KLINGENSMITH, J.
Plaintiff moves for rehearing, clarification, or certification. Defendants move for rehearing and rehearing en banc. We grant the motion for rehearing en banc, withdraw our previous opinion, and substitute this opinion in its place. In doing so, we reverse the final judgment and remand the case for a new trial.
Tobacco defendants, R.J. Reynolds Tobacco Company ("RJ Reynolds"), Philip Morris USA Inc. ("Philip Morris"), Lorillard Tobacco Company ("Lorillard"),
They jointly argue the trial court erred in denying their motions for new trial based upon the repeated inflammatory arguments of plaintiff's counsel. They jointly argue the court erred in instructing the jury on the fraud-based claims. They jointly argue the compensatory and punitive damage awards must be either reduced or set aside for various reasons. They jointly argue the court erred in entering the final judgment jointly and severally after the jury found Johnnie Calloway ("decedent") to be at fault. Lastly, they argue the use of the Engle
Liggett argues it, Philip Morris, and Lorillard are entitled to a credit against the punitive damage award.
Plaintiff cross-appeals, arguing the trial court erred in sustaining certain defense objections concerning plaintiff's counsel's arguments.
The second amended complaint alleged counts against defendants for strict liability, negligence, fraudulent concealment,
The trial court granted defendants' motion to trifurcate the trial.
Testimony revealed the decedent started smoking at fifteen, eventually smoking up to three packs per day. Expert testimony established that "nicotine addiction is a huge barrier to people having a free choice whether to smoke" and most people continue to smoke because they are addicted, not because they want to.
Plaintiff's expert testified that during the decedent's childhood, tobacco companies spent billions of dollars to give the impression smoking was okay. Tobacco companies used the Tobacco Institute, and the Tobacco Industry Research Committee to accomplish this. Plaintiff used video clips and testimony to show how the tobacco companies spun the health concerns over cigarettes.
The decedent's brother testified about the decedent's exposure to the tobacco companies' messages. They saw ads claiming more doctors smoked Camels, which led them to think "if it's good enough for the doctors, it should be good enough for everybody."
In September 1991, the decedent suffered a heart attack and was hospitalized for several weeks. In May 1992, the decedent was diagnosed with bladder cancer. He returned home after chemotherapy, but was again hospitalized when he collapsed. He soon died of septic shock. A doctor connected the bladder cancer to his smoking and death. The decedent died just before his twentieth wedding anniversary when his daughter was around sixteen.
Throughout the trial, plaintiff's counsel made numerous statements that were objected to by defense counsel. The court sustained the objections, instructed the jury to disregard the comments, and denied defense motions for mistrial.
Defendants moved for mistrial after closing and rebuttal, arguing the singular and cumulative effect of plaintiff's counsel's improper comments. They argued the comments were inflammatory, repeatedly sustained, and were based on matters not in evidence. The court denied the motions for mistrial.
The court refused to use the defense's proposed reliance instruction for the conspiracy and fraudulent concealment claims. The court instructed the jury — over a defense objection — that the comparative fault findings applied to only the non-intentional torts and the compensatory award would not be comparatively reduced if the jury found for plaintiff on the intentional tort questions. Defendants argued this case was about negligent products liability. Plaintiff responded that it was an intentional tort case based upon fraudulent concealment.
In Phase I, the jury found plaintiff was a member of the Engle class. In Phase II, the jury found that, both before and after the trigger date for the statute of repose, defendants' individual fraudulent concealment and conspiracy to commit fraudulent concealment were all legal causes of the decedent's death. It awarded $9,000,000 in non-economic damages to the plaintiff and
Parties % of Fault Decedent 20.5% Philip Morris 25% RJ Reynolds 27% Lorillard 18% Liggett 9.5%
The court entered final judgment for compensatory damages against the defendants jointly and severally. In Phase III, the jury assessed the following punitive damages:
Defendant Punitive Damages Philip Morris $17.4 million RJ Reynolds $17.25 million Lorillard $12.6 million Liggett $7.6 million
All defendants moved for a new trial based upon plaintiff's counsel's inflammatory statements during Phase II. They claimed error in the jury instructions, and requested a reduction in compensatory damages. The court denied the motions. Philip Morris, Lorillard, and Liggett moved to strike the punitive damage awards based on a partial settlement agreement reached with the Engle class. The court denied the motions.
Liggett moved for a judgment notwithstanding the verdict, a new trial, and remittitur, arguing that plaintiff's counsel made inflammatory remarks during Phase III, and introduced financial evidence regarding Liggett that was outside the record. It also argued the punitive and compensatory damage awards were excessive. The court denied the motions. Defendants filed their notice of appeal and plaintiff cross-appealed.
We address three issues in this opinion: (1) plaintiff's counsel's comments; (2) the jury instructions; and (3) the application of comparative negligence.
The tobacco defendants argued for a new trial based on the singular and cumulative
Defendants argue that the comments and argument of plaintiff's counsel were so improper that their cumulative effect during the Phase II proceedings was such that the jury verdict was unduly based upon passion and prejudice. Based on our review of the record, we agree.
"A trial court's denial of a motion for mistrial and a motion for new trial based on improper closing arguments are reviewed for abuse of discretion." Whitney v. Milien, 125 So.3d 817, 818 (Fla. 4th DCA 2013). Rather than commenting on each and every one of the highly improper and inflammatory remarks that plaintiff's counsel made to the jury, we need only highlight a few examples of the more egregious remarks that occurred during the Phase II proceedings.
Over the course of plaintiff's counsel's thirty-three page opening at the start of Phase II, the court sustained fourteen separate defense objections to counsel's argumentative comments that included the following:
During the Phase II closing and rebuttal, plaintiff's counsel made several other improper comments attacking defense counsel and the tobacco companies' alleged failure to accept responsibility. Some examples where the court sustained objections included:
We have recently held that, "[i]t is improper for counsel to suggest in closing argument that a `defendant should be punished for contesting damages at trial' or that defending a `claim in court' is improper." Allstate Ins. Co. v. Marotta, 125 So.3d 956, 960 (Fla. 4th DCA 2013) (citation omitted). We addressed similar comments disparaging defendants for failing to take responsibility in cases such as Philip Morris USA, Inc. v. Tullo, 121 So.3d 595, 598 (Fla. 4th DCA 2013), and Intramed, Inc. v. Guider, 93 So.3d 503, 507 (Fla. 4th DCA 2012), and found them to be improper as well.
In Tullo, plaintiff's counsel made numerous comments at trial about the defendant's failure to accept responsibility, including other comments such as comparing the defendants' behavior to that of heroin dealers. 121 So.3d at 598. Unlike the instant case, the defendants in Tullo did not contemporaneously object to these comments. Id. We concluded that the comments were improper and stated:
Id. at 601.
Nevertheless, we affirmed the judgment against the tobacco companies because defense counsel failed to object and preserve the errors for appellate review, and the comments did not constitute fundamental error under the four-part test established by the Florida Supreme Court in Murphy v. International Robotic Systems, Inc., 766 So.2d 1010 (Fla.2000). Id. at 601-02.
Here, defense counsel did object to the comments, making this case more analogous to Marotta and Intramed. In Marotta, we reversed the final judgment rendered based on similar improper comments made by counsel in closing argument, which occurred in combination with an improper cross-examination of a witness. 125 So.3d at 962. In Intramed, we also reversed the final judgment and remanded for a new trial on damages based on such disparaging comments. 93 So.3d at 507. There is no logical distinction that can be drawn between those cases and plaintiff's counsel's arguments in this case.
This court has applied Intramed and found such comments to be sufficiently egregious to warrant a new trial. See Hill v. New Horizons of the Treasure Coast, Inc., 151 So.3d 47, 48 (Fla. 4th DCA 2014). Although plaintiff asserts that the punitive damages claim made these comments appropriate because the issue of entitlement to such damages was at issue in Phase II, so too was the claim for compensatory damages. Intramed, 93 So.3d at 507 ("The purpose of damages here was to compensate, not to make the defendant care, `take responsibility,' or say it was sorry."). Despite plaintiff's assertion to the contrary, an argument that the jury should punish a defendant for defending itself at trial or failing to admit responsibility is well outside the bounds of proper advocacy.
A party may not give a closing argument, as plaintiff's counsel did in this
Some of the arguments referenced above are also objectionable because they "suggest[] [a party] is doing something wrong by ... not showing proper sympathy or empathy." City of Orlando v. Pineiro, 66 So.3d 1064, 1073 n. 10 (Fla. 5th DCA 2011). Comments referencing the absence of corporate representatives at trial unfairly implied that the defendants were not showing proper respect for the trial, the decedent, and the plaintiff.
Plaintiff's counsel also chose to inject himself into the case with various gratuitous remarks during closing argument:
These comments were designed for no other purpose than to inappropriately evoke sympathy from the jury. See Cascanet v. Allen, 83 So.3d 759, 764 (Fla. 5th DCA 2011) ("[C]ourts have consistently prohibited a party from currying sympathy from the jury for a favorable verdict and asking a jury to consider the economic status of either party...."); see also Russell, Inc. v. Trento, 445 So.2d 390, 392 (Fla. 3d DCA 1984) ("Remarks made solely for the purpose of evoking sympathy for the plaintiff and of such a character that neither rebuke nor retraction will destroy their prejudicial, sinister influence warrant a new trial.").
Plaintiff argues that the comments, taken as a whole, should not be considered harmful under the second prong of the Murphy test, as we held in Tullo. However, the Florida Supreme Court has changed the "harmless error" analysis since the Tullo decision issued. Specifically, the court announced that now "the beneficiary of the error has the burden to prove that the error complained of did not contribute to the verdict. Alternatively stated, the beneficiary of the error must prove that there is no reasonable possibility that the error contributed to the verdict." Special v. W. Boca Med. Ctr., 160 So.3d 1251, 1256 (Fla.2014) (emphasis added).
The court explained that this "no reasonable possibility test" properly places the burden on the party who invited the error. See id. at 1257-61 (concluding that the trial court erred by sustaining defendants'
"[I]n evaluating whether the errors were harmless, we may consider `the cumulative effect' of preserved and unpreserved error." Marotta, 125 So.3d at 961 (citation omitted). But here "[w]e need not address the propriety of the unobjected-to remarks, as [the totality of] the comments made over objection are egregious enough to warrant reversal." Petruschke v. State, 125 So.3d 274, 279 n. 1 (Fla. 4th DCA 2013). In this case, plaintiff clearly invited the many errors complained of and has failed to show they were harmless under the new standard in Special. 160 So.3d at 1256; see also Reffaie v. Wal-Mart Stores, Inc., 96 So.3d 1073, 1075 (Fla. 4th DCA 2012) ("After a review of the entire record, we cannot conclude that Wal-Mart has shown that the improper comments, more likely than not, did not contribute to the verdict.").
Confronted with the task of ruling on these improper comments, the trial court timely and properly sustained defense counsel's objections, though it denied the numerous motions for mistrial. The problem caused by the sheer number of improper comments was the constant need for the trial court to rule on these objections, forcing the court to try to fix the damage by instructing the jury to disregard them. Of note, however, is the fact that the record reflects no significant admonishment of any kind was delivered by the court, even after plaintiff's counsel chose to continue with similar improper comments when defendants' objections had been sustained. The repeated sustained objections should have been sufficient to alert the court to the impermissible nature of these comments. Advising counsel to simply "move on" to another line of questioning was wholly inadequate. As a result, the prejudicial effect of these comments was compounded by the trial court's failure to attempt any real intervention to curb them. The following exchange illustrates this point:
The connotation of this analogy was that the tobacco companies are the "serpent" (i.e., the devil), and are blameworthy even though the decedent chose to begin smoking — just as Eve also chose to eat the forbidden fruit. The court clearly sustained the objection to the use of this analogy, yet plaintiff's counsel nonetheless continued with it. Moreover, defense counsel had made an earlier objection regarding the improper nature of this argument during voir dire, and the court sustained that objection. Plaintiff's counsel
A trial judge retains the ultimate responsibility to ensure proper behavior of trial counsel and fair trial proceedings in his or her courtroom. To quote the Third District, "it is no longer — if it ever was — acceptable for the judiciary to act simply as a fight promoter, who supplies an arena in which parties may fight it out on unseemly terms of their own choosing...." Borden, Inc. v. Young, 479 So.2d 850, 851 (Fla. 3d DCA 1985). Here the trial court's duty was clear — to respond to such behavior by curbing multiple instances of improper argument and ensuring that the jury was not being led astray by repeated objectionable comments. A trial judge should respond to such improper argument in a timely and consistent manner, and issue proportional rebukes when repeated instances occur.
This is especially true in lengthy, high-stakes cases where a trial court's failure to control the litigants not only deprives the parties of a fair trial, but can ultimately result in scarce judicial resources being consumed when the case is remanded for re-trial based on those actions. As this court has previously stated, the task is not so difficult that trial judges are unable to understand when they should exercise this authority:
Bellsouth Human Res. Admin., Inc. v. Colatarci, 641 So.2d 427, 430 (Fla. 4th DCA 1994) (footnote omitted).
As the Third District has recognized:
Gomez v. State, 751 So.2d 630, 633 (Fla. 3d DCA 1999).
These cases make clear that a timely and appropriate admonition of counsel avoids the possibility that the offending conduct will continue, and hopefully forestalls the accumulation of prejudice that occurs when such repeated improprieties are not effectively addressed. Regrettably, the trial court did not adequately perform its duty to prevent the conduct described herein. As one of the aforementioned examples from this case indicates, after the court sustained fourteen objections over the course of a mere thirty-three pages of trial transcript, the court took no further action. Apart from the deleterious effects that judicial inaction may cause in any given case, the failure of our trial courts to effectively deal with such conduct can in a broader sense only lead to emulation by other attorneys. Dismissing
The number of improper comments and arguments in this case is extremely troubling, and leads to the inescapable conclusion that they were part of plaintiff's counsel's overall trial strategy. These comments were neither isolated nor incidental. When considered in the aggregate it is obvious they created a negative synergistic effect, exacerbating the degree of unfairness to the defendants.
Notwithstanding the fact that the trial court correctly sustained objections and occasionally gave curative instructions, such actions do not ipso facto create a more deferential standard to be applied on appellate review; even if they did, any deference given is certainly not limitless. In fact, the author of the dissent has recognized in the past that our deference in the face of improper closing remarks is not boundless, despite sustained objections and motions for mistrial. See Petruschke, 125 So.3d at 279 (holding that improper comments were so inflammatory and unsupported by the evidence that new trial was required even though the judge sustained defense counsel's objection to one of the comments prior to denying the motion for mistrial). It also goes without saying that curative instructions do not always remedy the damage done by improper argument, and whether such an instruction was sufficient to do so is decided according to the facts, on a case-by-case basis. See Lindos Rent A Car v. Standley, 590 So.2d 1114, 1116 (Fla. 4th DCA 1991) ("[U]nder the facts of this particular case the harmful effect of counsel's improper argument was most likely not cured or removed by the court's instruction to the jury to disregard such argument."); see also Henry v. Beacon Ambulance Serv., Inc., 424 So.2d 914, 916 (Fla. 4th DCA 1982) ("[T]he curative instruction given after appellant made her motion for mistrial was insufficient to counteract the effect of appellees' improper argument.").
Our Supreme Court has stated that "[i]f the issue of an opponent's improper argument has been properly preserved by objection and motion for mistrial, the trial court should grant a new trial if the argument was `so highly prejudicial and inflammatory that it denied the opposing party its right to a fair trial.'" Engle, 945 So.2d at 1271 (quoting Tanner v. Beck, 907 So.2d 1190, 1196 (Fla. 3d DCA 2005)). Moreover, "[a]lthough the trial court's ruling is entitled to substantial deference, there is a point where the `totality of all errors and improprieties' are `pervasive enough to raise doubts as to the overall fairness of the trial court proceedings.'" Bocher v. Glass, 874 So.2d 701, 704 (Fla. 1st DCA 2004) (quoting Manhardt v. Tamton, 832 So.2d 129, 132 (Fla. 2d DCA 2002)).
As the First District has aptly noted:
Id. at 704.
As such, it is probable that the cumulative effect of the repeated improprieties and sustained objections unduly prejudiced the jurors of this cause by "casting improper aspersions on the [defendants'] credibility and the integrity of [their] counsel."
To summarize, the plaintiff's counsel's opening statement was overly argumentative and included comments chastising the tobacco companies for their failure to apologize. The closing argument included inflammatory remarks; statements evoking sympathy from the jury; inappropriate religious references; comments about the defendants not taking responsibility; attacks for electing to defend the case; and insinuations regarding the failure of the defendants' corporate representatives to attend the trial. Taking into account all of the preserved objections to the improper comments in plaintiff's counsel's opening and closing as referenced above, the cumulative impact of these errors created an atmosphere of "win at all costs."
In Tullo, we sent a gentle message to lawyers pertaining to how future cases should be handled, and cautioned counsel to "be vigilant in crafting closing arguments that fall within the confines of permissibility." 121 So.3d at 602. Unfortunately, we have seen many recent cases where this warning was either misunderstood or simply ignored. In this opinion, we hope to make that warning clearer. Attorneys who engage in such tactics in the future do so at their own peril, and the peril of their clients, by risking the reversal of their cases on appeal.
Because this case is being remanded back to the trial court for new trial, we also find it appropriate to address two other issues raised in this appeal: the jury instructions on the issue of reliance, and the application of comparative negligence to plaintiff's claims.
Defendants argue the court's refusal to instruct the jury on the detrimental reliance element of the fraud-based claims warrants a new trial on those claims. Plaintiff responds that the court's instruction sufficiently covered the reliance element and defendants' proposed instruction misstated the law. On this point, we also agree with defendants.
Here, defendants requested a reliance instruction because it was an essential element of the fraudulent concealment and conspiracy to commit fraudulent concealment claims. R.J. Reynolds Tobacco Co. v. Buonomo, 138 So.3d 1049, 1051 (Fla. 4th DCA 2013); Philip Morris USA, Inc. v. Kayton, 104 So.3d 1145, 1150-51 (Fla. 4th DCA 2012). Their defense was that the decedent did not detrimentally rely on any concealed information. Defendants proposed an instruction on reliance.
The court stated that "there has to be some element of reliance," but denied the requested jury instruction because it might have confused the jury. The court then instructed the jury, in part:
Noticeably absent from the instruction given is the element of detrimental reliance.
Humana, Inc. v. Castillo, 728 So.2d 261, 265 (Fla. 2d DCA 1999) (internal citations omitted).
Florida's written opinions have consistently included detrimental reliance as an element in fraudulent concealment instructions. See, e.g., R.J. Reynolds Tobacco Co. v. Martin, 53 So.3d 1060, 1065-66, 1068 (Fla. 1st DCA 2010) (stating that the trial court instructed the jury on reliance and that "detrimental reliance on misinformation" is an element of fraudulent concealment). "Engle-progeny plaintiffs must certainly prove detrimental reliance in order to prevail on their fraudulent concealment claims." Hess v. Philip Morris USA, Inc., 175 So.3d 687, 698 (Fla. 2015). Reliance is an element of fraudulent concealment, which needs to be proven separate from causation. Kayton, 104 So.3d at 1150-51; see Engle, 945 So.2d at 1255.
"[I]n a post-Engle case, a plaintiff alleging fraudulent concealment need only prove that he or she detrimentally relied upon the defendant tobacco corporation's misinformation." Kayton, 104 So.3d at 1150 (emphasis added). "Similarly, a plaintiff claiming conspiracy to commit fraudulent concealment in an Engle progeny case need only prove that he or she detrimentally relied upon deceptive statements made by a member of the conspiracy." Id. (emphasis added). The instruction need not include reliance on "a statement" unless the facts of the case warrant it. What is necessary is that an instruction properly tailored to the facts of the case apprise the jury of the essential element of "reliance" in a fraudulent concealment claim.
The instructions were insufficient for the jury's consideration of the fraudulent concealment and conspiracy to commit fraudulent concealment claims. Because the detrimental reliance element was not covered by the instructions given, its omission prejudiced the tobacco companies' defense.
We next address whether the court erred in failing to reduce the compensatory damage award based on the jury's finding that the decedent was 20.5% comparatively negligent.
Defendants argue that because all the claims were based upon a products liability theory, the court should have reduced the awards by the percentage of the decedent's comparative negligence. Plaintiff responds that the decedent's comparative negligence does not apply to intentional torts, even when joined with negligence claims.
In R.J. Reynolds Tobacco Co. v. Schoeff, 178 So.3d 487 (Fla. 4th DCA 2015), we recently held that a de novo standard applies to this issue. Applying that standard, we held that whether conduct in the context of a tobacco action is considered negligent or intentional, comparative negligence
Sections 768.81(2) and (4), Florida Statutes (1992),
In deciding whether a case constitutes a "negligence case," courts must examine "the substance of the action and not the conclusory terms used by the parties." Id. If the action is based upon an intentional tort, compensatory damages cannot be reduced by the plaintiff's contributory fault. Id. § 768.81(4)(b).
Here, the trial court remarked:
The trial court failed, however, to look to the substance of the action to determine if the claims were grounded in negligence as required by section 768.81(4)(a). Under Schoeff, this case is based upon conduct grounded in negligence. While the trial court did not have the benefit of Schoeff when it ruled on the issue, Schoeff now requires application of comparative negligence to the plaintiff's fraud-based claims. 178 So.3d at 496. If upon remand plaintiff chooses to retry the intentional tort claims, under Schoeff the decedent's comparative fault should be applied to the intentional tort claims as well. See id.
For the reasons expressed above, we hereby reverse the judgment and remand for a new trial consistent with this opinion.
Reversed and Remanded.
CIKLIN, C.J., DAMOORGIAN, GERBER, LEVINE and CONNER, JJ., concur.
TAYLOR, J., dissents with opinion, in which GROSS and MAY, JJ., concur.
WARNER and FORST, JJ., recused.
TAYLOR, J, dissenting.
I respectfully dissent from the majority's decision reversing the final judgment for the plaintiff. Although I agree that many of the comments made by plaintiff's counsel were improper, I would find no abuse of discretion in the trial court's ruling that they did not constitute a sufficient basis for a mistrial. I would therefore affirm the trial court's decision on this issue.
Trial courts have broad discretion in ruling on motions for a mistrial or new trial based on claims of improper argument. Whitney v. Milien, 125 So.3d 817, 818 (Fla. 4th DCA 2013); Philippon v. Shreffler, 33 So.3d 704, 709 (Fla. 4th DCA 2010). The trial court that presided over
The majority applies the harmless error test of Special v. West Boca Medical Center, 160 So.3d 1251 (Fla.2014), in support of its decision to reverse, but that test is inapplicable here. In Special, the trial court ruled incorrectly on an objection; here, the trial court correctly ruled on the objections and gave curative instructions, so a more deferential standard applies on appellate review. See Goodwin v. State, 751 So.2d 537, 547 (Fla.1999) ("[U]se of a harmless error analysis ... is not necessary where ... the trial court recognized the error, sustained the objection and gave a curative instruction. Instead, the correct appellate standard is whether the trial court abused its discretion in its denial of a mistrial.").
The trial court also had discretion to decide whether the improper remarks, considered separately or as a whole, were likely to inflame the minds and passions of the jurors to the point where they could not properly render a verdict. Here, where the trial court concluded that the closing remarks were not so prejudicial as to require a new trial, it cannot be said that "no reasonable man would take the view adopted by the trial court." Whitney, 125 So.3d at 819 (citing Canakaris v. Canakaris, 382 So.2d 1197, 1203 (Fla. 1980)).
In virtually every Engle
After deciding that the plaintiff qualified as a member of the Engle class (the decedent was indeed addicted to cigarettes), the jury next needed to determine the amount of compensatory damages and entitlement to punitive damages. It was during this phase of the trial that many of the comments were made. Where, as here, the plaintiff presented strong evidence of the defendants' misconduct, as well as evidence of their persistent refusal to acknowledge any responsibility for the death of the plaintiff's decedent, it was not
Of course, where the plaintiff is seeking only compensatory damages, it is improper for counsel to argue that the defendant failed to take responsibility for its conduct. See, e.g., State Farm Mut. Auto. Ins. Co. v. Gold, 186 So.3d 1061, 1063-64 (Fla. 4th DCA 2016); Allstate Ins. Co. v. Marotta, 125 So.3d 956, 959-60 (Fla. 4th DCA 2013); Intramed, Inc. v. Guider, 93 So.3d 503, 507 (Fla. 4th DCA 2012). This is so because in that situation the closing argument improperly shifts "the focus of the case from compensating the plaintiff to punishing the defendant." Guider, 93 So.3d at 507. By contrast, where the jury must decide if punitive damages are warranted, the issue of whether the defendant failed to take responsibility for its wrongful conduct is undoubtedly relevant to whether punitive damages are necessary to deter the repetition of the conduct.
Although I consider some of counsel's comments improper and unnecessary to the plaintiff's case, for the most part, the comments cited by the majority were permissible and amounted to nothing more than effective advocacy for punitive damages. To the extent that there were improper comments, the trial court appropriately sustained defense objections and gave curative instructions. For that reason, I would find no abuse of discretion in the trial court's denial of the motions for mistrial.
GROSS and MAY, JJ., concur.