DAVID J. NOVAK, United States Magistrate Judge.
On November 9, 2012, a jury found that Defendants Watsontown Trucking Co., Inc., and William Miller were not negligent when their truck that Defendant Miller was driving collided with Plaintiff Michael Lewis Scott, who was riding on a motorcycle, at the intersection of Broad Street and Parham Road in Richmond, Virginia.
The facts of this traffic accident are relatively simple and boil down to whether Defendant Miller had a green light when he turned left from Broad Street onto Parham Road and, if not, whether Plaintiff acted with contributory negligence or assumed the risk when his motorcycle struck the truck that Defendant Miller was driving. Plaintiff called four witnesses who testified either that they saw the light that Defendant Miller faced and that it was red (John Oulton, Trial Transcript "Tr." at 118-19; Tracy Thompson, Tr. at 147-48) or that the light facing Plaintiff was green when Plaintiff entered the intersection (David Ruesch, Tr. at 136; Robert Elam, Tr. at 156.) Defendant Miller testified that he made the left turn onto Parham Road after the light that he faced turned green and that the intersection was clear before he made the turn. (Tr. at 447-48.)
Defendants made two additional points that related to their defenses of contributory negligence and assumption of the risk. First, Plaintiff had only recently purchased the motorcycle and had stalled the motorcycle in the middle of Broad Street only blocks before the accident. (Tr. at 133, 140, 155, 343.) And relatedly, Plaintiff struggled stopping the motorcycle before the crash and had "laid down" the motorcycle, sliding into the truck. (Tr. at 137, 148-49, 157, 464.) Second, other vehicles traveling in lanes adjacent to Plaintiff and driving in the same direction as Plaintiff were able to stop their vehicles and avoid hitting Defendants' truck. (Tr. at 136-40, 448.)
Therefore, the jury was called upon to answer whether Defendant Miller negligently entered the intersection in the face of a red light and, if so, whether Plaintiff's negligence contributed to the accident or whether Plaintiff assumed the risk by entering the intersection while Defendant Miller was turning. Plaintiff's testimony could have materially aided in the resolution of these issues by addressing: (1) his experience, training and ability to drive the motorcycle; (2) whether he faced a green light when he entered the intersection; (3) whether he saw Defendants' truck before Plaintiff entered the intersection; and (4) the efforts that Plaintiff undertook once he did see Defendants' truck. Thus, there can be no question that Plaintiff's missing testimony was material as to the issue of liability.
Further, had the jury ruled for Plaintiff as to liability, Plaintiff's testimony about the continuing pain and limitations resulting from his injuries could have had significant impact on the damages that he would have received, because the continuing extent of Plaintiff's injuries was very much in dispute. Plaintiff called his father, girlfriend and a treating physician, who described Plaintiff's life as one filled with pain and medications after the accident. (Tr. at 221-22, 243, 281-89, 333-39, 341-42.) In response, Defendants called an expert physician, who testified that Plaintiff's surgeries had essentially healed his injuries, leaving him with little lasting effects from the accident. (Tr. at 470-71.) Consequently, Plaintiff's testimony would have been material to the issue of damages as well had the jury ruled in his favor as to liability.
Before trial, on October 5, 2012, Plaintiff filed Plaintiff's List of Proposed Witnesses (ECF No. 52), listing himself as the first witness. Pursuant to the Court's Scheduling Order, the parties filed the Joint Final Pretrial Order (ECF No. 96) on October 31, 2012 — only a week before trial — and identified their proposed witnesses. Plaintiff again listed himself as the first witness. (Joint Final Pretrial Order at 3.) Throughout the trial, Plaintiff's counsel led the Court to believe that Plaintiff would testify. Indeed, during the Final Pretrial Conference, which occurred the day before trial began, the Court asked Plaintiff's counsel if Plaintiff would be the first witness to testify. Plaintiff's counsel responded: "Actually, the eyewitness, Mr. Oulton, the one eyewitness we just discussed, is going on a cruise the following day so I have to get him on tomorrow." (Final Pretrial Conference Transcript "FPCT" (ECF No. 115) at 15.) Plaintiff's counsel did not state that Plaintiff would not testify. Notably, during that same hearing, Plaintiff's counsel directly told the Court that another witness (Suzanne Southworth) would not be testifying. (FPCT at 9.)
Near the end of the trial, the Court realized that Plaintiff may not testify and had the following exchange with Plaintiff's counsel:
(Tr. at 292.) Not only did Plaintiff not testify, he never appeared at the trial.
During the trial, Plaintiff's counsel elicited testimony from one of Plaintiff's treating physicians, Dr. Steven Macedo, regarding Plaintiff's ability to appear in court. (Tr. at 245-46.) Dr. Macedo testified that he advised Plaintiff against appearing for the following reasons:
(Tr. at 246.) Yet, during cross-examination, Dr. Macedo acknowledged that Plaintiff had been successfully deposed (Tr. at 247-48), walks his dog for two hours per night (Tr. at 253), attends Marymount University and regularly works out at a gym (Tr. at 253), and had attended multiple work conditioning programs and functional capacity evaluations, some lasting approximately two hours long (Tr. at 257-59). While Plaintiff's counsel solicited this testimony about Plaintiff's ability to sit through the entire trial, at no time did Plaintiff offer evidence about his ability to appear for a short time and testify, nor did Plaintiff's counsel ask the Court to make
Importantly, before trial Plaintiff tendered his proposed jury instructions that included Virginia Model Jury Instruction Civil No. 2.080 (unexplained failure to produce important witness), which was identical to the missing witness instruction that the Court ultimately gave. Compare Joint Requested Jury Instructions (ECF No. 79) at 3, with Tr. at 532. Plaintiff offered this proposed jury instruction, believing that Defendant Miller would not testify. Indeed, during the Final Pretrial Conference, Plaintiff's counsel argued in favor of the instruction, but the Court denied the request. (FPCT at 33.)
After Plaintiff rested his case and after the close of the second day of trial, Defendant petitioned the Court to deliver the missing witness instruction as applied to Plaintiff in light of his failure to testify. (Tr. at 422-23.) Initially, the Court noted that the instruction did not apply, because Plaintiff was available to both parties. (Tr. at 423.) The Court then asked Plaintiff's counsel if he would accept service of a defense subpoena for Plaintiff to appear the next day. Plaintiff's counsel responded that he did not have authority to accept service on his client's behalf. (Tr. at 423.) Plaintiff's counsel also indicated that a request for a subpoena at that time was untimely, because the "federal rule requires five or seven days notice for a subpoena in any event...." (Tr. at 423.)
Later than evening, the Court conducted further research on the issue and determined that the missing witness instruction was appropriate. The Court e-mailed a draft set of jury instructions to the parties that evening and notified counsel that the Court had revisited its earlier decision denying Defendants' request for the missing witness instruction and intended to give the instruction. During the charge conference on the following day, Plaintiff objected to the instruction, saying that Plaintiff's deposition was "filled with I don't know and I don't remember." (Tr. at 481.) At no time did Plaintiff offer his deposition as evidence or provide it to the Court, so the contents of the deposition were never made a part of the record. (Tr. at 481.) Indeed, the Court only learned of the contents of the deposition when Plaintiff cited extensively to selected passages from his deposition in his Memorandum of Points and Authorities in Support of His Rule 59 Motion for New Trial (ECF No. 108) (hereafter "Pl. Mem."). On January 22, 2013, as a result of Plaintiff's Memorandum, the Court ordered Plaintiff to file a complete copy of the transcript of Plaintiff's deposition. (ECF No. 112.) Plaintiff complied with the Court's Order and filed a transcript of Plaintiff's deposition (ECF No. 113), which will now be made a part of the record for this case.
After considering Plaintiff's arguments during the charge conference, the Court reiterated its decision to issue the instruction, citing to evidence offered about Plaintiff's recollection of the accident and Plaintiff's
(Tr. at 482.) Plaintiff's counsel then asked that the instruction not be applied to Plaintiff's mother, who was present during the trial but did not testify. Defendants agreed not to pursue any argument about this instruction as applied to Plaintiff's mother — an agreement that Defendants' counsel fulfilled. (Tr. at 483-84.) Plaintiff's counsel raised no further objections to the instruction, nor did they seek any limitation on the instruction other than that agreed upon as to Plaintiff's mother. (Tr. at 484.)
During closing argument, defense counsel cited the missing witness instruction and pointed out to the jury that Plaintiff did not testify despite his having been deposed, having undergone numerous evaluations and having attended school. (Tr. at 517-19.) Plaintiff's counsel responded that: "Mr. Scott didn't come to court, and they want to make a big deal about that one, too. They wanted to bring him in here and make him sit here and then make him watch all of this stuff. They wanted to make him suffer." (Tr. at 523.) The Court sustained Defendants' objection to this response. (Tr. at 523.)
The Court then gave the following missing witness instruction while instructing the jury:
(Tr. at 532.) This instruction tracked the exact language set forth in Virginia Model Jury Instruction Civil No. 2.080 (unexplained failure to produce important witness), which Plaintiff submitted in his proposed jury instructions. See Joint Requested Jury Instructions (ECF No. 79) at 3. After deliberations, the jury returned a verdict in favor of Defendants, finding that Defendants had not been negligent. (Tr. at 551.) Because the jury found no negligence, they did not need to address whether Plaintiff had been contributorily negligent or had assumed the risk.
Federal Rule of Civil Procedure 59(a) provides that "[t]he court may, on motion, grant a new trial ... after a jury trial for any reason for which a new trial has heretofore been granted in an action at law in federal court." A new trial is granted pursuant to Rule 59(a) if "(1) the verdict is against the clear weight of the evidence, or (2) is based upon evidence which is false, or (3) will result in a miscarriage of justice, even though there may be substantial evidence which would prevent the direction of a verdict." Cline v. Wal-Mart Stores, Inc., 144 F.3d 294, 301 (4th Cir.1998) (quoting Atlas Food Systems & Services, Inc. v. Crane Nat'l Vendors, Inc., 99 F.3d 587, 594 (4th Cir.1996)). The decision to grant or deny a Rule 59(a) motion
Moreover, a trial court has broad discretion in framing its jury instructions and will not be reversed "provided that the instructions, taken as a whole, adequately state the controlling law." Teague v. Bakker, 35 F.3d 978, 985 (4th Cir.1994). Indeed, "[a] judgment will be reversed for error injury instructions only if the error is determined to have been prejudicial, based on a review of the record as a whole." Abraham v. County of Greenville, South Carolina, 237 F.3d 386, 393 (4th Cir.2001) (quoting Wellington v. Daniels, 717 F.2d 932, 938 (4th Cir.1983)). And "to preserve an objection to the instructions to the jury, a party is required to point out specifically the nature of the objection." Mattison v. Dallas Carrier Corp., 947 F.2d 95, 112 (4th Cir.1991); Fed.R.Civ.P. 51(c)(1) ("A party who objects to an instruction or failure to give an instruction must do so on the record, stating distinctly the matter objected to and the grounds for the objection."). A failure to raise a specific objection will result in a waiver of the challenge to the instruction. Belk, Inc. v. Meyer Corp., 679 F.3d 146, 153 n. 6 (4th Cir.2012).
Plaintiff raises two challenges to the verdict. First, he argues that the Court erred by giving the missing witness instruction. Second, Plaintiff asserts that, even if the instruction was properly given, the instruction was not limited to reference only Plaintiff, which led to improper argument by defense counsel. For the reasons that follow, the Court finds that Plaintiff's arguments lack merit.
Before addressing the merits of the missing witness instruction, we must first discuss Plaintiff's submission of his requested jury instructions that included Virginia Model Jury Instruction Civil No. 2.080 (unexplained failure to produce important witness), which was identical to the missing witness instruction that the Court ultimately gave. Compare Joint Requested Jury Instructions (ECF No. 79) at 3, with Tr. at 532. In a similar situation in Doe v. Johnson, 52 F.3d 1448 (7th Cir. 1995), the Seventh Circuit held:
Id. at 1460 (emphasis in original; footnote, internal quotation marks and citations omitted). The court further ruled in words that resonate here that:
Id. Thus, for this reason alone, Plaintiff's challenge to the missing witness instruction — the very same instruction that he proposed — must fail.
The Court also believes that it is important to point out that the gamesmanship here was not limited only to Plaintiff seeking the instruction, then objecting to the same instruction when Defendants sought
The missing witness instruction traces its origins to the Supreme Court's decision in Mammoth Oil Co. v. United States, 275 U.S. 13, 48 S.Ct. 1, 72 L.Ed. 137 (1927), in which the Court held that, based on the failure of a key witness to testify, "it just may be inferred that [the witness] was not in position to combat or explain away any fact or circumstance so supported by evidence and material to the government's case." Id. at 52, 48 S.Ct. 1. As the First Circuit recently described,
Latin American Music Company v. American Society of Composers Authors and Publishers, 593 F.3d 95, 101-02 (1st Cir.2010) (internal quotation marks, brackets and citations omitted). As the court in Poland v. Potomac Family Practice, 51 Va.Cir. 414, 2000 WL 516308 (Va.Cir.Ct. 2000), explained: "the rationale of the rule is generally accepted — that the adverse inference is justified in circumstances where it [] appears that the witness' testimony would have been produced but for the party's apprehension about what it would reveal." Id., at *2 (quoting Alan Stephens, Annotation, Adverse Presumption or Inference Based on Party's Failure to Produce or Examine Witness with Employment Relationship to Party, 80 A.L.R.4th 405, 415 (1990)).
"The determination of whether a missing witness instruction should be given rests within the trial court's sound discretion." Cameo Convalescent Center, Inc. v. Senn, 738 F.2d 836, 844 (7th Cir. 1984). "A trial court may use its discretion to give a missing witness charge when `a party has it peculiarly within his power to produce witnesses whose testimony would elucidate the transaction' yet the party fails to call those witnesses." Sagendorf-Teal v. County of Rensselaer, 100 F.3d 270, 275 (2d Cir.1996) (quoting United
Virginia has adopted this test for issuance of a missing witness instruction, indicating that such an instruction "is a statement of the settled rule that the unexplained failure of a party to call an available material witness gives rise to an inference, sometimes called a presumption, that the testimony of such absent witness would be adverse to such party." Neeley v. Johnson, 215 Va. 565, 573, 211 S.E.2d 100, 107 (1975).
Plaintiff raises several arguments indicating that Plaintiff failed to meet the availability requirement to be deemed a missing witness. Specifically, Plaintiff challenges his availability to testify and further argues that Plaintiff was equally available to each party. (Pl. Mem. at 5.) These arguments lack merit.
As the Virginia Supreme Court made clear in Neeley:
Neeley, 215 Va. at 573-74, 211 S.E.2d at 107 (internal citations and quotation marks omitted).
Here, there can be no question that Plaintiff had unmatched ability to produce the testimony, since he was the witness.
Plaintiff advances two arguments to challenge Plaintiff's availability as a witness. First, Plaintiff asserts that "there was no conflict as to Scott's availability, much less a sharp conflict." (Pl. Mem. at 4.) According to Plaintiff, "Dr. Macedo testified that he advised against having Scott at the trial for medical and psychological reasons, which was uncontroverted by the defense." (Pl. Mem. at 4.) This statement is simply not accurate. On cross-examination, defense counsel challenged Dr. Macedo's assertions, pointing out that Plaintiff had been successfully deposed (Tr. at 247-48), walks his dog for two hours per night (Tr. at 253), attends Marymount University and regularly works out at a gym (Tr. at 253), and had attended multiple work conditioning programs and functional capacity evaluations, some lasting approximately two hours long (Tr. at 257-59).
Plaintiff also ignores the very significant fact that Dr. Macedo's testimony only addressed Plaintiff's ability to endure sitting through the entire trial and the impact of other witnesses on Plaintiff's psyche. (Tr. at 246.) At no time did Plaintiff offer any evidence that he could not attend the trial for a short time period (as he repeatedly has done for schooling, evaluations and his deposition) to testify, nor did Plaintiff's counsel request any special measures that would have allowed Plaintiff to testify, such as asking the Court for recesses if needed by Plaintiff. In short, the record in this case offers no explanation as to why Plaintiff elected not to testify.
Moreover, Plaintiff's counsel placed this issue in controversy before the jury. (Tr. at 246.) Having done so, the jury had the responsibility to make a factual determination as to whether Plaintiff
Plaintiff's second point focuses on Defendants' ability to subpoena Plaintiff: "The defense listed Scott as its witness but did not subpoena him, even when offered a last-minute opportunity to do so by the Court." (Pl. Mem. at 4.) In raising this point, however, Plaintiff ignores the gamesmanship of his counsel. As previously detailed, before trial Plaintiff led the Court and the defense to believe that Plaintiff would testify. When it became clear that Plaintiff was not going to testify, the Court then asked Plaintiff's counsel if he would accept service of a defense subpoena for Plaintiff to appear the next day. Plaintiff's counsel responded that he did not have authority to accept service on his client's behalf. (Tr. at 423.) Plaintiff's counsel also indicated that a request for a subpoena at that time was untimely, because the "federal rule requires five or seven days notice for a subpoena in any event...." (Tr. at 423.) Although Plaintiff's counsel incorrectly recited the time period for the service of subpoenas, he was correct in asserting that the time period that would allow Defendants to subpoena Plaintiff had passed. E.D.Va. Local Rule 45(E) ("Except as otherwise ordered by the Court for good cause shown, subpoenas for attendance of witnesses at hearings or trials in civil actions shall be served not later than fourteen (14) days before the date of the hearing or trial."). Thus, by the time that Plaintiff's true intention of not testifying was revealed, it was too late for Defendants to subpoena Plaintiff.
The record demonstrates that, as a party to this lawsuit — indeed, the party that initiated this lawsuit, Plaintiff simply elected not to testify. The record contains no evidence that establishes that his medical condition prevented his testimony. As such, the first prong to support the missing witness instruction — Plaintiff's availability — was established.
We next turn to the second prong needed for the instruction: the materiality of Plaintiff's testimony. Because the materiality of Plaintiff's putative testimony was previously detailed, see supra at 647-48, we address only Plaintiff's contention that his lack of memory of the events undermined the materiality of his testimony. (Pl. Mem. at 5-6.)
Plaintiff relies upon Banks v. Harris, 238 Va. 81, 380 S.E.2d 634 (1989), in support of his argument. (Pl. Mem. at 5.) In
However, Banks has no application here, because the record demonstrates that Plaintiff has significant recall about the accident. Indeed, the Court made clear during the jury conference that "[i]f there was evidence in front of this jury that [Plaintiff] did not have recollection of the events, [the Court] would not have given the instruction." (Tr. at 481.) Although Plaintiff's counsel objected to the missing witness instruction and stated that Plaintiff's deposition was full of "I don't know and I don't remember" (Tr. at 481), the only evidence in the record at the time of the jury charge conference indicated that Plaintiff did have recollection of the accident. For example, Plaintiff's girlfriend testified that immediately after the accident Plaintiff sent her a text, indicating that he had been in an accident and had suffered injuries to his legs. (Tr. at 333.) Dr. Roger Gisolfi, a defense expert, testified that Plaintiff stated that he had partial recollection of the events leading up to the accident, including "losing control of his motorcycle and laying it down...." (Tr. at 464.) Aside from the bald assertions of Plaintiff's counsel (which do not constitute evidence), Plaintiff offered no evidence that established he lacked any memory of the events at issue in this case.
In his Memorandum of Points and Authorities in Support of His Rule 59 Motion for New Trial, Plaintiff cites extensively to his deposition, which was never offered into evidence or otherwise made part of the record during or before the jury charge conference. After receiving Plaintiff's Memorandum, the Court ordered Plaintiff to file a complete copy of the transcript of Plaintiff's deposition, which Plaintiff did. A review of the complete transcript of Plaintiff's deposition not only demonstrates that Plaintiff recalled a significant amount of the events that led to the accident, but also that Plaintiff could have supplied testimony material to the issues in controversy before the jury.
During the deposition, Plaintiff detailed his training and experience with the motorcycle. (Plaintiff's Deposition "Pl. Dep." (ECF No. 113) at 51-54, 88-89). He also described his actions before the accident, including stopping at Starbucks shortly before the accident because it had begun to rain. (Pl. Dep. at 55-58.) Plaintiff also recalled that the road was slick from the rain. (Pl. Dep. at 60.) Plaintiff acknowledged that he stalled the motorcycle a few blocks before the accident. (Pl. Dep. at 57, 87-89.) Plaintiff remembered being able to restart the motorcycle and traveling until he saw the truck move into his lane of traffic. (Pl. Dep. at 58.) Plaintiff said that he tried to brake, stopped and then next knew that the EMTs were treating him. (Pl. Dep. at 58.)
Plaintiff described the truck as a "semi-truck" and very large. (Pl. Dep. at 68.) Plaintiff conceded that he saw the truck before it crossed into Plaintiff's path and that the truck was moving when Plaintiff saw it. (Pl. Dep. at 67.) Indeed, Plaintiff acknowledged that when he first saw the truck, the truck had already begun its turn into the intersection. (Pl. Dep. at 68). Specifically, Plaintiff said that, as he approached the intersection, he saw the truck moving from Plaintiff's left towards his right and that the truck was not completely in front of Plaintiff when he first saw the truck. (Pl. Dep. at 90.) Plaintiff also admitted that he did not stop at the intersection before he struck the truck and that his intention as he approached the intersection was to continue to go through it. (Pl. Dep. at 69.) Plaintiff also said that he was not moving very fast as he approached the intersection, because the roads were wet. (Pl. Dep. at 69.) After he saw the truck, Plaintiff slammed on the brakes and somewhat lost control of the motorcycle, causing the bike to "wobble" or "jerk[] back and forth." (Pl.Dep. at 70.)
Plaintiff further admitted that he was unsure whether he lost consciousness during the accident. (Pl. Dep. at 73.) Plaintiff was able to recall speaking with the EMTs as he lay in the road. (Pl. Dep. at 74.) Plaintiff knew that his legs were injured when he spoke with the EMTs. (Pl. Dep. at 76.) Plaintiff also provided extensive testimony about his injuries, the treatment that he received and the continuing impact of the injuries — all of which was relevant to damages had the jury ruled in his favor as to liability. (Pl. Dep. at 28-50, 78-87.)
Thus, unlike Banks, Plaintiff could provide extensive testimony about the accident, much of which he alone could supply. For example, only Plaintiff could describe when he first saw the truck, the position of the truck when he first saw it and his efforts to avoid the collision. And these facts were extremely relevant to the issues of contributory negligence and assumption of the risk. Thus, there can be no question that Plaintiff could have provided testimony that was material to the issues before the jury.
Finally, it bears pointing out that Plaintiff's testimony was inconsistent with some of the evidence that he offered. For example, Plaintiff testified that he did not stop at the intersection and intended to keep moving through the intersection when the accident occurred. (Pl. Dep. at 68-69.) Yet, two of Plaintiff's eyewitnesses (David Ruesch and Robert Elam) testified that Plaintiff stopped at the intersection before he entered it. (Tr. at 136, 156.) Indeed, contrary to Plaintiff's testimony during the deposition, the parties stipulated that "prior to the incident, Mr. Scott was stopped at the white cross line, slash, stop bar in the middle lane of West Broad Street." (Tr. at 434.) Perhaps this significant inconsistency explains Plaintiff's decision not to testify. Or, perhaps, Plaintiff elected not to appear at all at trial, because his injuries had largely healed as the defense expert indicated (in contrast to Plaintiff's expert's testimony, who described lasting consequences to Plaintiff from the accident), which would have significantly reduced the amount of damages had Plaintiff prevailed on the issue of liability. Or, perhaps, Plaintiff did indeed
Plaintiff also argues that the Court failed to customize the jury instruction to apply only to Plaintiff. (Pl. Mem. at 2-3.) Specifically, Plaintiff contends that, as a result of the lack of a customized instruction, defense counsel improperly argued that Plaintiff's doctors failed to testify and that this argument confused the jury. (Pl. Mem. at 3.) This argument merits little discussion, as Plaintiff neither sought a customized jury instruction (Tr. at 481-81),
Moreover, the Court issued the instruction in accordance with the standard language found in the Virginia Model Jury Instructions. See Thompson v. Direct Impact Company, 63 F.Supp.2d 721, 728 (E.D.Va.1998) (jury charge that tracked "standard" language of the missing witness instruction proper). Furthermore, the instruction mirrored the exact language in Plaintiff's proposed jury instructions. (Joint Requested Jury Instructions at 3.)
Finally, the instruction did not lead to jury confusion. The testimony from the doctors who did not testify went to the issue of Plaintiff's injuries and damages, not Defendants' liability. Because the jury found no negligence, the jury never reached the issue of damages that implicated Plaintiff's injuries. Consequently, defense counsel's closing arguments recalling the lack of doctor testimony could not have improperly confused the jury. Therefore, even if error did occur in the wording of the instruction, the instruction did not lead to an unjust result.
For the foregoing reasons, the Court correctly gave the missing witness instruction and the instruction was properly worded. And even if any error did occur, it did not cause a miscarriage of justice, which Rule 59(a) demands to warrant a new trial. See VS Technologies, LLC, 2012 WL 1481508, at *11 (third prong of Rule 59(a) motion "requires a policy analysis under which the `judge's unique vantage point and day-to-day experience with such matters lend expertise.'") (quoting Fairshter v. American Nat'l Red Cross, 322 F.Supp.2d 646, 650 (E.D.Va.2004)). Consequently, the Court DENIES Plaintiff's Rule 59 Motion for a New Trial (ECF No. 107).
Let the Clerk file this Opinion electronically and notify all counsel accordingly.