Alaska, Florida, Illinois, and Kansas have recognized a civil action for spoliation of evidence. (Hazen v. Municipality of Anchorage, 718 P.2d 456, 463-64 (Alaska 1986); Bondu v. Gurvich, 473 So.2d 1307, 1312 (Fla.App. 1984); Rodgers v. St. Mary’s Hosp. of Decatur, 149 Ill.2d 302, 173 Ill.Dec. 642, 646, 597 N.E.2d 616, 620 (1992); Foster v. Lawrence Memorial Hosp., 809 F. Supp. 831, 838 (D.Kan. 1992).) Ohio and New Jersey recognize a tort of fraudulent destruction of evidence analogous to intentional spoliation of evidence. (Smith v. Howard Johnson Co. Inc., 67 Ohio (1993); General Motors Corp., 266 N.J. Super. 222, 628 A.2d 1108, 1115 (1993); Viviano v. CBS Inc., 251 N.J. Super. 113, 597 A.2d 543, 548-49 (1991).) North Carolina recognizes a cause of action for plaintiff’s increased costs of investigation stemming from defendants’ alteration of medical records. (Henry v. Deen, 310 N.C. 75, 310 S.E.2d 326, 334-35(1984).)
*21 “Several courts have refused to recognize the spoliation tort for policy reasons. (Gardner v. Blackston 185 Ga.App. 754, 365 S.E.2d 545, 546 (1988); Weigl v. Quincy Specialties Co., 158 Misc.2d 753, 601 N.Y.S.2d 774, 776 (1993); Baugher v. Gates Rubber Co. Inc., 863 S.W.2d 905, 909, 911-12 (Mo.App. 1993).) Others declined to adopt the tort on the ground traditional remedies for the destruction of evidence were sufficient to protect spoliation victims and to deter future wrongdoers. (Miller v. Montgomery County, 64 Md.App. 202, 494 A.2d 761, 768 (1985); Wilder-Mann v. United States (Nos. 87-2312 and 90-2136, D.D.C. June 28, 1993) [nonpub. opn.].)
“Finally, other courts have addressed, but not adopted, the spoliation tort for various reasons particular to the case before them. (La Raia v. Superior Court etc., 150 Ariz. 118, 722 P.2d 286, 289 (1986) [availability of alternative remedies]; Unigard Sec. Ins. v. Lakewood Engineering & Mfg., 982 F.2d 363, 371 (9th Cir. 1992) [facts of case did not indicate injury to defendant from plaintiff’s spoliation]; Federated Mut. v. Litchfield Prec. Comp., 456 N.W.2d 434, 439 (Minn. 1990) [cause of action for spoliation was ‘premature’ because damage to insurer’s subrogation claim was speculative]; accord, Kent v. Costruzione Aeronautiche Giovanni Agusta, S.p.A., (No. 90-2233, E.D. Pa. Sept. 20, 1990) [nonpub. opn.] [action premature]; Murray v. Farmers Ins. Co., 118 Idaho 224, 796 P.2d 101, 107 (1990) [no causation]; Murphy v. Target Products, 580 N.E.2d 687, 688-89 (Ind.Ct.App. 1991) [employer has no duty to preserve potential evidence for employee’s possible third-party action]; accord, Panich v. Iron Wood Products Corp., 179 Mich. App. 136, 445 N.W.2d 795, 797 (1989); Diehl v. Rocky Mountain Communications, 818 S.W.2d 183, 184 (Tex.Ct. App. 1991); Edwards v. Louisville*22 Ladder Co., 796 F. Supp. 966 (W.D. La. 1992); Wilson v. Beloit Corp., 921 F.2d 765 (8th Cir. 1990) [absent special relationship or duty arising by reason of contract, statute or other special circumstance, no obligation to preserve possible evidence for another party to aid that party in future litigation against another]; and see Annot., Intentional Spoliation of Evidence, Interfering With Prospective Civil Action, As Actionable, 70 A.L.R.4th 984 (1989).)”
Subsequent case law in the three jurisdictions that initially recognized a civil action for spoliation of evidence has narrowed this cause of action. In Willard v. Caterpillar Inc., supra, the California Court of Appeals reversed a jury verdict in the plaintiff’s favor where the trial court had permitted recovery upon a finding of (1) pending or probable civil litigation, (2) the defendant’s knowledge that the litigation is pending or probable, (3) willful destruction of evidence, (4) intent to interfere with the plaintiff’s prospective civil suit, (5) a causal relationship between the evidence destruction and the inability to prove the lawsuit, and (6) damages. The court of appeals ruled that a claim for intentional spoliation of evidence should not be submitted to a jury without an initial judicial determination that balances various policies and interests on a case-by-case basis taking into account (1) the nature and seriousness of the harm to the injured party, (2) the interest promoted by the actor’s conduct, (3) the character of the means used by the actor, and (4) the actor’s motive. Also see, Reid v. State Farm Mutual Insurance, 218 Cal. Rptr. 913 (Cal.Ct.App. 1985), where the court held that an insurance company had no duty to its insured to preserve a wrecked vehicle as evidence absent a specific request from the insured to do so.
In Miller v. Allstate Insurance Co., 650 So.2d 671 (Fla. Dist. Ct.App. 1995), the Florida Court of Appeals reversed a judgment against an insurance company that had breached a promise to the plaintiff to return the wrecked car because of the plaintiff’s failure to pursue the underlying product liability claim. In response to the plaintiff’s argument that it would have been frivolous to proceed against the manufacturer because of the expert’s inability to offer an opinion on the issue of product defect, the court said that the plaintiff was ignoring the product defect inference which is available to certain product liability claimants.
In Continental Insurance Co. v. Herman, 576 So.2d 313 (Fla. Dist. Ct.App. 1990), the Florida Court of Appeals set aside a jury verdict for the plaintiff in a suit for negligent destruction of evidence. In that case, the plaintiff was seriously injured when the car which she was operating was struck by an uninsured motorist.
Continental was the plaintiff’s insurance company. Continental had control of the plaintiff’s damaged automobile. It promised the plaintiff’s counsel that it would be preserved for counsel’s inspection; by mistake, it was destroyed.
The plaintiff then brought this lawsuit for negligent destruction of evidence contending that Continental’s negligent failure to preserve the evidence prevented the plaintiff from offering a stronger case in the arbitration proceeding. The jury determined that the negligent failure to preserve the vehicle was a legal cause of loss to the plaintiff and that the plaintiff was only 65 percent negligent in causing the collision. Consequently, the plaintiff was awarded an additional $645,000 above the $860,000 arbitration award. This verdict was set aside. The Florida Court of Appeals held that the plaintiff had no cause of action for destruction of evidence because as a matter of law the plaintiff had not suffered a significant impairment of the ability to prove the underlying lawsuit.
Courts that have declined to follow Smith, generally accept the opinion’s premise that courts may create new torts under appropriate circumstances. Their disagreement is with the premise that there is a need for this tort. They believe that there are other remedies for the destruction of evidence that are more effective, more efficient, and fairer.
In Miller v. Montgomery County, 494 A.2d 761 (Md.Ct. Spec. App. 1985), the plaintiff was injured in an automobile accident caused by a malfunctioning traffic signal. Montgomery County had responsibility
“The destruction or alteration of evidence by a party gives rise to inferences or presumptions unfavorable to the spoliator, the nature of the inference being dependent upon the intent or motivation of the party ....
“In either event, the remedy for the alleged spoliation would be appropriate jury instructions as to permissible inferences, not a separate collateral action. The court did not err in sustaining the demurrer to the second count of appellant’s amended declaration.” Id. at 768.
In Boyd v. Travelers Insurance Co., 652 N.E.2d 267 (Ill. 1995), the plaintiff was seriously injured by an explosion allegedly caused by propane gas escaping from a Coleman heater. The plaintiff filed a claim for workers’ compensation benefits. Travelers, the workers’ compensation insurer of the plaintiff’s employer, took possession of the Coleman heater, telling the plaintiff that it needed the heater in order to investigate the claim. Its representatives told the plaintiff that Travelers would inspect and test the heater to determine the cause of the explosion.
When the plaintiff asked that the heater be returned to him in order to institute legal proceedings against Coleman, Travelers was unable to locate it.
The plaintiff filed a five-count complaint against Travelers and Coleman. The claims against Travelers included causes of action for negligent spoliation of evidence and for willful and wanton spoliation of evidence. The Illinois Supreme Court ruled that the plaintiff could proceed against Travelers because its claims for neg
Also see, Sweet v. Sisters of Providence in Washington, supra, where the court concluded that the remedy of burden shifting is a sufficient response to the loss or destruction of records.
No Pennsylvania appellate court has addressed the issue of whether Pennsylvania will recognize spoliation of evidence as a separate cause of action.
In Olson v. Grutza, 428 Pa. Super. 378, 631 A.2d 191 (1993), the injured parties suedalessor of equipment who joined the manufacturer. The manufacturer joined two other parties on the ground that they had destroyed relevant evidence, thereby seriously prejudicing the ability of the manufacturer to defend. The issue that the Superior Court decided was whether the manufacturer’s spoliation claims were related to the claim which the plaintiff had asserted against the original defendant. The court said that joinder was not permitted under Pa.R.C.P. 2252 because the evidence needed to establish a cause of action for destruction/spoliation of evidence is different from the evidence needed to establish negligence for the plaintiff’s injuries. Because it found that the spoliation claim did not satisfy the joinder conditions of Rule 2252, the court said that it would not
I am aware of five common pleas court opinions that have decided whether spoliation may be raised as a separate cause of action.
In Lichty v. Kucharczuk, 5 D.&C.4th 120 (Northampton 1989), Judge Freedberg ruled that there is no cause of action for spoliation where the alleged spoliation is known prior to the trial of the principal case and the alleged spoliator is a party to that case. The court stated that the spoliation can be effectively employed at trial to undermine the credibility of the defendants; there is no need for a separate cause of action for spoliation.
In Johnson v. Patel, 19 D.&C.4th 305, 309-310 (Lackawanna 1993), the plaintiffs’ complaint included a separate count based on allegations that the defendants had intentionally altered the plaintiffs’ medical records. Judge Cottone, citing Lichty, ruled that the plaintiffs could not maintain a separate cause of action for spoliation or fraud based upon spoliation.
In Liebig v. Consolidated Rail Corp., 31 Lebanon Co. Leg. J. 188 (1994), the defendant had destroyed evidence that would have established the speed of the
In Taylor v. Johnson Products Co. Inc., 115 Dauphin Co. Rep. 398 (1995), Judge Turgeon followed Liebig v. Consolidated Rail Corp. She also stated that spoliation of evidence is an alternative áction available only where the plaintiff does not succeed on the substantive claims because of the lack of evidence due to its spoliation.
In Rhoads v. Pottsville Hospital, 31 D.&C.4th 500 (1996), Judge Baldwin entered an opinion in which he rejected the Liebig and Taylor opinions because:
“In each case if it were determined that the defendant’s actions have made it impossible for the plaintiffs to prove the facts necessary to support their cause of action, as a sanction those facts could be presumed to have been established for purposes of pretrial motions and the jury directed to infer their existence at the time of trial. Then in the context of the issues present and related to the underlying action, the jury could determine whether the plaintiffs have met their burden*29 of proof with the benefit of the judicially directed inferences and what, if any, damages the plaintiffs incurred as a result of the defendants’ actions, assuming those facts to have been established. Instead it is suggested that the plaintiff proceed to trial with the available evidence and, if successful, then have the jury consider the spoliation of evidence claim and attempt to determine whether the destruction of evidence caused a significant impairment in the ability of the plaintiff to win the lawsuit, after which the jury must then calculate some form of damages. In the absence of any remedial adverse inference because of the lost evidence, the jury would have to speculate what the lost evidence would have shown and to what degree it would have contributed to the plaintiff’s success in the underlying suit. The use of remedial inferences has the dual benefit of obviating the need for speculation and maximizing judicial economy by avoiding consideration of a parallel cause of action.” Id. at 13.
I agree with Judge Baldwin that the use of remedial adverse inferences rather than the recognition of a new tort is the more appropriate approach for addressing a spoliation of evidence claim against a defendant
The tort of spoliation of evidence offers an all or nothing approach. It does not provide a remedy that is based on a weighing of each of the factors and interests that should be considered in determining the nature of any relief that should be provided to a plaintiff when a defendant has lost or destroyed evidence that might have assisted the plaintiff in presenting its claim.
An opinion of the United States Court of Appeals for the Third Circuit in Schmid v. Milwaukee Electric Tool Corp., 13 F.3d 76 (3d Cir. 1994), discusses the manner in which a court should exercise its inherent powers to sanction parties for destruction of evidence on a case-by-case approach that gives consideration to the degree of fault on the part of the party accused of spoliation and the degree of prejudice to the opponent.
Spoliation of evidence has always been a problem. Courts have effectively addressed this problem through the exercise of their inherent powers to exclude evidence and to create inferences.
Pennsylvania courts do not create new torts where existing law provides adequate remedies to address the claims raised by a party requesting the recognition of a new tort. Creeger Brick and Building Supply Inc. v. Mid-State Bank and Trust Co., 385 Pa. Super. 30, 37, 560 A.2d 151, 154-55 (1989); DeAngelo v. Fortney, 357 Pa. Super. 127, 132, 515 A.2d 594, 596 (1986);
ORDER
No. GD94-8935
On October 23, 1996, it is hereby ordered that plaintiff’s motion to amend her complaint is denied.
ORDER
No. GD95-2892
On October 23, 1996, it is hereby ordered that plaintiff’s motion to amend his complaint is denied.
. A court should deny a motion to amend if the proposed amendment does not contain factual allegations that set forth a valid cause of action. Stephenson v. Greenberg, 421 Pa. Super. 1, 617 A.2d 364 (1992).
. The Smith opinion analogized the spoliation claim to the tort of intentional interference with business expectations, the elements
. Also, spoliation was discussed in Pacelli v. American High Reach Inc., 144 P.L.J. 463 (1996), where the plaintiff's requests for a motion in limine to bar certain evidence and for a point for charge on an adverse inference based on spoliation of evidence were denied. Judge Strassburger of this court stated that there is no precedent in Pennsylvania for the plaintiff’s motion in limine or requested point for charge because no case has ever applied the concept of spoliation of evidence to a defendant. His opinion further stated that even if the concept of spoliation of evidence would apply when a defendant fails to preserve evidence, the facts of the case did not warrant precluding the defendants from presenting their evidence.
. Judge Baldwin’s opinion allows remedial inferences to be imposed prior to trial. This addresses the concern that inferences would be futile if a case fails to reach the trier of fact because of summary judgment or nonsuit.
. The court’s opinion recognized that the propriety of spoliation inferences are well-established in most jurisdictions including Pennsylvania. In fact, since the early seventeenth century, courts have admitted evidence tending to show that a party destroyed evidence relevant to the dispute being litigated. Id. at 78.
. See e.g., the line of cases (DeWeese v. Anchor Hocking, 427 Pa. Super. 47, 628 A.2d 421 (1993); Roselli v. General Electric Co., 410 Pa. Super. 223, 599 A.2d 685 (1991); Santarelli v. BP America, 913 F. Supp. 324 (M.D. Pa. 1986)) addressing the plaintiff’s inability to produce evidence.
Case-law data current through December 31, 2025. Source: CourtListener bulk data.