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  "name": "DAVID JOSEPH SMITHEMAN, an infant, by his Guardian Ad Litem, Philip P. Godwin, Sr., and MARK A. SMITHEMAN, Plaintiffs v. NATIONAL PRESTO INDUSTRIES, INC., HOMES BY OAKWOOD, INC., and OAKWOOD MOBILE HOMES, INC., Defendants",
  "name_abbreviation": "Smitheman ex rel. Godwin v. National Presto Industries, Inc.",
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    "judges": [
      "Judges JOHNSON and JOHN concur."
    ],
    "parties": [
      "DAVID JOSEPH SMITHEMAN, an infant, by his Guardian Ad Litem, Philip P. Godwin, Sr., and MARK A. SMITHEMAN, Plaintiffs v. NATIONAL PRESTO INDUSTRIES, INC., HOMES BY OAKWOOD, INC., and OAKWOOD MOBILE HOMES, INC., Defendants"
    ],
    "opinions": [
      {
        "text": "LEWIS, Judge.\nPlaintiffs filed this products liability action on 13 November 1989 against National Presto Industries, Inc. (hereinafter \u201cPresto\u201d), Oakwood Mobile Homes, Inc. and Homes by Oakwood, Inc. (hereinafter collectively referred to as \u201cOakwood\u201d). Presto is the manufacturer of a cooker which tipped over and spilled hot oil on the minor plaintiff after he had pulled the cord. Oakwood manufactured the mobile home in which the accident occurred. On 27 November 1991 the court approved a settlement with Oakwood, thus leaving Presto as the only defendant in this action. In their complaint, plaintiffs alleged, among other things, negligent manufacture and design of the cooker and negligent failure to warn or adequately warn.\nThis appeal arises from a long discovery process culminating in sanctions imposed against Presto for failing to comply with previous court orders to respond to interrogatories and requests for production. Pursuant to Rule 37 of the North Carolina Rules of Civil Procedure, on 26 November 1991 Judge Allsbrook entered an order establishing Presto\u2019s negligence in the design and manufacture of the appliance and prohibited Presto from offering any evidence to refute negligence. N.C.G.S. \u00a7 1A-1, Rule 37(b)(2)a., -b. (1990). He also awarded plaintiffs\u2019 counsel $7,000 in attorney fees. That same day Judge Allsbrook entered a supplemental order denying Presto\u2019s motion to rehear. On 9 December 1991 Presto filed its appeal from these orders.\nThe facts show that discovery was extensive from the outset. On 16 February 1990 plaintiff David Smitheman served 26 interrogatories and a request for production of documents upon Presto, and plaintiff Mark Smitheman served 27 interrogatories. Presto filed a general objection to interrogatories on 14 March 1990. Plaintiffs first moved the court to overrule various objections to their interrogatories and to compel answers on 6 August 1990. Due to Presto\u2019s concern over certain confidential information, the court entered a protective order on 8 October 1990. At hearings held on 8 and 11 October 1990, the court overruled some of Presto\u2019s objections and directed Presto to respond to certain interrogatories and requests for production. The court did not enter a written order to this effect until 13 June 1991, however.\nOn 17 December 1990 plaintiffs filed a set of supplemental interrogatories. They filed a second set of supplemental interrogatories on 11 April 1991. Presto delivered some documents to plaintiffs in April 1991, but they were neither indexed nor identified for any specific interrogatory or request for production. On 15 May 1991 plaintiffs filed their second discovery motion, requesting an entry of order regarding the ruling made in October 1990, an order compelling responses to discovery, and sanctions. On 13 June 1991 the court entered two orders. The first order memorialized the October 1990 hearings on the first motion to compel and required Presto to fully respond to certain interrogatories and requests for production within 30 days. The second order required Presto to answer the first and second set of supplemental interrogatories within 45 days.\nPlaintiffs notified Presto on 16 July 1991 that the responses were past due. Plaintiffs filed their third discovery motion, to compel responses and for sanctions, on 5 September 1991. Presto filed some responses on 30 September 1991, but on 6 October plaintiffs informed Presto that the responses were inadequate and that they would be seeking sanctions on their motion. Presto filed additional but also inadequate responses on 24 October 1991. In a letter dated 24 October 1991 Presto expressly refused to supply the names of certain component part manufacturers although it had been ordered to do so almost one year earlier. Presto\u2019s attorney at the time, George J. Dancigers of the Virginia Bar, stated that he \u201cfully realize[d] that the court has ordered National Presto to produce this information but since this is the only issue outstanding, perhaps you and I can discuss it further so that we do not need to make a trip to court on this issue alone.\u201d\nOn 28 and 31 October 1991 the court held hearings on the September 1991 discovery motion. At the hearings plaintiffs presented the court with a chronology of the discovery process up to that point, whereas Mr. Dancigers argued the issue of the identity of the component part manufacturers. Mr. Dancigers admitted that Presto had \u201cno excuse\u201d for not filing its answers on time and for not completely responding to the court\u2019s orders. The court encouraged each party to submit further information after the 28 October hearing and before the 31 October hearing. Presto did not do so.\nOn 31 October the court dictated its order imposing sanctions. The court entered the order on 26 November 1991, at which time the court filed a supplemental order denying Presto\u2019s motion to amend findings and order, denying its motion for a new hearing, and also denying its alternative motion for relief from the order.\nAn order compelling discovery is normally not appealable, because it is not a final judgment and does not affect a substantial right. Walker v. Liberty Mut. Ins. Co., 84 N.C. App. 552, 554, 353 S.E.2d 425, 426 (1987). However, an order imposing sanctions under Rule 37(b) is appealable as a final judgment. Id. at 554-5, 353 S.E.2d at 426. The imposition of discovery sanctions is within the sound discretion of the trial judge and will not be reversed absent a showing of abuse of that discretion. Roane-Barker v. Southeastern Hosp. Supply Corp., 99 N.C. App. 30, 36, 392 S.E.2d 663, 667 (1990), disc. rev. denied, 328 N.C. 93, 402 S.E.2d 418 (1991). Presto changed counsel and now presents five arguments for our consideration. After reviewing these arguments, we conclude the trial judge did not abuse his discretion in ordering sanctions against Presto.\n(1) Presto first argues the trial court committed reversible error in imposing sanctions against it without providing sufficient notice and opportunity to show justification for its failure to strictly comply with discovery. We find that Presto did have sufficient notice that sanctions could be imposed, because plaintiffs\u2019 motion clearly indicated they were seeking sanctions. In their motion plaintiffs stated that\nPresto\u2019s failure to comply with this Court\u2019s Orders entitles the Plaintiffs to sanctions in accordance with Rule 37 of the Rules of Civil Procedure, including, but not limited to, an award of reasonable expenses and attorney fees, and an Order designating certain facts as established in accordance with the claims of the Plaintiffs, prohibiting Presto from introducing certain materials in evidence, and from opposing designated claims of the Plaintiffs.\nAt the hearing Presto\u2019s attorney was given the opportunity to explain to the court any justification Presto may have had for its delinquency in responding to discovery. Mr. Dancigers readily admitted that Presto had \u201cno excuse,\u201d but then put forth several arguments as justification for its actions. The court patiently invited each party to submit further information for consideration after the 28 October hearing. Presto failed to submit any additional information. Thus, Presto had notice that sanctions were requested, Presto was given the opportunity to present an oral argument, and Presto was free to submit additional information. Presto cannot now argue that it was not given the opportunity to be heard.\n(2) Second, Presto argues the imposition of such severe sanctions violated the Law of the Land clause of the North Carolina Constitution and the Due Process clause of the United States Constitution. Presto claims constitutional violations arose because it was not afforded a fair hearing to \u201ctest, explain, or rebut\u201d the evidence offered against it. See Shepherd v. Shepherd, 273 N.C. 71, 76, 159 S.E.2d 357, 361 (1968) (quoting In re Custody of Gupton, 238 N.C. 303, 304, 77 S.E.2d 716, 718 (1953)). This contention is also unconvincing. As stated above, Presto was given ample opportunity at the 28 October hearing to explain its position and rebut the evidence, and was even given the opportunity to submit further information after the hearing.\n(3) Presto challenges the court\u2019s finding that its failure to comply was willful and without justification, and the finding that Presto was uncooperative. Presto claims that the court gave \u201cgreat weight\u201d to these findings in determining the severity of the sanctions imposed. Presto concedes, however, that a finding of willfulness is not necessary in order to impose discovery sanctions. Hayes v. Browne, 76 N.C. App. 98, 101, 331 S.E.2d 763, 764 (1985), disc. rev. denied, 315 N.C. 587, 341 S.E.2d 25 (1986). Even if the court gave \u201cgreat weight\u201d to this finding in determining which sanctions to impose, we find this argument to be meritless since the evidence supports the judge\u2019s determination.\nPresto admitted at the 28 October hearing that it had \u201cno excuse\u201d for its failure to comply, and tried to argue the confidentiality issue. However, Presto had been ordered by the court to provide certain confidential information on the component parts manufacturers in June 1991, when the court entered its order on the October 1990 hearing. In Roane-Barker, defendant argued its noncompliance was justified because the requested information was confidential. 99 N.C. App. at 36, 392 S.E.2d at 667. This Court stated that after consenting to a court order providing that defendant would comply with plaintiff\u2019s requests, \u201c[defendant may not unilaterally \u2018interpret\u2019 the relevant scope of its response and only provide that information it considers discoverable.\u201d Id. In that case defendant had not previously objected on the grounds of confidentiality, and had not sought a protective order.\nIn the case at hand, Presto did object to some discovery requests due to the confidentiality of the information. In October 1990 the court entered an order protecting the confidentiality of documents submitted to the court. In June 1991 the court entered an order based on the 8 October 1990 hearing granting some of Presto\u2019s objections to discovery requests, but ordering Presto to produce certain information within 30 days of the order. Presto did not comply with the terms of that order.\nWe find there was ample evidence to support the judge\u2019s determination that Presto acted willfully and without justification. This case is more convincing than Roane-Barker. Unlike the defendant in Roane-Barker, Presto had already argued the confidentiality issue before a judge and had been ordered by the court to produce the information. The same evidence supports the conclusion that Presto had not been cooperative in the discovery process.\n(4) Presto argues the trial court abused its discretion in imposing a sanction establishing Presto\u2019s negligence and prohibiting the introduction of any evidence on the issue of negligence. Presto\u2019s main argument is that the general purpose of the North Carolina Rules is to encourage trial on the merits. While this may be true, the Rules specifically authorize the imposition of such sanctions. \u00a7 1A-1, Rule 37(b)(2)a., -b. We find nothing in this argument indicating the trial court abused its discretion.\n(5) Finally, Presto argues the trial court committed reversible error in finding as a fact that $7,000 was a reasonable amount for plaintiffs\u2019 attorney fees and expenses. Presto contends the.court failed to include findings of fact to support this award, and that there was insufficient evidence on the issue of attorney fees.\nAccording to Benfield v. Benfield, 89 N.C. App. 415, 422, 366 S.E.2d 500, 504 (1988), the court must make findings of fact to support the award of attorney fees. The 26 November 1991 order establishing Presto\u2019s negligence and awarding attorney fees did not contain any findings to support the determination of the fees. However, in the supplemental order entered the same day the judge addressed the basis for the amount of the award. He noted that the attorneys had spent 49 hours and paralegals had spent 10 hours in preparation for the hearing, that additional preparation was necessary for the 31 October hearing, and that the attorneys had made at least four round trips from Norfolk, Virginia in order to attend various discovery hearings. The judge stated the \u201cCourt was, and still is, of the opinion that $7,000.00 is a reasonable amount for the services and expenses and, in fact, is conservative under all of the existing circumstances.\u201d We find there was sufficient evidence to support the trial judge\u2019s award of attorney fees.\nWe have considered Presto\u2019s arguments and determine that they are without merit. Although the sanctions imposed were severe, they were clearly authorized by the North Carolina Rules of Civil Procedure. We find nothing to indicate the trial judge abused his discretion in imposing the sanctions. The order of the trial court is hereby\nAffirmed.\nJudges JOHNSON and JOHN concur.",
        "type": "majority",
        "author": "LEWIS, Judge."
      }
    ],
    "attorneys": [
      "Tavss, Fletcher, Earley & King, P.C., by John R. Fletcher and Ray W. King, and Overton & Carter, by Larry S. Overton, for plaintiffs-appellees.",
      "Homthal, Riley, Ellis & Maland, by M.H. Hood Ellis and Michael P. Sanders, and Willcox & Savage, P.C., by John Y. Pearson, Jr. and William M. Furr, for defendants-appellants."
    ],
    "corrections": "",
    "head_matter": "DAVID JOSEPH SMITHEMAN, an infant, by his Guardian Ad Litem, Philip P. Godwin, Sr., and MARK A. SMITHEMAN, Plaintiffs v. NATIONAL PRESTO INDUSTRIES, INC., HOMES BY OAKWOOD, INC., and OAKWOOD MOBILE HOMES, INC., Defendants\nNo. 921SC225\n(Filed 20 April 1993)\n1. Appeal and Error \u00a7 130 (NCI4th)^- discovery order not appealable \u2014sanctions order appealable\nAn order compelling discovery is normally not appealable because it is not a final judgment and does not affect a substantial right; however, an order imposing sanctions under N.C.G.S. \u00a7 1A-1, Rule 37(b) is appealable as a final judgment.\nAm Jur 2d, Appeal and Error \u00a7\u00a7 47 et seq.\n2. Discovery and Depositions \u00a7 62 (NCI4th)\u2014 imposition of sanctions \u2014sufficiency of notice and opportunity to be heard\nThere was no merit to defendant\u2019s contention that the trial court erred in imposing sanctions against it without providing sufficient notice and opportunity to show justification for its failure to strictly comply with discovery, since plaintiffs\u2019 motion clearly indicated that they were seeking sanctions; defendant was given the opportunity to present an oral argument; and defendant was invited to submit further information for consideration after the hearing.\nAm Jur 2d, Depositions and Discovery \u00a7\u00a7 373 et seq.\n3. Discovery and Depositions \u00a7 62 (NCI4th)\u2014 severity of sanctions appropriate\nThe trial court\u2019s order establishing defendant\u2019s negligence, prohibiting defendant from offering any evidence to refute negligence, awarding attorney fees to plaintiff\u2019s counsel, and denying defendant\u2019s motion to rehear did not amount to such severe sanctions as to violate the Law of the Land Clause of the North Carolina Constitution and the Due Process Clause of the United States Constitution, since defendant was given ample opportunity to explain its position and rebut the evidence and was even given the opportunity to submit further information after the hearing on sanctions.\nAm Jur 2d, Depositions and Discovery \u00a7\u00a7 373 et seq.\n4. Discovery and Depositions \u00a7 62 (NCI4th)\u2014 failure to comply with discovery \u2014action willful and without justification \u2014 sufficiency of evidence\nThere was ample evidence to support the trial judge\u2019s determination that defendant acted willfully and without justification in failing to comply with discovery requests where defendant had argued confidentiality of certain materials before a judge and had been ordered by the court to produce the information; defendant did not comply with the terms of that order; and this evidence thus supported the conclusion that defendant had not been cooperative in the discovery process.\nAm Jur 2d, Depositions and Discovery \u00a7\u00a7 373 et seq.\n5. Discovery and Depositions \u00a7 62 (NCI4th)\u2014 defendant\u2019s negligence established \u2014 refuting evidence not allowed \u2014 sanction authorized by statute\nThe trial court did not abuse its discretion in imposing a sanction establishing defendant\u2019s negligence and prohibiting the introduction of any evidence on the issue of negligence, since N.C.G.S. \u00a7 1A-1, Rule 37(b) specifically authorizes the imposition of such sanctions.\nAm Jur 2d, Depositions and Discovery \u00a7\u00a7 373 et seq.\n6. Discovery and Depositions \u00a7 62 (NCI4th)\u2014 sanctions for failure to comply with discovery \u2014award of attorney fees \u2014 sufficiency of evidence\nEvidence was sufficient to support the trial court\u2019s award to plaintiffs of attorney fees of $7,000 where the court found that plaintiffs\u2019 attorneys had spent 49 hours and paralegals had spent 10 hours in preparation for the. 28 October hearing; additional preparation was necessary for the 31 October hearing; and the attorneys had made at least four round trips from Norfolk, Virginia in order to attend various discovery hearings.\nAm Jur 2d, Depositions and Discovery \u00a7\u00a7 373 et seq.\nAppeal by defendants from order entered 26 November 1991 by Judge Richard B. Allsbrook in Gates County Superior Court. Heard in the Court of Appeals 2 March 1993.\nTavss, Fletcher, Earley & King, P.C., by John R. Fletcher and Ray W. King, and Overton & Carter, by Larry S. Overton, for plaintiffs-appellees.\nHomthal, Riley, Ellis & Maland, by M.H. Hood Ellis and Michael P. Sanders, and Willcox & Savage, P.C., by John Y. Pearson, Jr. and William M. Furr, for defendants-appellants."
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