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    "judges": [
      "TIMOTHY L. GARCIA, Judge",
      "WE CONCUR:",
      "MICHAEL D. BUSTAMANTE, Judge",
      "M. MONICA ZAMORA, Judge"
    ],
    "parties": [
      "ALFREDO RODRIGUEZ, Plaintiff-Appellee, v. STEPHAN WILLIAMS, Defendant-Appellant."
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        "text": "OPINION\nGARCIA, Judge.\n{1} Defendant Stephan Williams appeals the judgment entered by the district court against him and in favor of Plaintiff Alfredo Rodriguez after a bench trial on a personal injury claim arising from a motor vehicle accident. We affirm.\nBACKGROUND\n{2} In February 2012, Defendant ran a red light and struck Plaintiffs vehicle, injuring Plaintiff. At the time of the crash, Defendant\u2019s blood-alcohol content was .11, Plaintiffs blood-alcohol content was .076, and Plaintiff was not wearing a seat belt. Plaintiff was transported by ambulance to the hospital where he underwent a \u201ccraniotomy for evacuation of [a] subdural hematoma\u201d and spent a total of eight days in recovery. Plaintiffs medical bills totaled $111,924.63. Plaintiff sued Defendant for damages.\n{3} Plaintiff, who had been earning $9.50 per hour as an auto dealership employee, was unable to work for three months after the accident and was apparently uninsured and unable to pay his medical bills. As a result, the hospital filed a lien in the event he was awarded a judgment or received insurance proceeds. In response to the lien, Plaintiff amended his complaint to include a claim against the hospital that his medical bill was unreasonable. Plaintiff and the hospital eventually entered into a settlement agreement in which the hospital agreed to accept one-third of \u201call monetary recovery [Plaintiff] receives arising out of or relating to the [a]ccident\u201d in full satisfaction of his medical bill. The hospital\u2019s chief financial officer (CFO) testified at trial that Plaintiff s medical bill of $111,924.63 was reasonable and necessary for Plaintiffs care. The district court asked the CFO whether the settlement agreement would allow the hospital to recover more than what it had billed in the event one-third of Plaintiffs recovery exceeded the amount of his medical bill. The CFO replied that in her experience with this type of settlement agreement, she had never seen a case where the hospital recovered more than the billed amount, that the hospital usually receives less than what it billed, and that she believed the agreement capped the hospital\u2019s recovery at the amount of the bill. The CFO explained that the hospital typically enters into this kind of settlement agreement with an uninsured patient so that any award is evenly split between the patient, the patient\u2019s attorney, and the hospital.\n{4} After a bench trial, the district court entered judgment in favor of Plaintiff. It concluded that Defendant was primarily at fault for Plaintiffs injuries and that Plaintiff was only 5% at fault due to his own alcohol impairment. The district court declined to consider the fact that Plaintiff was not wearing his seat belt in its comparative fault analysis because NMSA 1978, \u00a7 66-7-373(A) (2001) prohibits such consideration. The district court found that Plaintiffs total damages amounted to $191,864.63, which consisted of $4,940 in lost wages; $111,924.63 in medical costs; $25,000 in \u201c[n]ature, extent and duration\u201d; and $50,000 in pain and suffering. It subtracted 5% off of Plaintiff s total damages to account for his percentage of fault, and entered judgment against Defendant in the amount of $182,271.40.\n{5} Defendant renews four arguments on appeal: (1) the unlawful acts doctrine barred Plaintiffs claims; (2) the district court should have considered the fact that Plaintiff was not wearing a seat belt in determining Plaintiffs comparative negligence; (3) Plaintiffs seat belt non-use barred operation of the collateral source rule; and (4) Plaintiffs medical damages should have been reduced to the amount that the hospital eventually agreed to accept from Plaintiff, not what it initially billed.\nDISCUSSION\nA. Unlawful Acts Doctrine\n{6} Defendant argues that our Supreme Court\u2019s decision in Desmet v. Sublett adopted a common law rule \u2014 the \u201cunlawful acts\u201d doctrine \u2014 that applies in this case to preclude Plaintiff from recovering damages against Defendant because Plaintiff was unlawfully driving under the influence of alcohol at the time Defendant ran a red light and struck Plaintiffs vehicle. See 1950-NMSC-057, 54 N.M. 355, 225 P.2d 141. We disagree with Defendant\u2019s argument for several reasons.\n{7} First, although the facts of this case are distinguishable, the judgment in this case is consistent with the principles that our Supreme Court applied in Desmet. There, the plaintiff bought a truck from a third party. Id. \u00b6 2. The plaintiff and the third party agreed that the third party would use the truck to haul logs for hire over the public highways. Id. The defendant was a mechanic who had repaired the truck during the time that the third party owned it. Id. The third party never paid the defendant for those repairs. Id. After the plaintiff bought the truck from the third party, he authorized the third party to take it to the defendant to repair it. Id. The defendant repaired the truck, but refused to surrender the truck until he received payment for the repairs that he made when the third party owned the truck. Id. The plaintiff sued the defendant for return of the truck and for damages in the amount of income the plaintiff lost from not being able to use the truck to haul logs for hire during the year in which the defendant retained it. Id. The district court ordered the truck be returned to the plaintiff and awarded the plaintiff damages in an amount equal to the fair rental value of the truck for each day that the defendant refused to surrender it. Id. \u00b6\u00b6 2-3. The district court also found that the plaintiff had not properly registered the truck and that he did not have the required permit to operate the truck for hire over the public highways. Id. \u00b6 3. Our Supreme Court upheld the order returning the truck to the plaintiff, but it reversed the damages award based on the\nwell settled rule of law that a person cannot maintain an action if, in order to establish his cause of action, he must rely, in whole or in part, on an illegal or immoral act or transaction to which he is a party, or where he must base his cause of action, in whole or in a part, on a violation by himself of the criminal or penal laws.\nId. \u00b6 9. It recognized that the policy behind this rule is that \u201c[n]o court will lend its aid to a man who [founded] his cause of action upon an immoral or illegal act.\u201d Id. \u00b6 11 (internal quotation marks and citation omitted). The Supreme Court concluded that this rule precluded the plaintiffs monetary recovery because \u201cthe plaintiff [founded] his claim for damages on the fact that he was not allowed to operate his truck on the public highways of this state in violation of its positive law.\u201d Id. \u00b6 12. In other words, the plaintiff could not recover damages on a claim of lost income when the activity that would have produced that income would have been done unlawfully. Id.\n{8} Here, Plaintiff\u2019s damages claim was based on injuries he sustained when Defendant ran a red light and struck his vehicle. The district court found that a small portion of Plaintiff\u2019s injuries resulted from his own alcohol impairment, and it reduced his damages accordingly. Thus, the damages that Plaintiff actually recovered were founded solely on Defendant\u2019s negligence in running a red light and striking Plaintiffs vehicle, not on Plaintiffs unlawful act of driving impaired. In Desmet, one hundred percent of the income that the plaintiff claimed to have lost due to the defendant\u2019s conduct would have been earned in violation of New Mexico law, and the Supreme Court accordingly reduced his recovery by one hundred percent. Id. \u00b6 15. Here, consistent with Desmet, Plaintiffs recovery was reduced by the portion of the damages attributed to his unlawful act.\n{9} Second, Defendant urges this Court to follow the rule adopted by New York courts, one that precludes a plaintiff from recovering any damages for injuries sustained while committing an unlawful act, under certain circumstances. In particular, Defendant cites Alami v. Volkswagen of Am., Inc., 766 N.E.2d 574, 575 (N.Y. App. 2002) (involving an intoxicated driver who crashed his Volkswagen Jetta into a utility pole and was killed). However, Alami does not support Defendant\u2019s argument. Id. at 578.\n{10} In Alami, the driver\u2019s widow sued Volkswagen and claimed that a defect in the Jetta\u2019s design enhanced the driver\u2019s injuries. Id. at 575. The trial court granted summary judgment in favor of Volkswagen, dismissing the widow\u2019s damages claim because the decedent\u2019s act of driving intoxicated was a serious violation of the law that directly resulted in his injuries. Id. In reversing summary judgment, New Y ork\u2019s highest court recognized that driving intoxicated was \u201cindisputably a serious violation of the law.\u201d Id. However, it concluded that the rule precluding recovery based on unlawful acts did not apply because (1) \u201c[i]f Volkswagen did defectively design the Jetta ... it breached a duty to any driver of a Jetta involved in a crash regardless of the initial cause\u201d; (2) the plaintiff did not \u201cseek to profit from her husband\u2019s intoxication \u2014 she ask[ed] only that Volkswagen honor its well-recognized duty to produce a product that does not unreasonably enhance or aggravate a user\u2019s injuries\u201d; and (3) \u201c[tjhe duty she [sought] to impose on Volkswagen originates not from her husband\u2019s act [of driving intoxicated], but from Volkswagen\u2019s obligation to design, manufacture and market a safe vehicle.\u201d Id. at 577. In reaching this conclusion, the New York court emphasized that the unlawful acts rule \u201cembodies a narrow application of public policy imperatives under limited circumstancesf,]\u201d and that \u201c[extension of the rule here would abrogate legislatively mandated comparative fault analysis in a wide range of tort claims.\u201d Id.\n{11} Other New York cases also address whether an intoxicated driver can recover in a negligence action where the driver\u2019s intoxication was a partial cause of his or her injuries. In LaPage v. Smith, 563 N.Y.S.2d 174, 174-75 (App. Div. 1990), a New York appellate court concluded that the plaintiff was barred from recovering against a defendant in a wrongful death action where the plaintiff\u2019s son was killed while drag racing at speeds over one hundred miles per hour and was intoxicated. There, the court distinguished the drag racing scenario from previous scenarios in two other cases involving car accidents \u201c\u2018occasioned\u2019 by the criminal act of a plaintiffs drunk driving.\u201d Id. at 175. One such previous case, Humphrey v. State of N.Y., 457 N.E.2d 767, 768 (N.Y. 1983), involved a decedent motorist\u2019s estate that sued the State of New Y ork for wrongful death. Although the decedent in Humphrey was driving intoxicated, the trial court found that the State of New York was 60% at fault for failing to provide adequate warning of the highway conditions. Id. In affirming the judgment, the appellate court concluded that \u201c[t]he fact that decedent\u2019s ability to drive was impaired does not exonerate the State from liability])]\u201d Id. The second case was Clark v. State of N.Y., 508 N.Y.S.2d 648 (App. Div. 1986), which involved a motorist that sued the state for injuries suffered when she crashed into a defective guardrail. Although the trial court found that the plaintiff hit the guardrail because she was driving intoxicated, it found the State one hundred percent liable for her injuries. Id. at 649. The appellate court reversed, concluding that the plaintiffs award should have been reduced \u2014 though not eliminated \u2014 by allocating part of the plaintiffs damages to her own fault in driving intoxicated. Id. The appellate court explained, \u201cWithout the confluence of the [s]tate\u2019s negligence and [the plaintiffs] negligence in operating her vehicle while intoxicated and failing to negotiate a curve ... the accident and [the plaintiffs] unfortunate injuries would not have occurred. Each party\u2019s negligence was a substantial factor and, therefore, a proximate cause of the ultimate harm.\u201d Id.\n{12} Even if this Court agreed with Defendant and adopted New York\u2019s analysis of whether an intoxicated driver can recover against another party in a negligence action, we conclude that the judgment entered by the district court would be affirmed. Like New York, New Mexico has adopted a comparative fault analysis of tort claims. See Scott v. Rizzo, 1981-NMSC-021, \u00b6 22, 96 N.M. 682, 634 P.2d 1234 (adopting the comparative fault rule), superseded in part by statute, NMSA 1978, \u00a7 41-3A-1 (1987), as recognized in Reichert v.Atler, 1992-NMCA-134, \u00b6 34, 117 N.M. 628, 875 P.2d 384. Thus, we agree with the court in Alami that extension of the unlawful acts rule in this case \u201cwould abrogate [judicially and] legislatively mandated comparative fault analysis in a wide range of tort claims.\u201d 766 N.E.2d at 577. Like the circumstances in Alami, when Defendant in this case ran a red light and crashed into a vehicle that had the right-of-way, Defendant breached an established duty, irrespective of whether the driver of the vehicle he crashed into was intoxicated. Plaintiff did not seek to profit from any impairment to his driving, but only that D efendant honor his well-recognized duty to stop at an intersection displaying a red light. See id. at 577 (recognizing and distinguishing the separate duties imposed upon each party that reasonably contribute to an accident). Our conclusion is also consistent with the reasoning in Humphrey and Clark. See Humphrey, 457 N.E.2d at 768 (\u201cThe fact that [the plaintiffs] ability to drive was impaired does not exonerate the [defendant] from liability[.]\u201d); Clark, 508 N.Y.S.2d at 649 (\u201cWithout the confluence of the [defendant\u2019s] negligence and [the plaintiffs] negligence in operating h[is] vehicle while intoxicated . . . the accident and [the plaintiffs] unfortunate injuries would not have occurred. Eachparty\u2019s negligence was a . . . factor and, therefore, a proximate cause of the ultimate harm.\u201d).\n{13} Finally, our conclusion is consistent with at least one treatise that has considered the effect of a plaintiffs unlawful act in connection with his or her negligence action:\nThe plaintiff s violation of [a] statute is ordinarily relevant, of course, as showing [his or] her negligence, but not as forbidding the claim entirely. The fact that the plaintiff is guilty of contributory negligence per se in violating a statute shows negligence but it does not show how much, so a comparison of the plaintiffs per se fault and the defendant\u2019s negligence is still appropriate.\n1 Dan B. Dobbs et al., The Law of Torts \u00a7 228, at 818 (2d ed. 2011). For all of these reasons, we conclude \u2014 the fact that Plaintiffs blood-alcohol content was .076 at the time Defendant ran the red light and struck the Plaintiffs vehicle does not preclude Plaintiff from recovering damages attributed to Defendant\u2019s comparative negligence.\nB. Seat Belt Non-Use\n1. Statutory Interpretation of Section 66-7-373 (A)\n{14} Defendant asserts that the district court erred when it concluded that Section 66-7-373(A) barred it from considering the fact that Plaintiff was not wearing a seat belt in determining Plaintiff\u2019s comparative negligence. Section 66-7-373(A) provides, in pertinent part, \u201cFailure to be secured ... by a safety belt as required by the Safety Belt Use Act shall not in any instance constitute fault or negligence and shall not limit or apportion damages.\u201d Defendant contends that Section 66-7-373(A)\u2019s language \u201conly forecloses parties from invoking the statute to establish negligence per se[,]\u201d and that \u201c[i]t does not foreclose the assertion that seat belt non-use constitutes comparative negligence at common law.\u201d We disagree.\n{15} We review the interpretation of a statute de novo. Chatterjee v. King, 2012-NMSC-019, \u00b6 11, 280 P.3d 283. In construing a statute, we determine the Legislature\u2019s intent by giving effect to its entire text in accordance with its objective and purpose. NMSA 1978, \u00a7 12-2A-18(A) (1997). We do not give effect to the Legislature\u2019s intent by reading a statute in a way that would render it meaningless. City of Deming v. Deming Firefighters Local 4521, 2007-NMCA-069, \u00b6 23, 141 N.M. 686, 160 P.3d 595. \u201cWe presume that the [Legislature is well informed as to existing statutory and common law and does not intend to enact a nullity[.]\u201d Inc. Cnty. of Los Alamos v. Johnson, 1989-NMSC-045, \u00b6 4, 108 N.M. 633, 776 P.2d 1252.\n{16} Our Supreme Court adopted the comparative fault doctrine in 1981. See Scott, 1981 -NMSC-021, \u00b6 22. In November 1984, this Court concluded that a plaintiff\u2019s damages caused by his failure to wear a seat belt could be considered under a comparative fault analysis. Thomas v. Henson, 1984-NMCA-113, \u00b6 24, 102 N.M. 417, 696 P.2d 1010, rev'd in part by 1985-NMSC-010, 102 N.M. 326, 695 P.2d 476. Our Supreme Court swiftly reversed that portion of our Thomas decision, holding that no common law \u201cseat belt defense\u201d existed in New Mexico and that the creation of such a defense was within the purview of the Legislature. 1985-NMSC-010, \u00b6 4. Within weeks of the Supreme Court\u2019s decision in Thomas, the Legislature enacted the Safety Belt Use Act, which created a statutory duty to wear a seat belt. See 1985 N.M. Laws, ch. 131, \u00a7\u00a7 1-4. However, in doing so, the Legislature could not have been clearer when it included a provision stating that breaching the statutory duty to wear a seat belt \u201cshall not in any instance constitute fault or negligence and shall not limit or apportion damages.\u201d 1985 N.M. Laws, ch. 131, \u00a7 4 (emphasis added) (now codified at \u00a7 66-7-373(A)). We presume that, at the time that it enacted this new statutory provision, the Legislature was aware of our Supreme Court\u2019s adoption of comparative fault for tort claim lawsuits and of both this Court\u2019s and our Supreme Court\u2019s decisions in Thomas. See Johnson, 1989-NMSC-045, \u00b6 4 (recognizing the presumption that the Legislature is aware of existing legal precedent). However unreasonable it may seem from the contemporary view of comparative fault, commentators recognize that numerous states have enacted statutes barring the consideration of seat belt non-use from the comparative fault analysis:\nIn the light of safety factors involved, the plaintiff\u2019s failure to wear an available seat[]belt or safety harness may be quite unreasonable. Today, with pervasive seat[]belt use and statutes requiring it, failure to wear a seat[]belt certainly could count as comparative fault. However, this result is barred by many state statutes.\n1 Dobbs, supra, \u00a7 231, at 827. If we were to conclude, as Defendant urges, that Section 66-7-373(A) does not bar consideration of an injured plaintiffs failure to wear a seat belt in a comparative fault analysis, then a plaintiffs failure to wear a seat belt would almost certainly \u201cconstitute fault or negligence\u201d resulting in \u201climiting] or apportioning]\u201d a plaintiffs damages. Section 66-7-373(A). Such an interpretation would render the relevant portion of Section 66-7-373(A) meaningless and anullity. See Johnson, 1989-NMSC-045, \u00b6 4; see also Deming Firefighters Local 4521, 2007-NMCA-069, \u00b6 23. Therefore, we agree with the district court that Section 66-7-373(A) bars consideration of seat belt non-use in a comparative fault analysis of liability.\n2. Constitutional Arguments\n{17} Defendant asserts that if Section 66-7-373(A) bars consideration of seat belt non-use in a comparative fault analysis, we should conclude that Section 66-7-373(A) is unconstitutional because it violates the separation of powers doctrine set forth in Article IV, Section 34 of the New Mexico Constitution and it violates Defendant\u2019s due process and equal protection rights. We are not persuaded.\n{18} Article IV, Section 34 of the New Mexico Constitution provides that \u201c[n]o act of the [Legislature shall affect the right or remedy of either party, or change the rules of evidence or procedure, in any pending case.\u201d The purpose of this provision is to \u201cprevent legislative interference with adjudication of pending cases.\" Brazos Land, Inc. v. Bd. of Cnty. Comm\u2019rs, 1993-NMCA-013, \u00b6 14, 115 N.M. 168, 848 P.2d 1095 (emphasis added.) \u201cThe term \u2018pending case\u2019 ordinarily refers to a suit pending on some court\u2019s docket and does not include a suit filed after the statute became effective}.]\u201d DiMatteo v. Cnty. of Dona Ana, 1989-NMCA-108, \u00b6 13, 109 N.M. 374, 785 P.2d 285. The provision now codified at Section 66-7-373(A) was first enacted in 1985, removed by amendment in 1991, re-enacted in 1993, and has remained effective without interruption ever since. See Mott v. Sun Country Garden Prods., Inc., 1995-NMCA-066, \u00b6\u00b6 8-09, 120 N.M. 261, 901 P.2d 192 (explaining the history of Section 66-7-373(A)). In this case, Plaintiff\u2019s cause of action against Defendant arose in 2012. Therefore, because Section 66-7-373(A) was effective for nearly two decades prior to 2012, Article IV, Section 34 of the New Mexico .Constitution does not apply to Plaintiff\u2019s claim. See DiMatteo, 1989-NMCA-108, \u00b6 13.\n{19} As to Defendant\u2019s remaining constitutional arguments, this Court has previously considered and rejected those arguments in Mott and we are not persuaded to revisit this precedent. See 1995-NMCA-066, \u00b6\u00b6 14-21 (concluding that Section 66-7-373(A) does not violate the separation of powers doctrine or the defendant\u2019s due process or equal protection rights). Therefore, we shall proceed to address Plaintiffs remaining arguments.\nC. Collateral Source Rule\n{20} Generally, \u201cplaintiffs may not collect more than the damages awarded to them, or, put another way, they may not receive compensation twice for the same injury.\u201d Sunny land Farms, Inc. v. Cent. N.M. Elec. Co-op, 2013-NMSC-017, \u00b6 47, 301 P.3d 387. \u201cHowever, the collateral source rule is an exception to the [general] rule against double recovery.\u201d Id. \u00b6 48. This rule states that compensation received from a collateral source, i.e., a third party, \u201cdoes not operate to reduce damages recoverable from a wrongdoer.\u201d Id. (internal quotation marks and citation omitted). The policy behind this rule is that \u201cthe interests of society are likely to be better served if the injured person is benefitted than if the wrongdoer is benefitted.\u201d Id. \u00b6 50 (internal quotation marks and citation omitted). One justification for this rule is that third parties will be more likely to help injured persons if they know they are likely to be reimbursed. Id. \u00b6 49. \u201cCharity cannot be made a substitute for such right, nor can benevolence be made a set-off against the acts of a [tortfeasor].\u201d Id. (internal quotation marks and citation omitted). Where a third party who helps an injured person does not seek full reimbursement, \u201cthe collateral source rule [in New Mexico] dictates thatthe contribution of a collateral source must operate to benefit the plaintiff rather than the defendant.\u201d Id. \u00b6 50.\n{21} Defendant argues that the collateral source rule should not apply in this case because both Plaintiff and Defendant were wrongdoers in that they both drove impaired and Plaintiff additionally failed to wear his seat belt. Because Defendant provides no authority for the proposition that the collateral source rule does not apply where the plaintiff in a negligence action shares some degree of fault for his injuries, we decline to review this argument on appeal. See In re Adoption of Doe, 1984-NMSC-024, \u00b6 2, 100 N.M. 764, 676 P.2d 1329 (\u201cWe assume where arguments in briefs are unsupported by cited authority, counsel after diligent search, was unable to find any supporting authority. We therefore will not do this research for counsel. Issues raised in appellate briefs which are unsupported by cited authority will not be reviewed by us on appeal.\u201d (citation omitted)).\nD. Medical Costs Award\n{22} Defendant argues that Plaintiffs settlement agreement with the hospital \u201crepresents either a de facto or de jure medical damages cap in this case\u201d and this Court should \u201cremand with instructions ... to reduce the medical damages award ... to $37,308.21 [,]\u201d representing one-third of the hospital\u2019s $111,924.63 bill. He argues that, because Plaintiffs settlement agreement with the hospital did not result in the hospital being reimbursed for Defendant\u2019s entire $111,924.63 hospital bill in this case, the judgment awarding Plaintiff the full amount of his medical bills provides Plaintiff with a \u201cwindfall[.]\u201d Again, Defendant does not cite any authority in support of his argument. See id. (explaining that the appellate courts will not research for authority supporting a position where no cited authority is provided in the briefing). Instead, Defendant refers us to the record for a motion he filed in the district court that purportedly contains \u201cample support for his argument in the general case law on the subject\u201d and a law review article that \u201cexaminefs] the general issues of medical billing in America.\u201d We decline to consider such an argument because he does not cite any authority to support it in his brief in chief. See Rule 12-213 (A)(4) NMRA.\nCONCLUSION\n{23} For the foregoing reasons, we affirm the judgment entered by the district court.\n{24} IT IS SO ORDERED.\nTIMOTHY L. GARCIA, Judge\nWE CONCUR:\nMICHAEL D. BUSTAMANTE, Judge\nM. MONICA ZAMORA, Judge",
        "type": "majority",
        "author": "GARCIA, Judge."
      }
    ],
    "attorneys": [
      "Duhigg, Cronin, Spring & Berlin, P.A.",
      "David L. Duhigg",
      "Albuquerque, NM",
      "for Appellee",
      "Ripley B. Harwood, P.C.",
      "Ripley B. Harwood",
      "Albuquerque, NM",
      "for Appellant"
    ],
    "corrections": "",
    "head_matter": "Certiorari Denied, June 15, 2015,\nNo. 35,241\nIN THE COURT OF APPEALS OF THE STATE OF NEW MEXICO\nOpinion Number: 2015-NMCA-074\nFiling Date: March 26, 2015\nDocket Nos. 33,138 and 33,668\n(consolidated)\nALFREDO RODRIGUEZ, Plaintiff-Appellee, v. STEPHAN WILLIAMS, Defendant-Appellant.\nDuhigg, Cronin, Spring & Berlin, P.A.\nDavid L. Duhigg\nAlbuquerque, NM\nfor Appellee\nRipley B. Harwood, P.C.\nRipley B. Harwood\nAlbuquerque, NM\nfor Appellant"
  },
  "file_name": "0278-01",
  "first_page_order": 294,
  "last_page_order": 302
}
