SC Automobile Accident – SC DUI – Felony DUI

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THE STATE OF SOUTH CAROLINA
In The Court of Appeals

The State, Respondent,

v.

Rodney L. Galimore, Appellant.


Appeal from Beaufort County
John C. Hayes, III, Circuit Court Judge


Opinion No. 4934
Heard November 17, 2011 – Filed January 25, 2012


AFFIRMED


Chief Appellate Defender Robert M. Dudek and Michael J. Anzelmo, both of Columbia, for Appellant.

Attorney General Alan Wilson, Chief Deputy Attorney General John McIntosh, Assistant Deputy Attorney General Salley W. Elliott, and Assistant Attorney General Christina J. Catoe, all of Columbia; and Solicitor Issac McDuffie Ston, III, of Beaufort, for Respondent.

LOCKEMY, J.: In this criminal action resulting from a vehicular accident, Rodney Galimore contends the trial court erred in (1) denying his motion for a directed verdict on the charge of felony DUI; (2) denying his motion for a directed verdict on the charge of child endangerment; and (3) granting the State a continuance for three indictments after quashing one indictment for felony DUI.  We affirm.

FACTS

Galimore was indicted during the September 20, 2007 term of the Beaufort County Grand Jury (Grand Jury) on the charges of reckless homicide, driving under suspension, child endangerment, and felony DUI.  A jury was selected for trial of these indictments on November 17, 2008.  On November 18, 2008, Galimore raised a motion to quash the indictment on the charge of felony DUI, arguing the State failed to identify a violation of a traffic offense.  The trial court ruled the State had failed to allege a specific act “forbidden by law,” which is an element of felony DUI, and therefore, it quashed the indictment.  The State then made a motion for a continuance on the remaining indictments.  Galimore objected to the motion, stating the case dated back to August 17, 2007, and the indictment was issued in September of 2007.  The trial court granted the State’s motion for a continuance on the three indictments, finding Galimore had the previous year-and-a-half to question the sufficiency of the indictment for felony DUI.

Galimore was re-indicted on November 20, 2008, by the Grand Jury for felony DUI, with the indictment alleging Galimore “failed to drive on the right side of the roadway,” in violation of section 56-5-1810 of the South Carolina Code.  The case was brought before a jury on December 8, 2008.  At the close of evidence, Galimore made motions for directed verdicts on the charges of felony DUI and child endangerment, arguing the State presented no evidence that Galimore acted in a way “forbidden by law.”  The trial court denied Galimore’s motions.  The jury found Galimore guilty on all four charges.  This appeal followed.

ISSUES ON APPEAL

1.
Did the trial court err in denying Galimore’s motion for a directed verdict on the charge of felony DUI when Galimore contends the State presented no evidence he committed an act prohibited by law or failed to observe a duty imposed by law?
2.
Did the trial court err in denying Galimore’s motion for a directed verdict on the charge of child endangerment when the charge was based upon the violation of the felony DUI statute, a charge on which Galimore argues he was entitled to a directed verdict?
3.
Did the trial court err in granting the State a continuance after quashing the indictment for felony DUI when Galimore contends it incorrectly reasoned he should have had a hearing on his motion earlier?

STANDARD OF REVIEW

“In criminal cases, the appellate court sits to review errors of law only.”   State v. Baccus, 367 S.C. 41, 48, 625 S.E.2d 216, 220 (2006).  Thus, an appellate court is bound by the trial court’s factual findings unless they are clearly erroneous.  Id.

LAW/ANALYSIS

I.  Directed verdict motion on felony DUI

Galimore contends the trial court erred in denying his motion for a directed verdict on the charge of felony DUI.  Specifically, Galimore argues the police officer testified Galimore made a legal turn-around.  Thus, the State failed to prove an element of felony DUI because they did not present any evidence Galimore committed an act prohibited by law or failed to observe a duty imposed by the law.  We disagree.

“When ruling on a motion for a directed verdict, the trial court is concerned with the existence or nonexistence of evidence, not its weight.”  State v. Weston, 367 S.C. 279, 292, 625 S.E.2d 641, 648 (2006).  When reviewing a denial of a directed verdict, an appellate court views the evidence and all reasonable inferences in the light most favorable to the State.  Id.  “If there is any direct evidence or any substantial circumstantial evidence reasonably tending to prove the guilt of the accused, this [c]ourt must find the case was properly submitted to the jury.”  Id. at 292-93, 625 S.E.2d at 648.  The trial court should grant a directed verdict when the evidence merely raises a suspicion that the accused is guilty.  State v. Hernandez, 382 S.C. 620, 625-26, 677 S.E.2d 603, 605-06 (2009).  A defendant is entitled to a directed verdict when the State fails to produce evidence of the offense charged.  State v. Ladner, 373 S.C. 103, 120, 644 S.E.2d 684, 693 (2007).

Here, the indictment for felony DUI states Galimore “failed to drive on the right side of the roadway pursuant to § 56-5-1810 . . . .”  Section 56-5-1810 of the South Carolina Code states:

(a) Upon all roadways of sufficient width a vehicle shall be driven upon the right half of the roadway except as follows: (1) When overtaking and passing another vehicle proceeding in the same direction under the rules governing such movement; (2) When an obstruction exists making it necessary to drive to the left of the center of the highway. Any person so doing shall yield the right-of-way to all vehicles traveling in the proper direction upon the unobstructed portion of the highway within such distance so as not to constitute an immediate hazard; (3) Upon a roadway divided into three marked lanes for traffic under the rules applicable thereon; or (4) Upon a roadway restricted to one-way traffic.

(b) Upon all roadways any vehicle proceeding at less than the normal speed of traffic at the time and place and under the conditions then existing shall be driven in the right-hand lane then available for traffic or as close as practicable to the right-hand curb or edge of the roadway, except when overtaking and passing another vehicle proceeding in the same direction or when preparing for a left turn at an intersection or into a private road or driveway.

(c) Upon any roadway having four or more lanes for moving traffic and providing for two-way movement of traffic, no vehicle shall be driven to the left of the center line of the roadway, except when authorized by official traffic-control devices designating certain lanes to the left side of the center of the roadway for use by traffic not otherwise permitted to use such lanes, or except as permitted under item 2 of subsection (a). This subsection shall not be construed as prohibiting the crossing of the center line in making a left turn into or from an alley, private road or driveway.

S.C. Code Ann. § 56-5-1810 (2006)

Trooper Nick Sprouse testified many times to evidence supporting that indictment.  He explained at length about why debris found in the road was important to show Galimore failed to drive on the right side of the roadway.  Sprouse specifically stated, “Here’s your pool of sand and debris and as you can see the tire mark that goes out it never established the correct lane.”  He then stated on cross-examination that the evidence at the scene supports the allegation that Galimore never drove in the proper lane after executing his turn-around.  In looking at the record and all reasonable inferences in the light most favorable to the State, we find evidence existed for the jury to weigh whether Galimore violated section 56-5-1810, thus supporting a charge of felony DUI.  Accordingly, we affirm the decision of the trial court.

II.  Directed verdict on child endangerment charge

Galimore argues the trial court erred in denying his motion for a directed verdict on the charge of child endangerment.  He specifically contends that because the charge of child endangerment is premised upon his felony DUI charge, and his motion for a directed verdict on the felony DUI charge should have been granted, his motion for a directed verdict on the child endangerment charge should have been granted as well.  We disagree.

Since we find evidence existed for the jury to weigh whether Galimore violated section 56-5-1810, thus supporting a charge of felony DUI, we also find evidence existed for the jury to weigh the charge of child endangerment.  Therefore, we affirm the decision of the trial court as to the denial of a directed verdict on the child endangerment charge.

III.  State’s motion for continuance

Galimore contends the trial court erred in granting the State’s motion for a continuance on the remaining three charges after quashing his indictment for felony DUI.  We disagree.

‘The granting of a motion for a continuance is within the sound discretion of the trial court and will not be disturbed absent a clear showing of an abuse of discretion.'”  State v. Geer, 391 S.C. 179, 189, 705 S.E.2d 441, 447 (Ct. App. 2010) (quoting State v. Yarborough, 363 S.C. 260, 266, 609 S.E.2d 592, 595 (Ct. App. 2005)).  “‘An abuse of discretion arises from an error of law or a factual conclusion that is without evidentiary support.'”  Id. (quoting State v. Irick, 344 S.C. 460, 464, 545 S.E.2d 282, 284 (2001));see also State v. Funderburk, 367 S.C. 236, 239, 625 S.E.2d 248, 249-50 (Ct. App. 2006) (“An abuse of discretion occurs when the trial court’s ruling is based on an error of law.”).  Even if there was no evidentiary support, “‘[i]n order for an error to warrant reversal, the error must result in prejudice to the appellant.'”  Geer, 391 S.C. at 190, 705 S.E.2d at 447 (quoting State v. Preslar, 364 S.C. 466, 473, 613 S.E.2d 381, 385 (Ct. App. 2005)); see also State v. Wyatt, 317 S.C. 370, 372-73, 453 S.E.2d 890, 891-92 (1995) (stating that error without prejudice does not warrant reversal).

Here, the trial court explained its reasoning behind granting the State’s motion for a continuance, stating it felt Galimore was “the architect of the problem that [it] had by making the motion [that day].”  The trial was held approximately three weeks after the continuance was granted.  Considering the high degree of deference this court gives the trial court in granting a motion for continuance, we find the trial court was within its discretion in this instance.  Accordingly, we affirm the trial court.

CONCLUSION

Based on the foregoing reasons, the trial court’s decision is

AFFIRMED.

HUFF and PIEPER, JJ., concur.


SC DUI – DMV Hearing – Getting Your License Back

There are two separate issues with DUI arrests. First, there is the “criminal side” for which you hire a lawyer to defend you. Then, there is the “DMV” or “driving privilege” matter which involves a DMV hearing if you timely request one. The hearings are held in Chester at 8:00 am, and the arresting officer, if they attend, is available to be questioned by your attorney concerning the circumstances of your arrest. This is usually the first opportunity for your attorney to learn a great deal about your case. It may also give you a chance to challenge whether the initial police stop was proper and legal. Better make sure your DUI attorney understands the importance of attending this hearing and is willing to do so on your behalf.

At Reeves, Aiken & Hightower LLP, our attorneys have over 70 years of combined trial experience in both civil and criminal courts.  We focus our criminal practice on DUI and DWI cases in both South Carolina and North Carolina and are available by mobile phone in the evenings, on weekends, and even holidays. Our lawyers are licensed in both states and are effective criminal trial attorneys.  We are not afraid to go to Court and often do. Don’t settle for a lawyer who only wants to reduce your DUI charge to reckless driving.  We welcome an opportunity to sit down for a private consultation to review your case. Call us today. www.rjrlaw.com

THE STATE OF SOUTH CAROLINA

In The Supreme Court


South Carolina Department of Motor Vehicles, Respondent,

v.

Larry McCarson, Appellant.


Appeal From Administrative Law Court
Carolyn C. Matthews, Administrative Law Court Judge


Opinion No.  26916
Heard October 7, 2010 – Filed January 24, 2011


REVERSED


Carson McCurry Henderson, of Greenwood, Heath Preston Taylor, of West Columbia, for Appellant.

Deputy General Counsel Philip S. Porter, General Counsel Frank L. Valenta, Jr., Assistant General Counsel Linda A. Grice, of Blythewood, for Respondent.


JUSTICE BEATTY:  Larry McCarson appeals the order of the Administrative Law Court (ALC) that resulted in the suspension of his driver’s license following an arrest for driving under the influence (DUI).[1]  In his appeal, McCarson claims the ALC erred in reversing the decision of the Hearing Officer for the Division of Motor Vehicles Hearings (DMVH) that rescinded the initial license suspension.  Specifically, McCarson contends his license should not have been suspended as there was no admissible evidence to establish probable cause for his DUI arrest.  We agree and reverse the decision of the ALC.

I.  Factual/Procedural History

At approximately 2:00 a.m. on January 1, 2006, First Sergeant Kimbrell was on routine patrol near the junction of US 221 and I-385 in Laurens County.  While on patrol, Kimbrell observed McCarson drive his vehicle over a curb, fail to yield the right of way, make an improper turn, and make a wide turn on an entrance ramp of I-385 near a divider wall.  Because his patrol vehicle was not equipped with a video camera, Kimbrell requested assistance after pulling McCarson over for the driving violations.

Shortly thereafter, Trooper Michael Jones arrived at the location where McCarson was being detained by his supervisor, Sergeant Kimbrell.  Upon his arrival, Kimbrell advised Jones of the reason for the traffic stop.  Jones then requested that McCarson step to the rear of the vehicle.  After reading McCarson his Miranda[2] rights, Jones ordered McCarson to perform several field sobriety tests.  According to Jones, McCarson performed “poorly” on the Horizontal Gaze Nystagmus (HGN) test and the “one-leg stand” test.  As a result, Jones arrested McCarson for DUI and transported him to the Laurens County Law Enforcement Center.

After being read the Advisement of Implied Consent rights[3] and his Miranda rights, McCarson agreed to submit to a DataMaster breathalyzer test.  The test results revealed that McCarson had a blood alcohol level of 0.17 percent.  Because McCarson’s blood alcohol level was greater than 0.15 percent, Jones issued McCarson a Notice of Suspension pursuant to section 56-5-2951(A) of the South Carolina Code.[4]

Within the statutorily-prescribed time period,[5] McCarson filed a request for an administrative hearing before the DMVH to challenge the license suspension.

On March 1, 2006, Hearing Officer Tracy Holland held a hearing on McCarson’s license suspension.[6]  Trooper Jones, but not Sergeant Kimbrell, appeared on behalf of the Department of Motor Vehicles (the “Department”).    At the hearing, Jones offered an Incident Report to supplement his own testimony.  The Incident Report detailed Kimbrell’s observations of McCarson’s erratic driving prior to Jones’s arrival at the scene.  Jones also sought to introduce the following documents:  his DataMaster certification, the implied consent advisement form, the notice of suspension, and the traffic ticket.

McCarson’s counsel objected to the admission of the Incident Report on the ground it constituted inadmissible hearsay.  In conjunction, counsel sought to exclude the other documents on the basis that “there is no foundation and in trying to lay the foundation, there’s hearsay, without the other officer here.”  Holland agreed and, as a result, excluded the proffered evidence.  In turn, Holland ruled:

I find that the testimony of Trooper Jones failed to prove that [McCarson] was lawfully arrested for driving under the influence.  Trooper Jones failed to present any testimony or other evidence which led him to believe that [McCarson] was operating a motor vehicle while under the influence of alcohol or drugs . . . There was no testimony about the reason for the stop, no testimony about attributes or behavior which typically lead an officer to believe someone is under the influence, and no testimony about [McCarson’s] performance on the field sobriety tests.  The only testimony given was that the field sobriety tests indicated he was under the influence.

Ultimately, Holland concluded that the Department failed to meet its burden of proof.  Consequently, by order dated March 30, 2007, Holland rescinded McCarson’s license suspension and ordered the Department to restore McCarson’s driving privileges.

The Department appealed Holland’s order to the ALC.  In challenging the order, the Department primarily asserted Holland erred in excluding the documentary evidence that served as the basis for establishing probable cause for McCarson’s arrest.

Based on the parties’ briefs, the Honorable John McLeod considered the central question of whether Sergeant Kimbrell’s statements should have been admitted pursuant to an exception to the rule against hearsay.  Finding no enumerated hearsay exception,[7] Judge McLeod relied on the decision of the Court of Appeals in Summersell v. South Carolina Department of Public Safety, 334 S.C. 357, 513 S.E.2d 619 (Ct. App. 1999), vacated in part by 337 S.C. 19, 522 S.E.2d 144 (1999).

In Summersell, an officer responded to the call of a citizen who had witnessed Summersell drive an automobile into a ditch.  When the officer arrived at the scene, she observed Summersell “passed out” in the driver’s seat of the automobile with the keys in the ignition.  The citizen assisted Summersell in exiting the vehicle because Summersell could not do so on his own.  Id. at 361, 513 S.E.2d at 621.  According to the officer, Summersell smelled strongly of alcohol, was unsteady on his feet, and had extremely red eyes.  Id. at 362, 513 S.E.2d at 622.  Although the officer did not witness Summersell driving the automobile, her investigation of the scene revealed the tire tracks near the automobile were “fresh” and the incident occurred “sometime that evening.”  Id.

As a result, the officer arrested Summersell for DUI.  After refusing to submit to a breathalyzer test, the Department suspended Summersell’s driving privileges.  The circuit court upheld the Hearing Officer’s decision to sustain the suspension of Summersell’s driver’s license.  Id. at 362, 513 S.E.2d 622.

On appeal to the Court of Appeals, Summersell raised several issues including whether the Hearing Officer erred in allowing the Department to elicit hearsay testimony during the administrative hearing.  Because the citizen-witness did not testify at the hearing, Summersell claimed the officer could not testify as to the citizen’s observations of Summersell driving the automobile into the ditch. Id. at 364, 513 S.E.2d at 623.  Summersell’s hearsay objection was overruled by the Hearing Officer.  Id.

The Court of Appeals affirmed the decision of the circuit court, finding the officer’s hearsay testimony was admissible as it was related to probable cause for the arrest of Summersell.  Id. at 366, 513 S.E.2d at 624.  The court stated:

Although it is generally correct to state the purpose of a preliminary hearing is to “apprise the defendant of the nature of the State’s evidence,” its purpose is more specifically “. . . to establish that probable cause exists to continue the criminal process.  The State has the burden of proving probable cause, but is not required to call all of its potential witnesses.”  To this end, we have previously held that hearsay testimony as to the nature of the State’s evidence is permissible.

Id. at 365, 513 S.E.2d at 624 (quoting State v. Dingle, 279 S.C. 278, 283-84, 306 S.E.2d 223, 226 (1983)).

Relying on Summersell, Judge McLeod concluded that “South Carolina courts have promulgated a common law exception to hearsay, to wit, that hearsay testimony is admissible to establish probable cause to arrest.”  Thus, Judge McLeod concluded that the Incident Report as well as the other proffered evidence should have been admitted to establish probable cause for McCarson’s arrest.  Accordingly, Judge McLeod reversed Hearing Officer Holland’s order and remanded for a new hearing on the merits as the record on appeal was “woefully inadequate.”

On remand, Hearing Officer Holland conducted a hearing on March 12, 2008.  Trooper Jones appeared on behalf of the Department.  At the onset of Jones’s testimony, McCarson’s counsel posited his hearsay objection to Jones testifying as to Sergeant Kimbrell’s observations of McCarson’s erratic driving.  In support of this objection, counsel challenged Judge McLeod’s reliance on Summersell given the subsequent history.[8]  Because Kimbrell’s observations, which were conveyed to Jones and included in the Incident Report, constituted inadmissible hearsay, counsel claimed this evidence and the resultant documentary evidence should be suppressed.

By order dated April 7, 2008, Hearing Officer Holland specifically rejected Judge McLeod’s ruling and declined to consider the Department’s hearsay testimony regarding probable cause for McCarson’s arrest.  In rejecting Judge McLeod’s reasoning, Holland not only discounted the ruling in Summersell but declared it as without precedential value.  Without the proffered evidence, Holland found that Trooper Jones failed to prove McCarson was lawfully arrested for DUI.  Specifically, Holland found there was no evidence of probable cause for the initial stop as Jones failed to present testimony that McCarson was operating a motor vehicle while under the influence of alcohol.  Consequently, Holland ordered the Department to restore Respondent’s driver’s license.

Subsequently, the Department appealed the order to the ALC.  By order dated June 29, 2009, the Honorable Carolyn Matthews reversed the Hearing Officer’s order and reinstated McCarson’s license suspension.

Judge Matthews essentially adopted Judge McLeod’s analysis and found the proffered evidence was admissible pursuant toSummersell.  Based on this ruling, Judge Matthews concluded “the only reasonable inference to be drawn from the Incident Report is that [Trooper Jones] had probable cause to arrest [McCarson] for driving under the influence.”  She explained, “The report established prima facie evidence that [McCarson] was driving erratically (driving over a curb, failed to yield right of way in front of the officer, and improper left) thereby justifying the stop.”

Following the denial of his motion for reconsideration, McCarson appealed the ALC’s order to the Court of Appeals.  This Court certified this appeal pursuant to Rule 204(b), SCACR.

II. Discussion

A.

McCarson contends the primary question before this Court is “whether  or not hearsay evidence, in the form of an incident report containing evidence that the testifying witness [cannot] independently testify to, can be admitted to establish probable cause in the context of an administrative hearing conducted pursuant to S.C. Code Ann. § 56-5-2951(F)(1) (2006).”

In answering this question, McCarson claims the ALC’s decision to admit the challenged evidence was erroneous for the following reasons:  (1) Summersell should not have served as the basis for the ALC’s decision as it was vacated by this Court; (2) the Rules of Evidence, which are applicable in administrative hearings, expressly exclude the hearsay testimony; and (3) our state common law, which permits hearsay evidence to establish probable cause in preliminary hearings for criminal cases, does not apply to administrative, license-suspension hearings.

As will be more thoroughly discussed, we agree with each of McCarson’s contentions.

B.

The DMVH is authorized to hear contested cases from the Department.  S.C. Code Ann. § 1-23-660 (Supp. 2009); S.C. Dep’t of Motor Vehicles v. Holtzclaw, 382 S.C. 344, 347, 675 S.E.2d 756, 757-58 (Ct. App. 2009), cert. denied (Mar. 9, 2010).  Thus, the DMVH is an agency under the Administrative Procedures Act.  Holtzclaw, 382 S.C. at 347, 675 S.E.2d at 758; S.C. Code Ann. § 1-23-310(2) (Supp. 2009).  Accordingly, appeals from Hearing Officers must be taken to the ALC.  Holtzclaw, 382 S.C. at 347, 675 S.E.2d at 758; S.C. Code Ann. § 1-23-660 (Supp. 2009).  When reviewing a decision of the ALC, this Court’s standard of review is governed by section 1-23-610 of the South Carolina Code.  S.C. Code Ann. § 1-23-610 (Supp. 2009).  An appellate court “may reverse or modify the decision only if substantive rights of the appellant have been prejudiced because the decision is clearly erroneous in light of the reliable and substantial evidence on the whole record, arbitrary or otherwise characterized by an abuse of discretion, or affected by other error of law.”  Holtzclaw, 382 S.C. at 347, 675 S.E.2d at 758 (citing section 1-23-610 of the South Carolina Code).

C.

Before addressing the merits of McCarson’s appeal, we must initially consider a threshold issue regarding the appealability of the ALC’s order.

The Department asserts McCarson’s failure to appeal Judge McLeod’s “remand” order of January 15, 2008, precludes him from challenging the admission of the Incident Report on hearsay grounds.  Because McCarson had an opportunity to appeal Judge McLeod’s order prior to the second hearing before Hearing Officer Holland, the Department claims Judge McLeod’s “outcome determinative” ruling as to the admissibility of the Incident Report is the law of the case.

Although the Department correctly cites the principle that an unappealed ruling constitutes the law of the case,[9] we find Judge McLeod’s order was interlocutory.  Because Judge McLeod remanded the case to Hearing Officer Holland and ordered a new hearing to be conducted in accordance with his evidentiary ruling, this order was not a final decision on the merits.  See Foggie v. Gen. Elec. Co., 376 S.C. 384, 656 S.E.2d 395 (Ct. App. 2008) (recognizing that an order of the circuit court remanding a case for additional proceedings before an administrative agency is not final and, thus, not directly appealable).  Thus, we find McCarson’s challenge is still viable for this Court’s consideration.

D.

Turning to the merits of McCarson’s appeal, our analysis begins with a consideration of section 56-5-2951(F)(1).  As we interpret McCarson’s arguments, he only challenges this subsection with respect to his license suspension.  Specifically, the determination of whether he was “lawfully arrested or detained” for DUI in order for the Department to suspend his driving privileges.  S.C. Code Ann. § 56-5-2951(F)(1) (2006).

The key question for our determination is whether Sergeant Kimbrell’s observations of McCarson’s erratic driving were admissible through Jones’s report and testimony in order to establish probable cause for McCarson’s DUI arrest as required by section 56-5-2951(F)(1).

The dispositive question in determining the lawfulness of an arrest is whether there was “probable cause” to make the arrest. Wortman v. City of Spartanburg, 310 S.C. 1, 4, 425 S.E.2d 18, 20 (1992).  “Probable cause is defined as a good faith belief that a person is guilty of a crime when this belief rests upon such grounds as would induce an ordinarily prudent and cautious person, under the circumstances, to believe likewise.”  Id.

“Probable cause for a warrantless arrest exists when the circumstances within the arresting officer’s knowledge are sufficient to lead a reasonable person to believe that a crime had been committed by the person being arrested.”  State v. Baccus, 367 S.C. 41, 49, 625 S.E.2d 216, 220 (2006).  “Whether probable cause exists depends upon the totality of the circumstances surrounding the information at the officer’s disposal.”  Id.  In determining whether probable cause exists, “all the evidence within the arresting officer’s knowledge may be considered, including the details observed while responding to information received.”  State v. Roper, 274 S.C. 14, 17, 260 S.E.2d 705, 706 (1979).

We find Sergeant Kimbrell’s observations as conveyed through Jones’s testimony and Incident Report constituted quintessential hearsay.

Hearsay is defined as “a statement, other than one made by the declarant while testifying at the trial or hearing, offered in evidence to prove the truth of the matter asserted.”  Rule 801(c), SCRE.  “Hearsay is inadmissible except as provided by statute, the South Carolina Rules of Evidence, or other court rules.”  State v. LaCoste, 347 S.C. 153, 160, 553 S.E.2d 464, 468 (Ct. App. 2001) (citing Rule 802, SCRE).

The rule against hearsay prohibits the admission of evidence of an out- of-court statement by someone other than the person testifying that is used to prove the truth of the matter asserted.  Watson v. State, 370 S.C. 68, 71, 634 S.E.2d 642, 644 (2006).  It is well settled that evidence is not hearsay unless offered to prove the truth of the matter asserted.  State v. Brown, 317 S.C. 55, 63, 451 S.E.2d 888, 894 (1994).

Based on the well-established definition of hearsay, Sergeant Kimbrell’s observations of McCarson’s erratic driving constituted hearsay as it was testified to by Trooper Jones and was offered to establish probable cause for the DUI arrest.

Because the Rules of Evidence are clearly applicable to driver’s license-suspension hearings,[10] the question becomes whether the challenged evidence is admissible pursuant to a hearsay exception.

Like the ALC, we do not believe there are any enumerated hearsay exceptions that would permit the admissibility of this evidence.[11]  Accordingly, the only potential avenue for admissibility is through our state’s jurisprudence regarding probable cause.

Given this Court expressly vacated the analysis of the Court of Appeals in Summersell, we find the ALC erred in relying on this case as it was no longer precedential.  Furthermore, a review of this state’s appellate decisions reveals that our courts have permitted hearsay evidence to establish probable cause in the limited context of a preliminary hearing.  See State v. Dingle, 279 S.C. 278, 306 S.E.2d 223 (1983) (holding an officer may present hearsay testimony in a preliminary hearing to establish probable cause for arrest), abrogated on other grounds by Horton v. California, 496 U.S. 128 (1990); see also State v. Thompson, 276 S.C. 616, 281 S.E.2d 216 (1981) (concluding the State, during a preliminary hearing, was permitted to offer hearsay testimony to establish probable cause for arrest; recognizing that the State is not required to present all of its witnesses and evidence during a preliminary hearing); State v. Jones, 273 S.C. 723, 259 S.E.2d 120 (1979) (finding it was permissible for chief investigating officer to read into the record statements of other unavailable witnesses at a preliminary hearing given the direct testimony of the officer’s investigation was offered as well as the hearsay testimony).

We find these cases are inapplicable to a driver’s license suspension hearing.  A preliminary hearing, as its name suggests, is not a final adjudication of a defendant’s rights.  Instead, a preliminary hearing merely serves as a determination of whether there is sufficient evidence to subject a defendant to further criminal proceedings.  See Rule 2, SCRCrimP (providing for preliminary hearings and stating in part that “Any defendant charged with a crime not triable by a magistrate shall be brought before a magistrate and shall be given notice of his right to a preliminary hearing solely to determine whether sufficient evidence exists to warrant the defendant’s detention and trial”); State v. Ramsey, 381 S.C. 375, 376, 673 S.E.2d 428, 428-29 (2009) (“The purpose of a preliminary examination is to determine whether probable cause exists to believe that the defendant committed the crime and to warrant the defendant’s subsequent trial.”).

In contrast, a license-suspension hearing may potentially terminate an important interest of the licensee.  See Bell v. Burson, 402 U.S. 535, 539 (1971) (“Once licenses are issued, . . ., their continued possession may become essential in the pursuit of a livelihood.  Suspension of issued licenses thus involves state action that adjudicates important interests of the licensees.  In such cases the licenses are not to be taken away without the procedural due process required by the Fourteenth Amendment.”); Hipp v. S.C. Dep’t of Motor Vehicles, 381 S.C. 323, 325, 673 S.E.2d 416, 417 (2009) (“A person’s interest in his driver’s license is property that a state may not take away without satisfying the requirements of due process.”).

Because a license-suspension hearing constitutes a final adjudication of an important interest, we believe the Legislature promulgated section 56-5-2951 in such a way that guards against an automatic or rote elimination of this interest.  Specifically, this section sets forth several statutory prerequisites that must be established before a Hearing Officer suspends a citizen’s driver’s license following an arrest for DUI.  In the instant case, a determination of whether McCarson was lawfully arrested or detained for DUI.  By including this element in section 56-5-2951, the Legislature placed the burden on the Department to present sufficient evidence of probable cause.

Given the significant difference between a preliminary hearing and a license-suspension hearing, we decline to extend the probable cause cases relied on by the Department to circumvent the well-established rules against hearsay.  Thus, in proving that a driver was lawfully arrested or detained for DUI, the Department must present admissible evidence of probable cause.  If we were to find otherwise, we would essentially render meaningless the procedure established by our Legislature in section 56-5-2951.

III.  Conclusion

Based on the foregoing, we hold the Department failed to present admissible evidence that McCarson was lawfully arrested or detained for DUI.  Accordingly, we find the ALC erred in reversing the Hearing Officer’s order reinstating McCarson’s driver’s license privileges.

REVERSED.

TOAL, C.J., PLEICONES and HEARN JJ., concur. KITTREDGE, J., concurring in result only.

[1]  S.C. Code Ann. § 56-5-2930 (2006 & Supp. 2009) (outlining offense of operating a motor vehicle while under the influence of alcohol or drugs).

[2]   Miranda v. Arizona, 384 U.S. 436 (1966).

[3]  See S.C. Code Ann. § 56-5-2950(A) (2006) (“A person who drives a motor vehicle in this State is considered to have given consent to chemical tests of his breath, blood, or urine for the purpose of determining the presence of alcohol or drugs or the combination of alcohol and drugs if arrested for an offense arising out of acts alleged to have been committed while the person was driving a motor vehicle while under the influence of alcohol, drugs, or a combination of alcohol and drugs.”).

[4]  See S.C. Code Ann. § 56-5-2951(A) (2006) (“The Department of Motor Vehicles must suspend the driver’s license . . . of a person who has an alcohol concentration of fifteen one-hundredths of one percent or more.”).

[5]  See S.C. Code Ann. § 56-5-2951(B)(2) (2006) (“Within thirty days of the issuance of the notice of suspension, the person may request an administrative hearing.”).

[6]  Section 56-5-2951 provides that the scope of the administrative hearing must be limited to whether the person:

(1)  was lawfully arrested or detained;

(2)  was advised in writing of the rights enumerated in Section 56-5-2950;

(3)  refused to submit to a test pursuant to Section 56-5-2950; or

(4)  consented to taking a test pursuant to Section 56-5-2950, and the:

(a)  reported alcohol concentration at the time of testing was fifteen one-hundredths of one percent or more;

(b)  individual who administered the test or took samples was qualified pursuant to Section 56-5-2950;

(c)  tests administered and samples obtained were conducted pursuant to Section 56-5-2950; and

(d)  the machine was working properly.

S.C. Code Ann. § 56-5-2951(F) (2006) (emphasis added).  We note that this code section was amended in 2006 and rewritten in 2008.  Because there were no substantive amendments that would affect the outcome of this case, we have cited to the 2006 code section given McCarson was arrested on January 1, 2006, prior to the subsequent amendments.

[7]  See Rule 801(c), SCRE (“‘Hearsay’ is a statement, other than one made by the declarant while testifying at the trial or hearing, offered in evidence to prove the truth of the matter asserted.”); Rule 803, SCRE (enumerating exceptions to the rule against hearsay).

[8]  This Court vacated the decision of the Court of Appeals regarding the admissibility of the hearsay testimony on the ground the issue had not been properly preserved for appellate review as the trial court had not specifically ruled on the issue.  Summersell, 337 S.C. at 21-22, 522 S.E.2d at 145-46.

[9]  See ML-Lee Acquisition Fund, L.P. v. Deloitte & Touche, 327 S.C. 238, 241, 489 S.E.2d 470, 472 (1997) (holding an unappealed ruling, right or wrong, becomes the law of the case).

[10]  See S.C. Code Ann. § 1-23-330(1) (2005) (“Except in proceedings before the Industrial Commission the rules of evidence as applied in civil cases in the court of common pleas shall be followed.”); cf. Rule 1101(d)(3), SCRE (stating that the Rules of Evidence are inapplicable to “[p]roceedings for extradition; preliminary hearings in criminal cases; sentencing (except in the penalty phase of capital trials as required by statute), dispositional hearings in juvenile delinquency matters, or granting or revoking probation; issuance of warrants for arrest, criminal summonses, and search warrants; and proceedings with respect to release on bail or otherwise”).

[11]  The Department urges this Court to find the evidence is admissible as it constitutes either a record that is kept in the course of regularly conducted business activity or a public record.  A cursory review of these hearsay exceptions would appear to support the Department’s position.  However, a closer reading of the above-referenced rules reveals that Sergeant Kimbrell’s observations in the form of the Incident Report are specifically excluded.  See Rule 803(6), SCRE (providing that business records are admissible but stating “that subjective opinions and judgments found in business records are not admissible”); Rule 803(8), SCRE (providing that certain public records are admissible but stating that “investigative notes involving opinions, judgments, or conclusions are not admissible”).

 

SC DUI / DUAC – Habitual Traffic Offender Statute

At Reeves, Aiken & Hightower LLP, our attorneys have over 70 years of combined trial experience in both civil and criminal courts.  We focus our criminal practice on DUI and DWI cases in both South Carolina and North Carolina and are available by mobile phone in the evenings, on weekends, and even holidays. Our lawyers are licensed in both states and are effective criminal trial attorneys.  We are not afraid to go to Court and often do. Don’t settle for a lawyer who only wants to reduce your DUI charge to reckless driving.  We welcome an opportunity to sit down for a private consultation to review your case. Call us today. www.rjrlaw.com

 

THE STATE OF SOUTH CAROLINA
In The Supreme Court


South Carolina Department of Motor Vehicles, Respondent,

v.

Osier Palmer Blackwell, III, Appellant.


Appeal from Richland County
Carolyn C. Matthews, Administrative Law Court Judge


Opinion No. 26850
Heard May 13, 2010 – Filed August 9, 2010


AFFIRMED


Ricky Keith Harris, of Spartanburg, for Appellant.

Philip S. Porter, Frank L. Valenta, Jr., Linda A. Grice, of Blythewood, for Respondent.


CHIEF JUSTICE TOAL:  Osier P. Blackwell, III (Appellant) appealed the administrative law court’s (ALC) decision that a conviction for driving with an unlawful alcohol concentration constitutes a major violation under the habitual traffic offender statute found at S.C. Code Ann. § 56-1-1020.  We certified the case pursuant to Rule 204(b), SCACR, and affirm.

FACTS/PROCEDURAL BACKGROUND

In 2003, Appellant twice was cited for and convicted of driving while under suspension.  Appellant was cited for driving with an unlawful alcohol concentration (DUAC) in 2006, but not convicted until 2008.  In July 2008, Appellant received an official Notice of Declaration of Habitual Offender Status from the Department of Motor Vehicles (DMV), which included a five year suspension of his driver’s license.

Appellant requested a hearing, and the Division of Motor Vehicles Hearings (DMVH) rescinded Appellant’s suspension.  The DMVH found that DUAC is not a major offense under the habitual traffic offender statute because it does not include the material element of establishing the offender was under the influence of alcohol.  Thus, DUAC does not equate to the enumerated offense in section 56-1-1020 of operating or attempting to operate a motor vehicle while under the influence of alcohol.

The DMV appealed to the ALC, which reversed the DMVH.  South Carolina Code section 56-5-2950(b)(3) says that if a person has an alcohol concentration of .08% or greater, then it may be inferred that person is under the influence of alcohol.  The ALC reasoned that because the DUAC statute requires a person’s alcohol concentration to be at .08% or above, you can infer “under the influence” from a DUAC conviction.  Thus, if a person is convicted of DUAC, it is a major violation of the habitual traffic offender statute because it equates to operating a motor vehicle while under the influence of alcohol.  The ALC reversed the DMVH and reinstated Appellant’s suspension.  Appellant appealed, and we certified the case.

STANDARD OF REVIEW

In an appeal from the ALC’s decision, the Administrative Procedures Act provides the appropriate standard of review.  S.C. Code Ann. § 1-23-610(B) (Supp. 2008).  This Court will only reverse the ALC’s decision if it is:

(a) in violation of constitutional or statutory provisions;
(b) in excess of the statutory authority of the agency;
(c) made upon unlawful procedure;
(d) affected by other error of law;
(e) clearly erroneous in view of the reliable, probative and substantial evidence on the whole record; or
(f) arbitrary or capricious or characterized by abuse of discretion or clearly unwarranted exercise of discretion.

Id.

ANALYSIS

Appellant argues the ALC erred in reversing the DMVH and reinstating his suspension.  We disagree.

South Carolina’s habitual offender law states that a person who has been convicted of committing at least three described offenses within a three year period is an habitual traffic offender.  S.C. Code Ann. § 56-1-1020 (2006).  Included in the list is “operating or attempting to operate a motor vehicle while under the influence of intoxicating liquors, narcotics or drugs.”  Id. § 56-1-1020(a)(2).

Appellant was convicted of driving with an unlawful alcohol concentration under section 56-5-2933, which states that it is “unlawful for a person to drive a motor vehicle within this State while his alcohol concentration is eight one-hundredths of one percent or more.”  This offense is distinct from “operating a motor vehicle while under influence of alcohol or drugs,” which requires the driver to be under the influence of alcohol to the extent that the driver’s faculties are “materially and appreciably impaired.”  Id. § 56-5-2930.

Appellant argues that because the habitual offender statute uses the language “under the influence,” an offense that does not require a showing of being “under the influence” may not be counted against him under the statute.  The ALC, on the other hand, found that DUAC is comparable to operating a motor vehicle while intoxicated and thus is sufficient for the habitual offender statute.  We agree.

Specifically, the ALC found that while “under the influence” is not defined within the statutes, section 56-5-2950(b)(3) states that if a driver’s alcohol concentration is .08% or higher, it may be inferred that the driver is under the influence of alcohol.  Thus, because a driver must have an alcohol concentration of at least .08% to be convicted of DUAC, an inference of “under the influence” may be inferred from a DUAC conviction.  That permissible inference, along with the broad and inclusive nature of the habitual offender statute,[1] supports the ALC’s ruling that a conviction of DUAC is contemplated by and qualifies under the habitual offender statute.

The offense of DUAC carries a permissible inference of being under the influence.  A conviction under section 56-5-2930 requires a driver to be under the influence to a certain extent.  A driver may have an alcohol concentration sufficient to support a conviction of DUAC and trigger the inference, but his faculties may not be impaired to the degree required for a conviction under section 56-5-2930.  Both offenses are predicated upon a driver operating a vehicle while under the influence of alcohol, albeit to potentially different extents.  The plain language of the habitual offender statute only requires a driver to be under the influence – it does not have the higher standard of section 56-5-2930.  Therefore, a conviction for DUAC qualifies as a major violation under the habitual offender statute.

CONCLUSION

For the above reasons, the ALC’s decision that a conviction for driving with an unlawful alcohol concentration constitutes a major violation under the habitual traffic offender statute is affirmed.

HEARN, J. and Acting Justice James E. Moore, concur. KITTREDGE, J., dissenting in a separate opinion in which PLEICONES, J., concurs.

JUSTICE KITTREDGE: I respectfully dissent.  The habitual traffic offender statute defines a “habitual offender” as a person who has:

(a) Three or more convictions, singularly or in combination of any of the following separate and distinct offensesarising out of separate acts:

(1) Voluntary manslaughter, involuntary manslaughter or reckless homicide resulting from the operation of a motor vehicle;

(2) Operating or attempting to operate a motor vehicle while under the influence of intoxicating liquor, narcotics or drugs;

(3) Driving or operating a motor vehicle in a reckless manner;

(4) Driving a motor vehicle while his license, permit, or privilege to drive a motor vehicle has been suspended or revoked, except a conviction for driving under suspension for failure to file proof of financial responsibility;

(5) Any offense punishable as a felony under the motor vehicle laws of this State or any felony in the commission of which a motor vehicle is used;

(6) Failure of the driver of a motor vehicle involved in any accident resulting in the death or injury of any person to stop close to the scene of such accident and report his identity;

S.C. Code Ann. § 56-1-1020(a) (2006) (emphasis added).

The habitual offender statute lists six specific offenses that “count” towards habitual offender status.  Indeed, the legislature elected to limit qualifying offenses to the enumerated “separate and distinct offenses.”  The enumerated offenses set forth in sections (1), (2), (3), (4) and (6), refer to specific statutory offenses,[2] and section (5) incorporates the provisions of the motor vehicle laws punishable as a felony.

Given the clear statutory language, I take the view that if an offense is not one of the six listed in the habitual offender statute, the conviction may not “count” towards habitual offender status.  The offense of driving with an unlawful alcohol concentration (DUAC) is not included as one of the section 56-1-1020(a) offenses.  I thus conclude the offense of DUAC is not a qualifying offense under section 56-1-1020(a) for habitual offender status.

Moreover, I disagree with the Court’s attempt to satisfy the statute by equating the offense of DUI with the offense of DUAC.  Under South Carolina law, DUI and DUAC are different offenses.  See § 56-5-2930 and § 56-5-2933.  The element of “driving under the influence” is not present in an offense for DUAC.  I respectfully disagree with the majority’s analysis which bootstraps § 56-5-2950(b)(3), a permissible inference provision located in an entirely different statute, to the DUAC statute in order to reach the conclusion that a conviction for DUAC qualifies as a conviction of “operating or attempting to operate a motor vehicle while under the influence.”

I certainly understand the policy rationale for including the offense of DUAC as a qualifying offense for habitual traffic offender status, but that determination lies with the legislature and not this Court.

I vote to reverse the decision of the ALC.

PLEICONES, J., concurs.

[1] The legislative declaration of policy also supports the ALC’s reading of the habitual offender statute.  See id.§ 56-1-1010 (stating the policy behind the legislation is to provide for the safety of people on public roads, to deny driving privileges to those drivers who demonstrate indifference to traffic laws, and to discourage drivers from repeatedly violating traffic laws).

[2] See S.C. Code Ann. §§ 56-1-440, 56-5-1210, 56-5-2910, 56-5-2920, and 56-5-2930 (2008).

SC DUI – Jury Trial Selection

Perhaps the last best hope of justice rests with the right to a jury trial. In North Carolina, your first DWI trial is in front of a judge. In South Carolina, anyone charged with drunk driving (DUI) is given a trial by jury. Of course, jury trials are important, but favorable  jury selection is equally critical. An experienced DUI lawyer knows what type of juror they want to hear your case. Better make sure your DUI attorney actually goes to court and knows what they are doing when they get there. Compare our firm to any other.

At Reeves, Aiken & Hightower LLP, our attorneys have over 70 years of combined trial experience in both civil and criminal courts.  We focus our criminal practice on DUI and DWI cases in both South Carolina and North Carolina and are available by mobile phone in the evenings, on weekends, and even holidays. Our lawyers are licensed in both states and are effective criminal trial attorneys.  We are not afraid to go to Court and often do. Don’t settle for a lawyer who only wants to reduce your DUI charge to reckless driving.  Compare our attorneys’ credentials to any other firm. We welcome an opportunity to sit down for a private consultation to review your case. Call us today. www.rjrlaw.com

THE STATE OF SOUTH CAROLINA
In The Court of Appeals

The State, Appellant,

v.

John Porter Johnson, Respondent.


Appeal From Cherokee County
J. Mark Hayes, II, Circuit Court Judge


Opinion No.    4927
Heard November 3, 2011 – Filed January 4, 2012


REVERSED


Attorney General Alan Wilson, Chief Deputy Attorney General John W. McIntosh, Assistant Deputy Attorney General Salley W. Elliott, Assistant Attorney General Mark R. Farthing, all of Columbia; and Solicitor Barry J. Barnette, of Spartanburg, for Appellant.

Ralph Keith Kelly, of Spartanburg, for Respondent.

HUFF, J.:  The State appeals an order of the circuit court reversing John Porter Johnson’s conviction of driving under the influence (DUI) on the basis of an alleged insufficiency in the number of potential jurors from which to draw a jury for Johnson’s trial in magistrate court.  We reverse the circuit court order and reinstate Johnson’s conviction.

FACTUAL/PROCEDURAL BACKGROUND

The facts of this case are undisputed.  Johnson was arrested on August 24, 2008, and charged with DUI.  His case was called to trial on February 22, 2010, and was the first case on the docket for that week.  Prior to the term of court, pursuant to section 22-2-90 of the South Carolina Code, the magistrate drew seventy-five names for jury service, and issued a writ of venire facias requiring the jurors’ attendance on February 22, 2010, for a one week term of court.  On the morning of February 22, 2010, thirty-nine of the seventy-five summoned jurors appeared.  During jury qualifications, the magistrate excused six of those thirty-nine, leaving thirty-three jurors from which to select the petit jury for Johnson’s trial.  Johnson objected to being required to select from a jury pool of less than forty jurors, asserting a failure of the court to comply with code section 22-2-90(B), and sought a continuance.  The magistrate overruled the objection and denied the motion for continuance.  A six-member jury was drawn, and neither Johnson nor the State extinguished the list of remaining jurors in seating the jury.  The case proceeded to trial, and Johnson was convicted.

Johnson filed a notice of appeal to the circuit court asserting the magistrate erred in overruling his objection to going forward with an insufficient number of jurors available, because section 22-2-90 required a minimum of forty jurors.  Johnson maintained the magistrate should have granted him a continuance until a sufficient number of jurors could be assembled in accordance with section 22-2-120 of the South Carolina Code.  In his argument before the circuit court, Johnson asserted that the legislature provided that a specific number of jurors are required to be present in magistrate court.  He argued that the practice being followed in other jurisdictions in the state was to cancel a jury term where “there were insufficient number being less than 40(forty).”  Johnson insisted that he should have had forty jurors to choose from for his jury, and the magistrate erred in making him go forward when there were only thirty-three available.  The State, on the other hand, argued that section 22-2-90 required only that the magistrate draw at least forty and not more than one hundred jurors, and there is a distinction between the number of jurors drawn and the number of jurors selected.  It argued there were more than sufficient jurors to meet subsection (B) of 22-2-90, as seventy-five were drawn where the statute only required that forty be drawn.  Additionally, the State asserted there were sufficient jurors available to ensure that each side would receive its maximum strikes and still have enough jurors available to seat a six-member jury.

The circuit court took the matter under advisement and later issued an informal order reversing Johnson’s conviction, but indicated a more formal order would be prepared that would become the final order of the court.  The court subsequently issued a written order reversing Johnson’s conviction.  It concluded, after reviewing sections 22-2-20 through 22-2-150 of the South Carolina Code, and applying basic rules of statutory construction to determine legislative intent, the number of jurors available for jury selection fell below the statutory minimum number required.  The circuit court found the random selection method intended by the legislature would not be accomplished when, in advance of the random selection, there is an insufficient number from which to choose.  Accordingly, the circuit court concluded the magistrate erred as a matter of law in overruling Johnson’s objection, denying his motion for continuance, and requiring the parties to proceed to jury selection and trial.  This appeal followed.

ISSUE

Whether the circuit court erred in reversing Johnson’s conviction based on an alleged insufficiency in the number of potential jurors present for selection where the magistrate properly drew the names of seventy-five jurors in compliance with section 22-2-90 of the South Carolina Code, a qualified jury panel was selected from the available jury pool, and Johnson suffered no prejudice from the jury selection process as conducted.

STANDARD OF REVIEW

“In criminal appeals from magistrate or municipal court, the circuit court does not conduct a de novo review, but instead reviews for preserved error raised to it by appropriate exception.”  State v. Henderson, 347 S.C. 455, 457, 556 S.E.2d 691, 692 (Ct. App. 2001).  In criminal cases, the appellate court reviews errors of law only.  City of Rock Hill v. Suchenski, 374 S.C. 12, 15, 646 S.E.2d 879, 880 (2007). Accordingly, this court’s scope of review is limited to correcting the circuit court’s order for errors of law.  Id.

LAW/ANALYSIS

The State contends the circuit court erred in reversing Johnson’s conviction, as a qualified jury was properly empaneled and the magistrate properly exercised his discretion in denying Johnson’s motion for continuance.  We agree.

“The cardinal rule of statutory construction is to ascertain and effectuate the intent of the legislature.” State v. Pittman, 373 S.C. 527, 561, 647 S.E.2d 144, 161 (2007).  If it can be reasonably discovered in the language used, legislative intent must prevail.  Id.  The language of a statute must be construed in light of the intended purpose of the statute, and whenever possible, legislative intent should be found in the plain language of the statute itself.  State v. Gaines, 380 S.C. 23, 33, 667 S.E.2d 728, 733 (2008).  Additionally, statutes which are part of the same legislative scheme should be construed together.  Stardancer Casino, Inc. v. Stewart, 347 S.C. 377, 383, 556 S.E.2d 357, 360 (2001).  In interpreting a statute, the court should give words their plain and ordinary meaning, without resort to subtle or forced construction to limit or expand the statute’s operation, and the language of the statute should be “read in a sense which harmonizes with its subject matter and accords with its general purpose.”  State v. Sweat, 386 S.C. 339, 350, 688 S.E.2d 569, 575 (2010).  A court must take the statute as it finds it, giving effect to the legislative intent as expressed in the language of the statute, and cannot, under its power of construction, supply an omission in a statute.  State v. White, 338 S.C. 56, 58, 525 S.E.2d 261, 263 (Ct. App. 1999).

A review of Chapter 2 of Title 22 reveals the following pertinent code sections in this matter concerning the selection of juries in magistrate court:

In October of each year, the State Election Commission must provide to the chief magistrate for administration of each county, at no cost, a jury list compiled in accordance with the provisions of Section 14-7-130.  The chief magistrate for administration of the county must use these lists in preparing, for each jury area, a list of the qualified electors in these jury areas, and must forward these lists to the respective magistrates.

S.C. Code Ann. § 22-2-50 (2007).

A constable or other person appointed by a magistrate shall, during the first thirty days of each calendar year, prepare a jury box for use in the magistrate’s court which shall be provided by the governing body of the county.  Each box shall contain two compartments designated as A and B respectively.  The person charged with the preparation of the box shall, within the specified period, place in Compartment A of the box the individual names of all qualified electors in the Jury Area.  After Compartment A has been filled with names, the box shall be locked and kept in the magistrate’s custody.

S.C. Code Ann. § 22-2-60 (2007).

(A) In all cases except as provided in Section 22-2-90 in a magistrates court in which a jury is required, a jury list must be selected in the following manner:

A person appointed by the magistrate who is not connected with the trial of the case for either party must draw out of Compartment “A” of the jury box at least thirty but not more than one hundred names, and this list of names must be delivered to each party or to the attorney for each party.

(B) If a court has experienced difficulty in drawing a sufficient number of jurors from the qualified electors of the area, and, before implementing a process pursuant to this subsection, seeks and receives the approval of South Carolina Court Administration, the person selected by the presiding magistrate may draw at least one hundred names but not more than a number determined sufficient by court administration for the jury list, and must deliver this list to each party or the attorney for each party.

S.C. Code Ann. § 22-2-80 (2007).

(A) In addition to the procedure for drawing a jury list as provided for in Section 22-2-80, in a magistrates court which schedules terms for jury trials, the magistrate may select a jury list in the manner provided by this section.

(B) At least ten but not more than forty-five days before a scheduled term of jury trials, a person selected by the presiding magistrate must draw at least forty but not more than one hundred jurors to serve one week only.

(C) If a court has experienced difficulty in drawing a sufficient number of jurors from the qualified electors of the area, and, before implementing a process pursuant to this subsection, seeks and receives the approval of South Carolina Court Administration, the person selected by the presiding magistrate may draw at least one hundred names but not more than a number determined sufficient by court administration to serve one week only.

(D) Immediately after the jurors are drawn, the magistrate must issue a writ of venire facias for the jurors requiring their attendance on the first day of the week for which they have been drawn.  This writ must be delivered to the magistrate’s constable or the sheriff of the county concerned.

S.C. Code Ann. § 22-2-90 (2007).

The names drawn pursuant to either Section 22-2-80 or Section 22-2-90 must be placed in a box or hat and individual names randomly drawn out one at a time until six jurors and four alternates are selected.  Each party has a maximum of six peremptory challenges as to primary jurors and four peremptory challenges as to alternate jurors and any other challenges for cause the court permits.  If for any reason it is impossible to select sufficient jurors and alternates from the names drawn, names must be drawn randomly from Compartment “A” until sufficient jurors and alternates are selected.

S.C. Code Ann. § 22-2-100 (2007).

If at the time set for the trial there are not sufficient jurors to proceed because one or more have failed to attend, have not been summoned, or have been excused or disqualified by the court, additional jurors must be selected from the remaining names or in the manner provided in Section 22-2-80 or Section 22-2-100.

S.C. Code Ann. § 22-2-120 (2007).

In summary, our statutes require a constable or other person appointed by a magistrate to prepare a jury box for use in the magistrate court, which contains two compartments, designated as A and B, and to place in Compartment “A” of the box the individual names of all qualified electors in the Jury Area.  S.C. Code Ann. § 22-2-60 (2007).  Except where jurors are drawn for a weeklong term of court under section 22-2-90, the person appointed by the magistrate must draw out of Compartment “A” of the jury box at least thirty but not more than one hundred names, with this list then delivered to each party or to the parties’ attorneys.  S.C. Code Ann. § 22-2-80(A) (2007).  Where a magistrate court schedules terms for jury trials, the procedure to follow is similar to that of section 22-2-80, but requires that the person selected by the presiding magistrate draw at least forty, but not more than one hundred, jurors to serve a one week term.  S.C. Code Ann. § 22-2-90(B) (2007).  Like section 22-2-80, section 22-2-90 includes a provision that if the court has experienced difficulty in drawing a sufficient number of jurors from the qualified electors of the area, it may seek the approval of South Carolina Court Administration to allow the person selected by the presiding magistrate to draw a minimum of one hundred names to serve.  S.C. Code Ann. §§ 22-2-80 (B) (2007); 22-2-90(C) (2007).  Whether drawing names pursuant to section 22-2-80 or, as in this case, for a weeklong term of court pursuant to section 22-2-90, the individual names must be randomly drawn out, one at a time, until six jurors and four alternates are selected, and each party is allowed a maximum of six peremptory challenges as to primary jurors and four peremptory challenges as to alternate jurors.  S.C. Code Ann. § 22-2-100 (2007).  If it is not possible “to select sufficient jurors and alternates from the names drawn, names then must be drawn randomly from Compartment ‘A’ until sufficient jurors and alternates are selected.”  Id.  “If at the time set for the trial there are not sufficient jurors to proceed because one or more have failed to attend, have not been summoned, or have been excused or disqualified by the court, additional jurors must be selected from the remaining names or in the manner provided in Section 22-2-80 or Section 22-2-100.”  S.C. Code Ann. § 22-2-120 (2007).

We agree with the State that there is no provision in Chapter 2 of Title 22 specifically establishing a minimum number of jurors required to be present in the jury pool before jury selection can proceed.  The plain wording of section 22-2-90 requires only that a person selected by the presiding magistrate draw a minimum of forty jurors to serve for a one week term.  It does not require that forty jurors be present and available in the jury pool before jury selection can proceed for a trial.

Further, section 22-2-100 mandates the individual names be randomly drawn until six jurors and four alternates are selected, with each party being allowed a maximum of six peremptory challenges as to primary jurors and four peremptory challenges as to alternate jurors.  Thus, as noted by the State, allowing for the maximum number of primary (six) and alternate (four) jurors along with the maximum number of combined peremptory challenges (twenty), thirty jurors would be sufficient to meet such needs.  Although it could possibly take every single one of the individual jurors to ultimately seat a jury, the names would still be drawn in random order, with different decisions regarding the parties’ choices on whether or not to use their peremptory challenges affecting the ultimate make-up, and therefore allowing for the randomness of the jury.

Additionally, we note that in those cases where the jury is not being selected for a weeklong term of court, section 22-2-80(A) allows the person appointed by the magistrate to draw a minimum of thirty names for a jury trial in magistrate court.  If the drawing of only thirty names is sufficient under section 22-2-80, thus allowing for a maximum of thirty potential jurors to present themselves for jury selection in those cases, such a number should likewise be sufficient from which to select a jury under section 22-2-90, as there is no difference in the number of primary and alternate jurors and the number of peremptory strikes available to each party whether drawing names pursuant to section 22-2-80 or pursuant to section 22-2-90.  Therefore, construing these statutes, which are part of the same legislative scheme, together, and reading the language of these statutes in a sense which harmonizes with the subject matter and accords with its general purpose, we find the presence of thirty-three jurors in this case was sufficient to select a qualified jury panel from the jury pool.

Johnson and the circuit court effectively read section 22-2-90 as requiring that a minimum of forty individuals appear and be available for jury selection, while the plain terms of the statute require only that forty individual names be drawn and ordered to appear.  Indeed, section 22-2-120 seems to recognize that some of the summoned jurors may fail to appear.  However, it is only when “it is impossible to select sufficient jurors and alternates from the names drawn” and “there are not sufficient jurors to proceed because one or more have failed to attend, have not been summoned, or have been excused or disqualified by the court” that steps must be taken to remedy an insufficient jury pool.  S.C. Code Ann. §§ 22-2-100; 22-2-120.  The legislature has set forth no specified number of jurors required to be present and available in the jury pool before jury selection can proceed.  As noted, a court cannot, under its power of construction, supply an omission in a statute.  White, 338 S.C. at 58, 525 S.E.2d at 263.  By asserting a mandatory minimum of forty jurors are required to be present and available for selection in a magistrate court jury trial, Johnson and the circuit court seek to supply an omission in the statute and expand the statute’s operation.  Further, we find such an interpretation to be inconsistent with the legislative intent in enacting these statutory provisions.  Here, there were sufficient jurors available to ensure that each side would receive its maximum strikes and still have enough to seat a jury.  Accordingly, we conclude that the circuit court erred in finding the thirty-three jurors available for jury selection fell below the statutory minimum number required.

In light of our holding in this case, we find it unnecessary to address the State’s alternate assertion that, even assuming the magistrate erred in his interpretation of the statutory provisions, the statutory provisions are merely directory and Johnson suffered no prejudice.  See Futch v. McAllister Towing of Georgetown, Inc., 335 S.C. 598, 613, 518 S.E.2d 591, 598 (1999) (holding an appellate court need not address remaining issues when disposition of a prior issue is dispositive).

CONCLUSION

For the foregoing reasons, we reverse and reinstate Johnson’s conviction.

REVERSED.

PIEPER and LOCKEMY, JJ., concur.

 

Trial Experience Counts in Accident Cases

This recent SC Court of Appeals decision illustrates how small tactical moves at trial can make a real difference in the outcome. Trial skills and litigation experience matters. Better make sure your accident attorney actually goes to Court. You can always settle for less. You usually have to fight to get what you truly deserve.

At Reeves, Aiken & Hightower, LLP, all of our attorneys are seasoned trial lawyers with over 70 years combined experience. Whether it is criminal or civil, our litigators are regularly in Court fighting for our clients. Two of our firm’s partners, Art Aiken and Robert Reeves, are lifetime members of the Million Dollar Advocates Forum. Mr. Reeves has also been named one of the Top 100 lawyers for South Carolina in 2012 by the National Trial Lawyers Organization. Our attorneys include a former SC prosecutor, a former public defender, a former NC District Attorney intern, a former Registered Nurse (RN), and former insurance defense attorneys. As a result of their varied backgrounds, they understand the criminal, insurance defense, and medical aspects of complex cases. We welcome an opportunity to sit down and personally review your case. Call us today for a private consultation. www.rjrlaw.com

THE STATE OF SOUTH CAROLINA
In The Court of Appeals

Elizabeth Fettler, Appellant,

v.

Frederick Gentner, Respondent.


Appeal from Richland County
James R. Barber, III, Circuit Court Judge


Opinion No. 4933
Heard November 17, 2011 – Filed January 25, 2012


Reversed and Remanded


Everett Hope Garner, of Columbia, for Appellant.

Ronald E. Alexander, of Columbia, for Respondent.

Lockemy, J.: In this civil action for negligence and damages as a result of a vehicular accident, Elizabeth Fettler argues the trial court erred in (1) denying her motion for a directed verdict and judgment notwithstanding the verdict (JNOV) on the issue of Frederick Gentner’s negligence, and (2) presenting an erroneous and prejudicial charge to the jury as a result of the denial of her directed verdict motion.  We reverse and remand.

FACTS

On December 25, 2002, Fettler was a passenger in the vehicle her husband was driving on White Pond Road in Columbia, South Carolina.  Gentner stated his vehicle was “probably ten car lengths” behind the Fettlers’ vehicle.  Fettler testified that before her husband could proceed down an on ramp to the interstate, he had to yield at a yield sign to avoid an oncoming car turning left onto the on ramp.  While at the yield sign, the Fettlers were rear-ended by Gentner.  Gentner testified that while he saw the oncoming vehicle, it was in the distance at the time the Fettlers came to the yield sign.  He stated he saw no reason for the Fettlers to stop at the yield sign because there was no vehicle in front of them.  Gentner said after he saw the Fettlers come to the ramp, he stopped looking in the direction he was traveling.  He specifically stated he “focused [his] attention no longer on [the Fettlers’ vehicle] but on the vehicle that was coming across.”  Despite his actions, Gentner agreed he is required to look where he is going while driving a vehicle.

At the close of evidence, Fettler made a motion for a directed verdict on the issue of Gentner’s negligence.  Gentner argued against the motion, stating Fettler’s husband did not have the right to stop his car in the road for no good reason, particularly at a yield sign.  In discussing the motion, the trial court noted Gentner admitted to failing to keep a proper lookout and stated:

What he said is I quit paying attention as soon as those cars turned.  I don’t know what they did; I didn’t see them again.  I didn’t pay any attention until I saw this car stopped, and the guy that was driving that car stopped, and said he stopped it because he was yielding to the car, which he was required to do.  And there was no testimony to the contrary.  Your guy says I didn’t see anything, so we’re supposed to circumstantially say okay, there wasn’t anything there then?

However, the court eventually denied the motion for a directed verdict on the issue of negligence.

At the conclusion of the trial, the jury returned a unanimous verdict for Gentner.  After the verdict was read, Fettler made a motion for a JNOV, contending the evidence allowed only one reasonable inference in favor of Fettler on the issues of negligence and proximate cause.  The trial court treated the JNOV motion as a thirteenth juror motion, and stated there was evidence in the record to support the jury’s decision, and so it denied Fettler’s motion.

STANDARD OF REVIEW

“‘When reviewing the denial of a motion for directed verdict or JNOV, this Court applies the same standard as the trial court.'”  Pridgen v. Ward, 391 S.C. 238, 243, 705 S.E.2d 58, 61 (Ct. App. 2010) (quoting Gibson v. Bank of America, N.A., 383 S.C. 399, 405, 680 S.E.2d 778, 781 (Ct. App. 2009)). “‘The Court is required to view the evidence and inferences that reasonably can be drawn from the evidence in the light most favorable to the non-moving party.'” Id. (quoting Gibson, 383 S.C. at 405, 680 S.E.2d at 781).   “‘The motions should be denied when the evidence yields more than one inference or its inference is in doubt.'” Id. (quoting Gibson, 383 S.C. at 405, 680 S.E.2d at 781).  “‘An appellate court will only reverse the [trial] court’s ruling when there is no evidence to support the ruling or when the ruling is controlled by an error of law.'” Id. (quoting Gibson, 383 S.C. at 405, 680 S.E.2d at 781).

LAW/ANALYSIS

I.  Directed Verdict and JNOV on the Issue of Defendant’s Negligence

Fettler contends the trial court erred in denying her motion for a directed verdict and JNOV because the evidence was not susceptible to more than one reasonable inference on the issue of Gentner’s negligence.  We agree.

“A plaintiff, to establish a cause of action for negligence, must prove the following four elements: (1) a duty of care owed by defendant to plaintiff; (2) breach of that duty by a negligent act or omission; (3) resulting in damages to the plaintiff; and (4) damages proximately resulted from the breach of duty.”  Thomasko v. Poole, 349 S.C. 7, 11, 561 S.E.2d 597, 599 (2002) (citing Bloom v. Ravoira, 339 S.C. 417, 422, 529 S.E.2d 710, 712 (2000)).   “[P]arties have a duty to keep a reasonable lookout to avoid hazards on the highway.”  Id. at 12, 561 S.E.2d at 599.  “In determining issues of negligence and contributory negligence arising out of collisions between vehicles proceeding in the same direction, [our supreme court has] held that a leading vehicle has no absolute legal position superior to that of one following.”  Still v. Blake, 255 S.C. 95, 104, 177 S.E.2d 469, 473-74 (1970).  “Each driver must exercise due care under the circumstances.”  Id. at 104, 177 S.E.2d at 474.  “As a general rule, the driver of the leading vehicle is required to make reasonable observations under the circumstances to determine that the particular movement of his vehicle, such as turning, slowing up, or stopping, can be made with safety to others, and to give adequate warning or signal of his intentions.”  Id.  “The driver of the following vehicle owes a reciprocal duty to keep his vehicle under reasonable control and not to follow too closely.”  Id.

“‘Evidence of an independent negligent act of a third party is directed to the question of proximate cause.'”  Manios v. Nelson, Mullins, Riley & Scarborough, LLP, 389 S.C. 126, 142, 697 S.E.2d 644, 652 (Ct. App. 2010) (quoting Matthews v. Porter, 239 S.C. 620, 628, 124 S.E.2d 321, 325 (1962)).  “‘The intervening negligence of a third person will not excuse the first wrongdoer if such intervention ought to have been foreseen in the exercise of due care. In such case, the original negligence still remains active, and a contributing cause of the injury.'”  Id. at 142, 697 S.E.2d at 653 (quoting Bishop v. S.C. Dep’t of Mental Health, 331 S.C. 79, 89, 502 S.E.2d 78, 83 (1998)).  “Ordinarily, proximate cause is a question for the jury.”  Id. (citing McKnight v. S.C. Dep’t of Corr., 385 S.C. 380, 387, 684 S.E.2d 566, 569 (Ct.  App. 2009).

Both Gentner and Gentner’s wife admit their failure to keep a lookout after the Fettlers reached the yield sign in front of the on ramp.  The record reflects Gentner’s admissions:

Fettler’s counsel:  After the Fettlers entered the ramp, you were looking at this [oncoming] vehicle and weren’t looking where you were going down that ramp?

Gentner:  That’s correct, yes sir.

Fettler’s counsel:  You weren’t looking?  You weren’t looking where you were going?

Gentner:  That’s correct.

Fettler’s counsel:  That’s correct.  Don’t you think you’re required to look where you’re going when you’re driving a vehicle?

Gentner:  Yes, sir.

Gentner’s wife confirms Gentner’s admissions in the record, stating:

Fettler’s counsel:  And you said you diverted your eyes somewhere and he diverted his eyes.  Is that right?

Gentner’s wife:  Yes.

Fettler’s counsel:  So, both of you looked away from the lane of travel where you were headed.  Is that right?

Gentner’s wife:  Well, yes.

Fettler’s counsel:  And subsequent to that, there was a car in front of you and it turned out to be the Fettlers, and y’all hit them in the rear.  Is that correct?

Gentner’s wife:  Yes.

Gentner argues there is evidence in the record supporting the inference that Fettler’s husband’s negligence caused or contributed to the accident by unnecessarily stopping at the yield sign.  Thus, Gentner contends, there are conflicts of fact relating to his negligence to go to a jury.  However, the only evidence supporting negligence on behalf of Fettler’s husband is Gentner’s personal testimony.  Gentner testified he did not think there was any reason for the Fettlers to stop at the yield sign because the oncoming car that eventually turned left was not close enough to disturb the Fettlers’ travel.  However, Fettler states there was an oncoming vehicle turning left onto the on ramp that they yielded for at the yield sign.  Fettler’s husband claimed he yielded because the oncoming car was in the process of making its left-hand turn onto the on ramp.  Taking into consideration Gentner himself testified he was “10 car lengths” behind the Fettlers, all parties agree there was a yield sign on the road before entering the interstate from the Gentners’ and Fettlers’ direction, and the Gentners both testified they took their eyes off the direction they were traveling, we find there was no evidence to provide a jury with any reasonable inference other than Gentner was negligent.

Gentner’s position that the Fettlers did not need to stop at the yield sign does not create an inference of negligence on Fettler’s husband’s part, it merely stands as a personal opinion from someone who did not have his eyes focused on his lane of travel.  Thus, we reverse and remand the trial court’s denial of the Fettlers’ directed verdict and JNOV motions for a new trial in accordance with this decision.

II.  Prejudicial Jury Charge

Fettler argues the trial court erred in presenting a prejudicial and erroneous charge to the jury.  Specifically, Fettler contends the trial court erred in denying her directed verdict motion, resulting in an erroneous charge of negligence to the jury which was unsupported by the evidence.  We agree, but as a threshold matter, we will first address preservation of the issue.

“An appellate court cannot address an issue unless first raised by appellant and ruled on by the trial judge.”  Thomasko v. Poole, 349 S.C. 7, 10, 561 S.E.2d 597, 598 (2002) (citing Staubes v. City of Folly Beach, 339 S.C. 406, 421, 529 S.E.2d 543, 546 (2000)).  Once a party moves for a directed verdict on an issue, and that motion is denied, the party is not required to object again to the subsequent jury instruction regarding that issue.  See id. at 10-11, 561 S.E.2d at 598-99; see also Carter v. Peace, 229 S.C. 346, 355, 93 S.E.2d 113, 117 (1956) (finding a motion for a directed verdict on the issue of negligence had been refused; thus, the negligence instructions were correct under the trial court’s conception of the evidence and there was no duty upon appellant to object to the instruction because it would be futile and unnecessary).  The issue is preserved.  See Thomasko, 349 S.C. at 10-11, 561 S.E.2d at 598-99.    “This [c]ourt does not require parties to engage in futile actions in order to preserve issues for appellate review.”  Staubes, 339 S.C. at 415, 529 S.E.2d at 547.

While Fettler did not object to the jury instruction of negligence, she argued a motion for a directed verdict and JNOV.[1] on the issue of Gentner’s negligence and was denied.  Therefore, we find the issue sufficiently preserved, and an objection to the jury charge of negligence would have been futile, as the trial court had already ruled there was evidence to go to the jury on the issue.  We continue below to the merits of this argument.

“‘An appellate court will not reverse the trial court’s decision regarding jury instructions unless the trial court committed an abuse of discretion.'”  Berberich v. Jack, 392 S.C. 278, 285, 709 S.E.2d 607, 611 (2011) (quoting Cole v. Raut, 378 S.C. 398, 404, 663 S.E.2d 30, 33 (2008)).  “‘An abuse of discretion occurs when the trial court’s ruling is based on an error of law or is not supported by the evidence.'”  Id. (quoting Cole, 378 S.C. at 404, 663 S.E.2d at 33).

“‘A jury charge consisting of irrelevant and inapplicable principles may confuse the jury and constitutes reversible error where the jury’s confusion affects the outcome of the trial.'”  Id. (quoting Cole, 378 S.C. at 404, 663 S.E.2d at 33).  “An erroneous jury instruction will not result in reversal unless it causes prejudice to the appealing party.”  Id. (citing Cole, 378 S.C. at 405, 663 S.E.2d at 33); see also Clark v. Cantrell, 339 S.C. 369, 390, 529 S.E.2d 528, 539 (2000) (“When instructing the jury, the trial court is required to charge only principles of law that apply to the issues raised in the pleadings and developed by the evidence in support of those issues.”).

Because we find the issue of Gentner’s negligence should have been resolved by a directed verdict in Fettler’s favor, we also find there was no evidence in the record to support a charge of negligence to the jury.  As the issue of Gentner’s negligence should have been decided as a matter of law, the irrelevant and inapplicable principles of negligence had the strong possibility of confusing the jury and affecting the outcome of the trial.  We reverse and remand this issue to the trial court for a new trial in accordance with this decision.

CONCLUSION

Based on the foregoing reasons, the trial court’s decision is

Reversed and Remanded.

Huff and Pieper, JJ., concur.


[1] As previously stated, the trial court viewed the motion for a JNOV as a thirteenth juror motion.

 

SC Workers’ Compensation – Occupational Disease Claims – Statute of Limitations

This recent SC Supreme Court decision discusses when the statute of limitations begins to run in occupational disease claims. Occupational disease cases are very complicated both legally and medically. A diagnosis can start the SOL in conjuction with when an injured worker is no longer able to work because of a work related condition. Better make sure your attorney is experienced in handling these type of claims. A mistake in timing can waive your claim forever.

At Reeves, Aiken & Hightower LLP, our lawyers are experienced workers’ compensation attorneys.  Robert J. Reeves is a former Registered Nurse (RN) who has actually treated patients with the same type of serious injuries he now represents in workers’ compensation cases.  Both Robert J. Reeves and Arthur K. Aiken are former insurance defense attorneys who know how to anticipate and prepare for defenses and insurance company tactics.  During our twenty-two (22) years each of practicing law, we have successfully handled virtually every type of workers’ compensation injury, including neck, back, shoulder, knee accidents, closed head / brain injury, herniated disks, bulging disks, diskectomy surgery, fusion procedures, arthroscopy, automobile accidents on the job, psychological / post traumatic stress, permanent and total disability claims, and wrongful death. We welcome the opportunity to sit down and personally discuss your case. Compare our attorneys’ credentials to any other firm. Then call us for a private consultation. www.rjrlaw.com

THE STATE OF SOUTH CAROLINA
In The Supreme Court


Carolyn Holmes, Petitioner,

v.

National Service Industries, Inc., and New Hampshire Insurance Company, c/o Gallagher Bassett Services, Inc., Respondents.


ON WRIT OF CERTIORARI TO THE COURT OF APPEALS


Appeal From Charleston County
Deadra L. Jefferson, Circuit Court Judge


Opinion No. 27059
Heard May 25, 2011 – Filed October 24, 2011


AFFIRMED


Malcolm M. Crosland, Jr, of The Steinberg Law Firm, of Charleston, for Petitioner.

Weston Adams, III, and William Thomas Bacon, IV, of McAngus, Goudelock & Courie, of Columbia, for Respondents.


ACTING CHIEF JUSTICE PLEICONES:  We granted certiorari to review the Court of Appeals’ opinion in Holmes v. Nat’l Servs. Indus., Op. No. 2009-UP-364 (S.C. Ct. App. filed June 25, 2009).[1]  We affirm.

FACTS

Petitioner began working for respondent National Service Industries (“National”), a linen company, at its Charleston laundering facility in August 1984.  According to petitioner, the work environment at the facility was “very hot” and “sticky” with “a lot of lint and dust in the air,” and was poorly ventilated.  Petitioner was exposed to the fumes of bleach and did not wear a protective mask.

In 1992, petitioner began experiencing breathing and sinus problems.  Petitioner never experienced breathing or sinus problems prior to working for National.  Petitioner’s breathing was “good” when she was away from work.  In 1993, National transferred petitioner to its Atlanta facility where the working conditions were worse than in the Charleston facility.  Petitioner ultimately left her employment with National because the working conditions were making her breathing problems worse.

In 1995, petitioner visited Dr. Jefrey Lieberman, who diagnosed petitioner as suffering from sarcoidosis, a respiratory and pulmonary condition.  Petitioner testified Dr. Lieberman told her he did not know what caused her sarcoidosis and that, in light of this statement, she took no further steps to determine the cause of her condition.

In July 2005, petitioner visited Dr. Michael Spandorfer.  Dr. Spandorfer stated in his report that it was unclear whether petitioner’s work exposure at National caused her sarcoidosis, but that it was more likely that petitioner’s exposure to the airborne particles and fumes worsened her condition, which had previously developed.

Petitioner filed a workers’ compensation claim alleging a compensable injury by accident to her lungs and respiratory system arising out of and in the scope of her employment with National on July 12, 2005, the date she alleges she first discovered her sarcoidosis was related to her employment.

The single commissioner found petitioner sustained a compensable injury by accident to her lungs which was discovered on July 12, 2005.

The full commission reversed the commissioner, finding petitioner’s claim was barred by the two-year statute of limitations.  Specifically, the full commission found petitioner was aware of her working conditions and, with some diligence on her part, could have discovered she had a claim more than two years before her filing date.

Petitioner appealed.  The circuit court and Court of Appeals, pursuant to Rule 220(b), SCACR, affirmed the full commission’s determination that petitioner failed to file her claim within the statute of limitations.

STANDARD OF REVIEW

In workers’ compensation cases, the Commission is the ultimate fact finder.  Jordan v. Kelly Co., 381 S.C. 483, 674 S.E.2d 166 (2009).  An appellate court must affirm the findings made by the Commission if they are supported by substantial evidence.  Pierre v. Seaside Farms, Inc., 386 S.C. 534, 540, 689 S.E.2d 615, 618 (2010).  “Substantial evidence is not a mere scintilla of evidence, but evidence which, considering the record as a whole, would allow reasonable minds to reach the conclusion the agency reached.”  Id.  The substantial evidence test “need not and must not be either judicial fact-finding or a substitution of judicial judgment for agency judgment;” and a judgment upon which reasonable men might differ will not be set aside.  Lark v. Bi-Lo, Inc., 276 S.C. 130, 136, 276 S.E.2d 304, 307 (1981) (quoting Dickinson-Tidewater, Inc. v. Supervisor of Assess., 273 Md. 245, 329 A.2d 18, 25 (Md. 1974)).

LAW/ANALYSIS

Petitioner argues the Court of Appeals erred in holding substantial evidence in the record supported the full commission’s finding that petitioner’s claim was barred by the statute of limitations.  We disagree.

The right to workers’ compensation for an injury by accident “is barred unless a claim is filed with the commission within two years after an accident . . . .”  S.C. Code Ann. § 42-15-40 (Supp. 2010).

Under the discovery rule, the statute of limitations begins to run from the date the claimant knew or should have known that, by the exercise of reasonable diligence, a cause of action exists.  Mauldin v. Dyna-Color/Jack Rabbit, 308 S.C. 18, 20, 416 S.E.2d 639, 640 (1992).

Whether petitioner knew or should have known that her sarcoidosis was related to her employment with National over two years before filing her claim in 2005 is a question of fact for the commission.  In our view, the Court of Appeals correctly held that substantial evidence in the record supported the full commission’s finding that petitioner’s claim was barred by the statute of limitations.  Considering the record as a whole, there is substantial evidence that would allow reasonable minds to reach the conclusion that petitioner should have known she had a compensable injury when first diagnosed with sarcoidosis.  Pierresupra.  There is evidence petitioner knew or should have known as early as 1992 her work environment was negatively affecting her health.  Petitioner testified she experienced breathing problems and lesions when she was working at National’s Charleston facility.  Petitioner also testified her breathing was “good” when she was away from work and that she ultimately left her employment with National because the working conditions were making her breathing problems worse.  Although reasonable minds may differ as to whether petitioner should have known after being diagnosed with sarcoidosis that she had a compensable injury, this is not sufficient to set aside the judgment of the Appellate Panel.  Larksupra.

We requested the parties address whether the commission’s findings regarding compensability and causation are the law of the case.  Because we affirm the Court of Appeals’ opinion regarding the statute of limitations issue, we decline to address this issue. See Futch v. McAllister Towing of Georgetown, Inc., 335 S.C. 598, 518 S.E.2d 591 (1999) (when one issue is dispositive, the remaining issues need not be addressed).

CONCLUSION

The Court of Appeals correctly found there was substantial evidence in the record to support the full commission’s findings that petitioner’s claim was barred by the statute of limitations.  Accordingly, the opinion of the Court of Appeals is

AFFIRMED.

KITTREDGE, J., and Acting Justice E. C. Burnett, III, concur.  BEATTY, J., dissenting in a separate opinion in which Acting Justice James E. Moore, concurs.

JUSTICE BEATTY:  I respectfully dissent, as I believe the substantial evidence in the record demonstrates Carolyn Holmes’s claim for workers’ compensation benefits was filed within two years of the date she knew or reasonably should have known that she had sustained a compensable injury.  It is not the mere existence of the injury, but also the reasonable discovery of its compensablenature, i.e., the nexus between the injury and the claimant’s employment, that is required to trigger the running of the statute of limitations.  Holmes saw no fewer than half a dozen different doctors, none of whom related her ongoing medical problems to her employment until 2005, and Holmes timely filed her claim two months thereafter.  Holmes, as a layperson, should not be held to a higher degree of medical skill than her treating physicians.  This is especially true in light of the fact that medical experts universally acknowledge that sarcoidosis is a rare condition of unknown etiology that can encompass a multitude of seemingly unrelated symptoms.  The discovery and evaluation of this complex condition is uniquely difficult, so a review of the events leading to Holmes’s claim is illustrative.

I.

National Service Industries, Inc. (“National”) is a holding company for National Linen Service Corp., a textile rental business that supplies towels, washcloths, and sheets to hotels and restaurants.  Holmes began working for National at its Charleston laundering facility in August 1984.  It is undisputed that the building was very hot and poorly ventilated, and the air contained a large amount of dust, lint, and chemical fumes.  National provided hair nets to its employees, but did not offer dust masks or any other form of respiratory protection.

In 1992, approximately eight years after Holmes began working for National, she began to have breathing and sinus problems, and some lesions appeared on her skin.  Holmes took over-the-counter medications that seemed to help.  The relief was short-lived, however, and Holmes eventually sought medical care before transferring to another National facility in Atlanta in 1993.  Holmes’s symptoms worsened, and she left National in 1994 after working at the Atlanta location for six months.

Holmes next worked for United Parcel Service for a year, and then worked for six months at the Shepherd Center, a rehabilitation hospital.  During this time, Holmes’s sinus issues remained the same.  In 1995, during her tenure at Shepherd, Holmes sought treatment at Piedmont Hospital in Atlanta.  The medical staff there diagnosed her as having allergy and sinus conditions and provided treatment in accordance with this diagnosis.

Holmes’s symptoms persisted, so she again sought treatment and was seen later in 1995 by Dr. Jefrey D. Lieberman.  Dr. Lieberman noted Holmes was suffering at that time from congestion with bloody drainage, “lumps” on various parts of her legs, upper arms, and left cheek, and changes in pigmentation on her face.  Dr. Lieberman diagnosed Holmes for the first time as having sarcoidosis, a highly variable, multi-systemic autoimmune disorder, and opined that her skin condition was indicative of the sarcoidosis and “that her sinus symptoms [were] secondary to the same process.”  He placed her on a course of medication.  During this treatment, some of Holmes’s symptoms improved.  Holmes inquired as to the cause of her sarcoidosis and Dr. Lieberman told Holmes there was no known cause.  He never advised her there was any possibility that it could be work-related.  Holmes stated that, in light of Dr. Lieberman’s statement, she had no reason to believe her condition could be related to her work.  Rather, it was her understanding that sarcoidosis was something that “just happen[s]” or “just comes.”

After working at Shepherd, Holmes was employed by Oak Hill Farm, a wine distributor, where her sinus symptoms continued unabated.  Holmes subsequently changed doctors, but none of these doctors ever related her sarcoidosis to her employment.

Since her initial symptoms, Holmes had consulted at least half a dozen doctors before she was seen in 2005 by Dr. Michael Spandorfer, of Charleston.  Although Dr. Spandorfer could not ascertain its cause, he determined that Holmes’s sarcoidosis was aggravated by her employment with National from 1984 to 1994 and her exposure to airborne particulates and fumes.  Dr. Spandorfer stated in a report dated July 12, 2005 that the work conditions at National triggered what could have been a dormant sarcoidosis condition.  Dr. Spandorfer also diagnosed Holmes with occupational-onset asthma.  This was the first time that a medical professional had ever linked Holmes’s wide range of physical problems to her employment at National.

On September 7, 2005, less than two months after Dr. Spandorfer’s evaluation, Holmes filed her workers’ compensation claim.  A single commissioner of the South Carolina Workers’ Compensation Commission concluded Holmes sustained a compensable injury by accident on July 12, 2005, “the date o[n] which the Claimant reasonably discovered the compensability of [her] injuries.”

In a split decision (2-1), the Appellate Panel reversed.  The Appellate Panel, noting it could make its own findings of fact, found an employment relationship existed at the time of Holmes’s injury by accident and that the parties had stipulated the amount of Holmes’ average weekly wage and compensation rate.  It further found that Holmes suffered from sarcoidosis and occupationally-induced asthma, “which was aggravated by, and whose development was contributed to by, her employment and exposure to airborne dust, fumes, and particulate matter,” and that she will require ongoing medical treatment for her pulmonary injury.  However, the Appellate Panel lastly found and concluded that Holmes’s claim was, nevertheless, barred by the two-year statute of limitations contained in section 42-15-40 of the South Carolina Code.

The dissenting member of the Appellate Panel stated he would affirm the commissioner because throughout all of her visits to physicians, none ever indicated Holmes’s sarcoidosis or sinus problems were related to her work at National until Dr. Spandorfer made this determination in 2005.  Further, Dr. Lieberman told Holmes that he did not know where her sarcoidosis came from, and there is no evidence in the record that would indicate Holmes was negligent in relying on Dr. Lieberman’s expert medical opinion.

Holmes appealed, challenging only the Appellate Panel’s finding that the statute of limitations had run on her claim.  She now appeals from the affirmance of the Court of Appeals.  Thus, the only issue before this Court is the timeliness of Holmes’s claim.

II.

“Under the discovery rule, the statute would begin to run from the date [the claimant] either knew or should have known of hercompensable injury.”  Mauldin v. Dyna-Color/Jack Rabbit, 308 S.C. 18, 20, 416 S.E.2d 639, 640 (1992) (emphasis added).  The claimant’s knowledge of an injury, in and of itself, is not enough to commence the running of the statute of limitations.  Rather, the claimant must also know or reasonably should have known that the injury is compensable.  Compensability is the gravamen of the claim.  The claimant must exercise reasonable diligence in discerning compensability.  See Snell v. Columbia Gun Exch., Inc., 276 S.C. 301, 303, 278 S.E.2d 333, 334 (1981) (“The exercise of reasonable diligence means simply that an injured party must act with some promptness where the facts and circumstances of an injury would put a person of common knowledge and experience on notice that some right of his has been invaded or that some claim against another party might exist.  The statute of limitations begins to run from this point . . . .”).

The alleged lack of diligence by Holmes is the cornerstone of the Appellate Panel’s finding that the statute of limitation bars her claim.  The Appellate Panel found that Holmes knew or reasonably should have known that she had a compensable injury based on her sarcoidosis diagnosis in 1995.  Further, it found her knowledge of her work conditions and her symptoms should have also alerted her to the compensability of her injury.

In my opinion, the substantial evidence in the record does not support these findings.  Compensability requires a nexus between the injury and the employment that is known, or reasonably should have been known, by the claimant.  The requisite nexus between Holmes’s sarcoidosis and her employment at National could not have been known by Holmes before 2005, and she should not be charged with this knowledge at a time when it was not even known by the many medical experts who treated her.

The undisputed facts establish that in 1995 Dr. Lieberman, while diagnosing Holmes with sarcoidosis, failed to advise her of any causal relationship between her condition and her work at National.  Instead, he told her that the cause of sarcoidosis was unknown and that her breathing and sinus problems were secondary to the sarcoidosis.

As noted by the dissenting member of the Appellate Panel, Holmes was entitled to rely upon Dr. Lieberman’s expert medical opinion.  The mere diagnosis of her sarcoidosis condition, without more, does not give rise to a compensable injury under our workers’ compensation law, and Holmes could not simply assume the condition was work related in the absence of expert medical evidence.  See Mauldin, 308 S.C. at 20, 416 S.E.2d at 640 (stating a workers’ compensation claim must be for a “compensable” injury); cf. Hanks v. Blair Mills, Inc., 286 S.C. 378, 335 S.E.2d 91 (Ct. App. 1985) (observing there are “non-compensable causes” that can accelerate or aggravate an occupational illness).  Based on Dr. Lieberman’s statement, a reasonable person would have believed that sarcoidosis is a malady, not unlike cancer, whose occurrence is both unfortunate and unpredictable.[2]

Dr. Lieberman’s medical opinion is consistent with existing medical knowledge, which universally recognizes that sarcoidosis is a rare condition whose etiology is unknown by medical experts, that it can affect any organ in the body, and that its symptoms are highly variable from patient to patient.  See  Booker v. Int’l Rivercenter, 905 So. 2d 498, 502 (La. Ct. App. 2005) (noting a physician’s testimony that sarcoidosis has no known cause); Hatem v. Bryan, 453 S.E.2d 199, 200 (N.C. Ct. App. 1995) (stating the plaintiff “suffered from sarcoidosis, a chronic disease process of unknown cause which may affect any organ or tissue of the body”).

It is also consistent with the fact that Dr. Spandorfer, likewise, was unable to definitively state the origin of Holmes’s sarcoidosis in 2005.  However, Dr. Spandorfer was, in contrast to Dr. Lieberman and Holmes’s prior physicians, able to discern a link between what might have been a dormant underlying condition and Holmes’s employment at National in his report of July 12, 2005.  In addition, July 12, 2005 is the first date Holmes was advised by Dr. Spandorfer that she also suffered from occupationally-induced asthma related to her work at National.

The record as a whole indicates that the variety of complex symptoms Holmes experienced, such as the respiratory problems, lumps, skin lesions, changes in skin pigmentation, joint pain, and swelling of the lower extremities, among others, were all within the wide range of symptoms that can arise with sarcoidosis. At the same time, these symptoms were also indistinguishable from many other maladies.  Merely being aware of her sarcoidosis symptoms would not alert Holmes to the compensability of her injury, especially when her treating physician told her sarcoidosis has no known cause and that her symptoms were secondary to the disease itself.  Moreover, although Holmes commented at one point that her symptoms seemed to temporarily improve when she was away from work, Holmes also testified that her symptoms temporarily improved when she began taking over-the-counter medications, but ultimately, the symptoms persisted, even as she changed employers and work environments.  Consequently, there was no definitive pattern to her condition.

The unique character of sarcoidosis undoubtedly made it more difficult for the medical experts to analyze as compared to conditions that uniformly manifest specific symptoms in a localized area.  The fact that the current state of medical knowledge ascribes no known cause for this condition also proved to be an impediment to Holmes’s physicians relating her sarcoidosis to her employment until it had progressed to the point where the connection was made by Dr. Spandorfer.  Holmes went to a variety of physicians seeking medical treatment for her evolving array of symptoms.  As a layperson, Holmes should not be penalized for, in essence, failing to detect what her own treating physicians had failed to discover prior to 2005.  Cf. Youngblood v. U.S. Silica Co., 130 S.W.3d 461 (Tex. App. 2004) (reversing the grant of summary judgment based on the two-year statute of limitations and finding the fact that the employee continued to visit doctors from 1992 to 1997 was some evidence that he exercised reasonable diligence in ascertaining the cause of his silicosis and the employee did not discover his illness was work related and could not have assumed it was work related prior to the time he was so informed by a doctor in 1997).

Based on the foregoing, I would hold Holmes’s claim regarding her sarcoidosis condition was filed within two years of when she knew or reasonably should have known that she had sustained a compensable injury.  In addition, while the Appellate Panel found Holmes knew of her sarcoidosis diagnosis in 1995, there has been no allegation or finding that Holmes’s occupationally-induced asthma existed at the time her sarcoidosis was diagnosed.  Rather, it subsequently developed as Holmes’s health problems progressed and was diagnosed in 2005.  The Appellate Panel’s discussion regarding the statute of limitations focused only on the timing of Holmes’s sarcoidosis diagnosis and her alleged failure to timely determine the relation of her sarcoidosis to her employment.  The diagnosis of Holmes’s sarcoidosis has no bearing on her later-developed asthma.  Holmes’s claim regarding her asthma was timely asserted within two years of when she knew or reasonably should have known she had a compensable injury in this regard.

The Court observed in Mauldin that statutes of limitation should not be applied mechanically, but in a manner consistent with both their underlying purposes and the need to provide substantial justice to all parties.  Mauldin, 308 S.C. at 21, 416 S.E.2d at 640.  The desire to protect defendants from false or fraudulent claims “must be balanced against a plaintiff’s interest in prosecuting an action and pursuing [her] rights.”  Id.  “Plaintiffs should not suffer where circumstances prevent them from knowing they have been harmed.”  Id.  “The statute of limitations applicable to workers’ compensation claims, like the Workers’ Compensation Act as a whole, should be given liberal construction, and any reasonable doubts should be resolved in favor of coverage.”  Rogers v. Spartanburg Reg’l Med. Ctr., 328 S.C. 415, 418, 491 S.E.2d 708, 710 (Ct. App. 1997).

Allowing Holmes to recover for her injuries is consistent with the underlying purpose and objectives of the statute of limitations.  Holmes’s appeal presents an unusual case of a claimant with a rare condition; there is no allegation of a false or fraudulent claim and National has not been disadvantaged in its ability to evaluate the validity of the claim.  As this Court has previously held, any doubts regarding the statute of limitations should be resolved in favor of coverage.  This principle is particularly relevant in light of the fact that the Appellate Panel was itself divided on the statute of limitations issue.

III.

Having determined Holmes’s claim is not time-barred, I would further hold the unchallenged factual findings of the Appellate Panel as to the compensability of Holmes’s claim and her stipulated compensation rate are the law of the case.  Therefore, I would reverse the decision of the Court of Appeals and remand this matter to the Commission for it to reinstate the order of the single commissioner.

Acting  Justice James E. Moore, concurs.

[1] This Court has corrected the spelling of the employer’s name to “National Service Industries” (rather than “National Services Industries”) in the caption.

[2] “Logically, an employee cannot be expected and certainly cannot be required to institute a claim until he has reliable information that his condition is the result of his employment.”  Sellers v. Trans World Airlines, Inc., 752 S.W.2d 413, 416 (Mo. Ct. App. 1988),overruled on other grounds by Hampton v. Big Boy Steel Erection, 121 S.W.3d 220 (Mo. 2003).  “Just as logically, given that there must be competent and substantial evidence of this link, the claimant is entitled to rely on a physician’s diagnosis of his condition rather than his own impressions.”  Id.