Ark. R. Civ. P. 49
COMMENT
Reporter’s Notes to Rule 49: 1. Rule 49 is substantially the same as FRCP 49 and to prior Arkansas law as embodied in superseded Ark. Stat. Ann. § 27-1741.1, et seq. (Repl. 1962). Implicit in the Federal Rule is the right of the trial court to use a general verdict; however, it is believed that less confusion and uncertainty will result if the use of general verdicts is expressly permitted in this rule. Hence, superseded Ark. Stat. Ann. § 27-1741.1 (Repl. 1962), is retained in principle in this rule.
2. Section (b) does not specifically consider the possibility of inconsistent answers to interrogatories submitted to the jury; however, the courts do have the power and authority to rectify inconsistent answers, particularly where the inconsistency is due in part to incorrect instructions to the jury. Stephenson v. College Misericordia, 376 F. Supp. 1324 (D. C. Pa., 1974 ). The court can ask the jury to reconsider its verdict in an attempt to remove the inconsistency, Alston v. West, 340 F. 2d 856 (C.C.A. 7t h, 1965), or order a new trial. Wright v. Kroeger Corp., 422 F. 2d 176 (C.C.A. 5t h, 1970).
3. Overall, Rule 49 should have little effect on prior Arkansas practice and procedure as it is essentially the same as the prior law.
Addition to Reporter’s Notes, 1983 Amendment: Rule 49(a) is amended by adding all of the words after the first comma in the first sentence and by adding the remaining sentences. The effect is to add to the Rule provisions for a general verdict accompanied by answers to jury interrogatories.
Addition to Reporter’s Notes (2014 Amendment): Subdivision (c) implements Ark. Code Ann. §§ 16-61-201 & 16-61-202(c), as amended by Act 1116 of 2013. It is based in part on section 2 of Act 649 of 2003, codified at Ark. Code Ann. § 16-55-202(a), which was invalidated in separation-of-powers grounds in Johnson v. Rockwell Automation, Inc., 2009 Ark. 241, 308 S.W.3d 135. A corresponding change has been made to Rule 52(a), which applies in bench trials. Rule 9(h), cross-referenced paragraph (1)(A), is the sole procedural mechanism for asserting the right to an allocation of nonparty fault created by Ark. Code Ann. § 16-61-202(c).
Paragraph (1) of subdivision (c) provides that, if certain conditions are met, the jury must determine “the fault of all persons and entities, including those not made parties, who may have joint liability or several liability” for the alleged harm. The italicized language is taken from Ark. Code Ann. § 16-61-201 and is intended to be coextensive with the statute. In tracking the statutory language, the rule is neutral on questions as to its scope, e.g., whether the phrase “may have joint liability or several liability” includes persons or entities who are immune from suit or are beyond the court’s jurisdiction.
As states in paragraph (1)(A), the fault of a nonparty will be determined only if the claimant has settled with the nonparty or the defending party has given the notice required by Rule 9(h). Paragraph (1)(B) imposes another condition: “the defending party has carried the burden of establishing a prima facie case of the nonparty’s fault.” In other words, the defending party must produce sufficient evidence to warrant submission of the case to the jury. Health Facilities Mgmt. Corp. v. Hughes, 365 Ark. 237, 244–45, 227 S.W.3d 910, 917 (2006). Placing this burden on the defending party is consistent with Act 649. See Ark. Code Ann. § 16-55-215 (Act 649 does not affect “existing law that provides that the burden of alleging and proving fault is upon the person who seeks to establish fault.”).
Paragraph (2) is based on language in former section 16-55-202(a), and paragraph (3) is taken from former section 16-55-202(c)(2) & (3).