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In the United States Court of Appeals For the Seventh Circuit ____________________ Nos. 23-2093, 23-2102 & 23-2284 JUANITA ARRINGTON, MICHAEL COKES, and ISIAH STEVENSON, Plaintiffs-Appellants, v. CITY OF CHICAGO and DEAN W. EWING, Defendants-Appellees. ____________________ Appeals from the United States District Court for the Northern District of Illinois, Eastern Division. Nos. 1:17-cv-05345 & 1:17-cv-04839 â Thomas M. Durkin, Judge. ____________________ ARGUED SEPTEMBER 13, 2024 â DECIDED AUGUST 1, 2025 ____________________ Before EASTERBROOK, JACKSON-AKIWUMI, and KOLAR, Circuit Judges. JACKSON-AKIWUMI, Circuit Judge. On July 1, 2016, in a sub- urban shopping center parking lot, Michael Cokes, Isaiah Ste- venson, and Ronald Arrington waited in a Pontiac for their fellow passenger, Jimmie Malone. While they waited, Malone robbed a restaurant manager. When Malone returned to the car with the spoils of that robbery, the three men drove him 2 Nos. 23-2093, 23-2102 & 23-2284 away from the scene, pulled over on the side of a road, and let him take over as the driver. Later, when Illinois state troop- ers stopped the car, the men refused orders to exit. Instead, they again stuck with Malone, who sped off. The state troopers pursued the car. During the chase, Malone floored it sixty miles per hour northbound down a southbound-only residential road. Hoping to assist in the pursuit, Chicago Police Department Officer Dean Ewing drove his unmarked Ford Explorer fifty-five miles per hour eastbound on an intersecting street. Tragically, the cars col- lided at the intersection. Ewingâs Ford broadsided and flipped the Pontiac. The impact seriously injured Cokes, Ste- venson, and all four officers in Ewingâs Ford. It killed Malone and Arrington. Cokes, Stevenson, and Juanita Arrington (as the adminis- trator of Ronald Arringtonâs estate) eventually sued the City of Chicago and Officer Ewing, alleging a variety of torts re- lated to the collision. Following a nine-day trial, a jury found in the defendantsâ favor on all claims. After unsuccessfully moving for a new trial, the plaintiffs brought these consoli- dated appeals challenging the district courtâs decisions on af- firmative defenses, jury instructions, and the admissibility of evidence. For the reasons discussed below, we conclude that the district court did not commit legal error or abuse its dis- cretion. We affirm. I A. Pre-Chase Developments The morning of the deadly collision, Cokes and Stevenson later recounted at trial, Arrington and Malone picked them up in a gold Pontiac that belonged to Maloneâs girlfriend. Nos. 23-2093, 23-2102 & 23-2284 3 Arrington was driving at the time. He picked up Cokes first and then Stevenson, who had asked for a ride to visit his chil- dren. On the way there, Malone directed Arrington to stop the car at a Tinley Park, Illinois, shopping center. A witness testified that Arrington circled the centerâs parking lot twice before parking. Malone then got out and told Arrington he had to âtake care of some business.â The same witness testified, as did Cokes, that Malone chased a woman, grabbed her by the back of her jacket, and then ran in the opposite direction. As Malone hurried back to the Pontiac, Arrington re- versed out of the parking space with the passenger door still open. Arrington then drove away, and the other occupants began âbickeringâ with Malone. As a result of the bickering, Arrington eventually pulled over, refused to drive any far- ther, and told Malone: â[Y]ou can drive your own car.â Malone, who Stevenson testified was known as a âgetaway driver,â switched seats and resumed the escape. While Malone drove away, the woman he robbed spoke with police. She told them that he had taken a bank bag con- taining $1,300, and she provided a description of the vehicle: a gold Pontiac with tinted windows and no license plate. A car matching that description then passed Illinois State Police Troopers Brian Walker and Charles Dixon, who in their sepa- rate squad cars had received a report of a robbery over the Illinois State Police Emergency Radio Network. Both Walker and Dixon followed the Pontiac to an exit ramp where Walker activated his lights and siren. The Pontiac briefly came to a stop at that point. As Walker and Dixon approached the Pon- tiac, they repeatedly yelled for the occupants to exit the car. But nobody heeded the commands. 4 Nos. 23-2093, 23-2102 & 23-2284 B. Police Chase and Collision Within about twenty seconds of stopping, Malone sped away. Walker gave chase. As he followed Malone, Walker re- ported his location to the state police emergency radio dis- patchers at frequent intervals. He also asked for Chicago Po- lice Department (CPD) assistance. When asked to describe Maloneâs driving, Stevenson tes- tified that Malone fled away â[c]razy as hell, driving wild and reckless.â Walker testified that Malone drove erratically, through red lights, into oncoming taffic, and at speeds ex- ceeding seventy-five miles per hour through dense residential areas. During the chase, the Pontiac entered an alley and its left rear passenger doorâwhere Arrington was seatedâ opened briefly, and someone may have attempted to exit the car. CPD Officer Ewing, who was on patrol in an unmarked Ford Explorer carrying three other officers, received an alert from the Office of Emergency Management Communications (OEMC) about âa pursuit at 123rd [Street] and Halsted [Street]â involving a gold Pontiac wanted for armed robbery. Based on his experience, Ewing suspected that the pursuing state trooper was alone. So, to assist that trooper with his pur- suit, Ewing drove four blocks from South 119th Street and Halsted Street to the reported area. He did so without obtain- ing supervisory approval to engage in an interjurisdictional pursuit as required under CPD general orders. Since the Illinois State Police and CPD use different radio networks, Ewing could not hear Walkerâs location call-outs in real time. OEMC provided multiple delayed updates to Ewing and the officers with him. Based on those OEMC call- Nos. 23-2093, 23-2102 & 23-2284 5 outs, Ewing believed that the Pontiac was headed eastbound down West 125th Street from South Union Avenue, which would have meant the car was southeast of him and about five blocks away. With that location in mind, Ewing acceler- ated to âcatch up with [the Pontiac].â Ewing activated his emergency lights. Disregarding a stop sign, he entered the intersection of West 124th Street and South Union Avenue with his foot still pressing on the accel- erator. Relying on a review of the squad carâs black box (the Event Data Recorder), a crash reconstruction expert, Adam Hyde, testified about Ewingâs driving leading up to the crash. Hyde testified that Ewing briefly pressed his brake pedal one- and-a-half seconds before the crash, pressed his accelerator 52.2% one second before the crash, steered milliseconds be- fore the crash, and firmly pressed the brake pedal two-tenths of a second before the crashâabout fourteen feet from im- pact. Hyde testified that Ewing moved the steering wheel âto the right slightly, and then ... move[d] back to the straight- ahead position.â Hyde also testified that, before Ewing took his foot off the gas and braked briefly, he approached the in- tersection at full throttle (âpedal to the metalâ). Meanwhile, Malone was himself traveling full throttle at approximately sixty miles per hour northbound on South Un- ion Avenue, a one-way-southbound street with a speed limit of thirty miles per hour. Dr. Jeremy Bauer, a forensic biome- chanics and accident reconstruction expert, testified that Malone never once pressed the brake pedal in the five seconds before impact. Ewing testified that, as he entered the intersec- tion, he âsaw a flashâ and âtried to stop.â He testified that the Pontiac entered his field of vision less than one second before the impact. 6 Nos. 23-2093, 23-2102 & 23-2284 C. Post-Collision Developments Malone and Arrington did not survive the collision. Cokes and Stevenson did, but they sustained injuries and were ar- rested and charged with felony robbery. Of the $1,300 that was stolen by Malone, $800 was recovered from Maloneâs per- son and $200 was recovered from Cokesâs clothing. Stevenson and Cokes both later pleaded guilty to misdemeanor theft in connection with the incident. The Civilian Office of Police Accountability (COPA), Chi- cagoâs independent agency that reviews police conduct, in- vestigated the incident. That investigation culminated in a twenty-nine-page report recommending that Ewing receive two ninety-day suspensions for speeding and disregarding a stop sign. The report concluded that âEwingâs lack of due care and due regard when operating his vehicleâ was one of three causes of the crash, along with Maloneâs traffic violations and the âproblematic and delayedâ radio communications. As for Ewingâs conduct specifically, the report found that Ewing vi- olated CPD policies and Illinois law by operating his squad car without due regard for the safety of other traffic. D. District Court Proceedings Cokes, Stevenson, and Arringtonâs estate sued the City of Chicago and Officer Ewing in the Circuit Court of Cook County. They brought the following claims: excessive use of force in violation of the Fourth Amendment under 42 U.S.C. § 1983; civil battery; willful and wanton conduct; willful and wanton negligence; indemnification; respondeat superior; and a claim under Monell v. New York Department of Social Ser- vices, 436 U.S 658 (1978). The defendants then removed the case to federal court. Nos. 23-2093, 23-2102 & 23-2284 7 Once in federal court, the plaintiffs amended their com- plaints, and the defendants submitted amended answers, which included affirmative defenses. The plaintiffs moved to strike those affirmative defenses as untimely. The district court denied that motion without prejudice but allowed for limited discovery on the contested issues. The parties subse- quently filed cross-motions for summary judgment. The court denied the defendantsâ motion. It also denied the plaintiffsâ motion for partial summary judgment as to three of the de- fendantsâ affirmative defenses: failure to mitigate damages; joint enterprise; and failure to control driver or take precau- tions. But it granted summary judgment to the plaintiffs as to several of the defendantsâ affirmative defenses, including the defense of unavoidable collision. Lastly, the plaintiffs filed motions in limine, including (1) a motion to admit the COPA report and (2) a motion to bar testimony by Stevenson and Cokes about Arringtonâs conduct and conversations leading up to the crash pursuant to the Illinois Dead Manâs Act. The district court denied both motions in limine but allowed for the introduction of the COPA report if Ewing were to âopen the door via his own volunteered testimony or testimony he elicits from others.â Arrington v. City of Chicago, No. 1:17-cv- 05345, Order, Dkt. 286 at *5 (N.D. Ill. Aug. 8, 2022). With those evidentiary issues settled, trial commenced on the plaintiffsâ claims against Ewing for excessive force, bat- tery, willful and wanton conduct, and negligence. (The City of Chicago was not listed on the jury verdict forms because it stipulated before trial that Ewing was acting within the scope of his authority, so it would pay any compensatory damages.) While testifying at trial, Ewing vaguely referenced a nonex- istent ruling that his crash was unavoidable. The plaintiffs ar- gued that this opened the door to introduction of the COPA 8 Nos. 23-2093, 23-2102 & 23-2284 report. The district court overruled those objections but ad- monished Ewing and struck some of Ewingâs testimony. At the conclusion of trial, the jury ruled in the defendantsâ favor on all counts. Nevertheless, as noted in the special verdict forms, the jury rejected the defendantsâ joint enterprise theory of imputed negligence that, if proven, would have meant that any contributory fault attributed to Malone would be at- tributed to the plaintiffs as well. See Grubb v. Ill. Terminal Co., 8 N.E.2d 934, 938â39 (Ill. 1937) (â[W]hen two or more persons are engaged in a joint enterprise or undertaking in the use of an automobile, the contributory negligence of one will bar re- covery by either, where the claimed damage arises out of a matter within the scope of a joint undertakingâŠ.â). After trial, the plaintiffs moved for a new trial under Fed- eral Rule of Civil Procedure 59. They argued, in relevant part, that the district court erred with three decisions: (1) allowing the defendants to pursue a joint enterprise theory of imputed negligence; (2) concluding that the Illinois Dead Manâs Act did not govern this case and allowing questioning and testi- mony as to Arringtonâs conduct and communications; and (3) precluding the plaintiffs from introducing the COPA report. The court denied those motions. Now on appeal, the plaintiffs challenge the district courtâs denial of their motions for a new trial. When ruling on their post-trial motions, the district court restated the reasons for its rulings before and during trial, and defended its decisions about the three issues identified above. With the first two issuesâallowing the joint enterprise defense and deeming the Illinois Dead Manâs Act inapplicableâthe court reasoned that any error would have been harmless considering the evidence and the juryâs findings. As for the third issueâ Nos. 23-2093, 23-2102 & 23-2284 9 barring the COPA reportâthe district court added that Ewing had not opened the door to the reportâs introduction and the court had cured any âminimal prejudiceâ from Ewingâs statements by striking his testimony, admonishing him, and offering limiting instructions. In Part II below, we evaluate the district courtâs decision on the joint enterprise defense. In Part III, we examine the courtâs evidentiary decisions on the Illinois Dead Manâs Act and the COPA report. II The plaintiffs raise two related but distinct challenges to the district courtâs decision allowing the defendants to intro- duce a joint enterprise theory of contributory negligence at trial. First, they argue that the district court abused its discre- tion in allowing the defendants to plead the theory late, thereby limiting discovery on the issue. Second, they argue it was legal error for the court to permit the defendants to plead the theory at all under Illinois law. âWe review for abuse of discretion a district courtâs dis- cretionary decision to allow late assertion of an affirmative defense but review de novo the underlying legal issues.â Bur- ton v. Ghosh, 961 F.3d 960, 964 (7th Cir. 2020) (citations omit- ted). When reviewing the district courtâs decision to deny plaintiffsâ motion for judgment as a matter of law as to the joint enterprise defense theory, we construe the facts in favor of the defendants. Whitehead v. Bond, 680 F.3d 919, 925 (7th Cir. 2012) (âBecause the defendants prevailed at trial, we construe the facts strictly in their favor.â). 10 Nos. 23-2093, 23-2102 & 23-2284 A. Timing of the Joint Enterprise Theory The plaintiffs argue that the defense was untimely raised but their argument is waived. Here is what happened: when the plaintiffs moved to strike the defense, the district court, rather than granting the motion, gave the plaintiffs an extra thirty days of discovery into the issues raised by the defense. The court also set a status conference for the conclusion of that added discovery period to address whether the remedy was adequate. The plaintiffs did not object to the amount of added time or request a further extension. Yet, they now argue for the first time on appeal that the added discovery time was a âwoefully inadequateâ remedy. That argument is untimely. Lane v. Structural Iron Workers Loc. No. 1 Pension Tr. Fund, 74 F.4th 445, 450 (7th Cir. 2023) (âIt is a cardinal rule of appellate practice that we ignore arguments not presented below.â). Thus, regardless of any merit, we cannot reach this timing ar- gument. B. Pleading the Joint Enterprise Theory In addition to their timing argument, the plaintiffs con- tend that the district court erred as a matter of law in allowing the defendants to plead as an affirmative defense a joint en- terprise theory of contributory negligence. The plaintiffsâ ar- gument has two parts. First, they argue that Illinois state law precludes application of the theory to cases like this one. Sec- ond, they argue that there was insufficient evidence to plead the theory. For the reasons below, both contentions are una- vailing. 1. The theoryâs application to criminal ventures As an initial matter, Cokes and Stevenson argue that the district court erred by expanding the joint enterprise theory Nos. 23-2093, 23-2102 & 23-2284 11 of contributory negligence beyond the bounds delimited by Illinois courts. See Erie R.R. Co. v. Tompkins, 304 U.S. 64, 78 (1938) (requiring federal courts to apply state substantive law in certain circumstances). At issue here is the district courtâs jury instructions which set forth the joint enterprise theoryâs elements as follows: One of the issues to be decided by you is whether Ronald Arrington, Isiah Stevenson, Mi- chael Cokes and Jimmie Malone were engaged in a joint enterprise. A joint enterprise exists if these four elements are present: (1) An agreement, express or implied, be- tween Ronald Arrington, Isiah Stevenson, Michael Cokes and Jimmie Malone; and (2) A common purpose to be carried out by Ronald Arrington, Isiah Stevenson, Michael Cokes and Jimmie Malone; and (3) A mutual profit-seeking endeavor for that purpose between Ronald Arrington, Isiah Stevenson, Michael Cokes and Jimmie Malone; and (4) An understanding between them that each had a right to share in the control of the operation of the car. As to the third element, the mutual profit-seek- ing endeavor need not be a lawful endeavor. As to the fourth element, the question for you to decide is whether there was a right in each to 12 Nos. 23-2093, 23-2102 & 23-2284 share the control of the operation of the car ra- ther than the actual exercise of the right. As revealed by its answers to the special verdict questions, the jury found that the plaintiffs had a âcommon purposeâ but were not engaged in a joint enterprise because they did not have a âmutual profit-seeking endeavorâ and did not have âan understanding between them that each had a right to share in the control of the operation of the Pontiac Grand Prix.â Relying on Illinois state caselaw and pattern jury instruc- tions, Cokes and Stevenson argue that Illinois courts have limited the application of this theory and have required those raising it to prove that the supposed joint venturers had an agreement to carry out a legally legitimate business enter- prise. They cite, for example, the Illinois Pattern Jury Instruc- tions, which provide the elements of a joint enterprise theory of imputed negligence as follows: A joint enterprise exists if these four elements are present: (1) An agreement, express or implied, be- tween ____ and ____; and (2) A common purpose to be carried out by ____ and ____; and (3) A common business interest in that pur- pose between ____ and ____; and (4) An understanding between them that each had a right to share in the control of the operation of the car. Nos. 23-2093, 23-2102 & 23-2284 13 As to the fourth element, the question for you to decide is whether there was a right in each to share the control of the operation of the car ra- ther than the actual exercise of the right. Ill. Pattern Civil Jury Instructions, § 72.04. In light of those au- thorities, the plaintiffs argue that the district court erred by substituting the requirement for a âcommon business inter- estâ (what the plaintiffs refer to as the âlegitimate purposeâ element), with an instruction requiring a âmutual-profit seek- ing endeavor.â The problem with this argument is that there is no Illinois caselaw or statutory authority expressly limiting the joint en- terprise theory to legitimate business ventures. Aptly stated by the district court, â[T]he case law does not clearly foreclose application of the joint enterprise rule to an alleged criminal enterprise.â Arrington v. City of Chicago, No. 1:17-cv-05345, 2022 WL 3357272, at *3 (N.D. Ill. Aug. 15, 2022). Acknowledg- ing the frequent use of terms like âbusiness enterpriseâ or âcommon business purposeâ by Illinois state courts, the dis- trict court properly reasoned that such language is meant to distinguish a âtrue joint enterpriseâ from âone in which the vehicle occupants are sharing a car as a matter of convenience or because they are simply going to the same place.â Id. at *3 (discussing cases). In support of that interpretation, the dis- trict court noted that âhistorical applications of the rule [in Il- linois] ⊠show that it does not require the level of formality that the term âbusinessâ might suggest.â Id. (citing Grubb, 8 N.E.2d at 938â39 (finding a joint enterprise where sisters agreed to travel together to buy home decorations)). As for the Illinois pattern jury instruction, cited by Cokes and Stevenson, two points are worth noting. First, although a 14 Nos. 23-2093, 23-2102 & 23-2284 âhelpful starting point,â pattern jury instructions are not nec- essarily binding. United States v. Edwards, 869 F.3d 490, 496â97 (7th Cir. 2017) (âPattern instructions are not intended to be used mechanically and uncritically.â); United States v. Smith, 109 F.4th 888, 894 (7th Cir. 2024) (âIllinois pattern jury instruc- tions are used only when they accurately state the law.â (quot- ing People v. Peete, 252 N.E.2d 689, 695 (Ill. App. Ct. 2001))). Second, the Illinois pattern jury instruction that Cokes and Stevenson rely on approvingly cites not only Grubb, but also the Second Restatement of Torts, which broadly defines joint enterprises and does not limit them to legal ventures. Ill. Pat- tern Civil Jury Instructions, § 72.04 Comment; see also Restate- ment (Second) of Torts, § 491 Comment b. (âA âjoint enter- priseâ is in the nature of a partnership, but is a broader and more inclusive termâŠ. A joint enterprise includes a partner- ship, but it also includes less formal arrangements for coopera- tion, for a more limited period of time and a more limited pur- pose.â (emphasis added)); id. Comment c. (âThe elements which are essential to a joint enterprise are commonly stated to be four: ⊠(3) a community of pecuniary interest in that purpose, among the members âŠ.â). On appeal, Cokes and Stevenson point to intermediate Il- linois appellate courtsâ dicta that arguably expresses unease with the liberal application of the theory in Grubb. But the plaintiffs have not identified any authority overruling Grubb or even expressly disagreeing with Grubb on this point. In- deed, some of the cases Cokes and Stevenson cite on this point support the district courtâs ruling. See, e.g., Matesevac v. County of Will, 416 N.E.2d 807, 811 (Ill. App. Ct. 1981) (affirming jury instruction on joint enterprise where purpose of the trip was to view farmhouse for rent). Thus, plaintiffsâ argument that Nos. 23-2093, 23-2102 & 23-2284 15 Illinois law precludes the application of the joint defense the- ory to this criminal case is uncompelling. 2. There was more than âa mere scintillaâ of evidence of a joint enterprise The plaintiffsâ second challenge to the defendantsâ joint enterprise theory is that it was not supported by sufficient ev- idence and should not have been considered by the jury. Spe- cifically, they argue that âthe record is devoid of evidence supporting the elements of the doctrine, expanded or not.â Recall, the district court properly instructed the jury that those elements are: (1) an agreement; (2) a common purpose; (3) a mutual profit-seeking endeavor for that purpose; and (4) an understanding that each had a right to share in the control of the operation of the car. So instructed, the jury rejected the theory, finding the defendants proved only the second ele- ment (common purpose). To prevail on this argument about the sufficiency of the evidence, Cokes and Stevenson must overcome a staggeringly deferential standard. See Filipovich v. K & R Exp. Sys., Inc., 391 F.3d 859, 863 (7th Cir. 2004) (âA legally sufficient amount of evidence need not be overwhelming, but it must be more than a âmere scintilla.ââ (quoting Massey v. Blue Cross-Blue Shield of Ill., 266 F.3d 922, 924 (7th Cir. 2000))); see also May v. Chrysler Group, LLC, 716 F.3d 963, 971 (7th Cir. 2013) (observing that appellate court engages in a âhighly charitable assessment of the evidenceâ). The district court correctly concluded that there was clearly âmore than a mere scintillaâ of evidence to allow the defendants to plead that theory. We agree based on the evi- dence the court considered, as well as other evidence before 16 Nos. 23-2093, 23-2102 & 23-2284 the jury. Circumstantial as it was, the evidence included: (1) video recordings of the lead-up to the robbery showing the Pontiac possibly âstalkingâ the robbery victim when circling the lot twice; (2) the plaintiffsâ knowledge of Maloneâs repu- tation as a âgetaway driverâ; (3) that Arrington reversed the car, reoriented it, and drove Malone away when Malone re- turned from the robbery; (4) that the plaintiffs let Malone drive the car and did not exit the car despite at least three op- portunities to do soânamely, in the parking lot, on the high- way before Malone took over as driver, and when Malone briefly stopped for the state troopers; (5) Cokes and Steven- sonâs subsequent convictions for theft in connection with the robbery; and (6) the cash recovered from Cokesâ clothing. As such, the theory was supported by more than a âmere scintilla of evidence.â The district court did not err in allowing the de- fendants to plead and submit evidence on a joint enterprise theory of imputed negligence. For these reasons, we affirm the district courtâs decision to allow the defendants to plead and argue a joint enterprise the- ory of contributory negligence. Before proceeding, we pause to address what may be a source of confusion for the plain- tiffs. One way for the jury to find that the plaintiffs were con- tributorily negligent was to impute Maloneâs negligence onto them under a joint enterprise theory. Another way to reach that same outcome, was for the jury to find that the plaintiffs failed to take precautions by, for example, letting Malone drive and not getting out of the car when they had the chance. With the exception of the COPA reportâs admissibility, all the issues the plaintiffs challenge on appeal go to that first ave- nue: the defendantsâ joint enterprise theory. But the jury re- jected that theory and instead opted for the another avenue, which plaintiffs do not challenge on appeal: the jury may have Nos. 23-2093, 23-2102 & 23-2284 17 implicitly found that Ewing was not a proximate cause of the plaintiffsâ injuries. This is one of the reasons why the plain- tiffsâ challenges to the joint enterprise defense cannot upend the jury verdict. III We turn to the two issues the plaintiffs raise about the dis- trict courtâs evidentiary decisions. First, Arringtonâs estate ar- gues that the Illinois Dead Manâs Act should have governed the admissibility of conversations and events that occurred in Arringtonâs presence. Second, the plaintiffs challenge the dis- trict courtâs decision to bar the introduction of the COPA re- port. A. Illinois Dead Manâs Act Subject to some exceptions, the Illinois Dead Manâs Act precludes adverse parties or persons from testifying to any conversation involving the decedent or any event which took place in the presence of the decedent. See 735 ILCS 5/8-201. In denying the motion in limine filed by Arringtonâs estate, the district court concluded that the Illinois Dead Manâs Act does not apply under Federal Rule of Evidence 601 because the es- tateâs âvarious state claims ... all overlap with the federal claim that arises from the same crash.â Arrington, at *2 (Aug. 15, 2022). On appeal, Arringtonâs estate argues that the district court erred in reaching that conclusion. We review a district courtâs interpretations of the rules of evidence de novo. United States v. Hamzeh, 986 F.3d 1048, 1052 (7th Cir. 2021). 1. Rule 601 governed, not Illinois law Federal Rule of Evidence 601 provides a default presump- tion of witnessesâ competency to testify. Estate of Suskovich v. Anthem Health Plans of Va., Inc., 553 F.3d 559, 570 (7th Cir. 18 Nos. 23-2093, 23-2102 & 23-2284 2009). But in civil cases it also carves out from that presump- tion state law exceptions that âgovern[] a witnessâs compe- tency regarding a claim or defense for which state law sup- plies the rule of decision.â Fed. R. Evid. 601. â[T]he legislative history of Rule 601 reveals that the purpose of this exception was, precisely, to preserve state dead manâs laws in cases ... where state law supplies the rule of decision.â Lovejoy Elecs., Inc. v. OâBerto, 873 F.2d 1001, 1005 (7th Cir. 1989) (citing H.R. Rep. No. 650, 93d Cong., 1st Sess.9 (1973)). One such state law is, of course, the Illinois Dead Manâs Act. Thus, the question presented in this appeal is whether state law supplied the ârule of decisionâ for purposes of Rule 601. In cases involving only state claims, the answer is easy. But, in cases involving mixed federal and state claims, the answer is not so obvious. The Supreme Court and our court have not supplied an answer to that question, but we can gain insight from a well- reasoned district court decision on the issue. In Donohoe v. Consolidated Operating & Production Corporation, Judge Milton Shadur was presented with the question of whether to apply the Illinois Dead Manâs Act to a federal case involving a mix- ture of state and federal claims. 736 F. Supp. 845, 860â61 (N.D. Ill. 1990), revâd on other grounds, 982 F.2d 1130 (7th Cir. 1992). Judge Shadur began his analysis by observing that âwhere a federal claim is at issue[,] the Dead-Manâs Act is inapplica- ble.â Id. at 860 (citing Sundstrand Corp. v. Sun Chemical Corp., 553 F.2d 1033, 1051 (7th Cir. 1977)). He then turned to the Sen- ate Judiciary Committee Notes to Federal Rule of Evidence 501 (governing privileges), which similarly provides for def- erence to state evidentiary standards when state law supplies the rule of decision. Id. at 860â61. Those notes read: âIf the rule proposed here results in two conflicting bodies of privilege law applying to the same piece of evidence in the same case, Nos. 23-2093, 23-2102 & 23-2284 19 it is contemplated that the rule favoring reception of the evi- dence should be applied.â Id. (quoting Notes of Committee on the Judiciary, Senate Report No. 93-1277). Applying the prin- ciples from the notes on Rule 501 to Rule 601, Judge Shadur ruled that the Illinois Dead Manâs Act did not govern and therefore the decedentâs contested statements and activities were admissible. Id. at 861 (â[T]his Court finds the reasoning of the Judiciary Committee to be equally persuasive as to the issue of witness competency as it is to privilege.â). That deci- sion followed from the fact that the decedent-related testi- mony related to not only the plaintiffâs state common law fraud claims but also the plaintiffâs federal securities and racketeering claims. Id. at 846, 860â61. Applying that reasoning to this case, the next question would be whether the decedent-related testimony in this case relates to both the state and federal claims brought by Arring- tonâs estate. As for what ârelates toâ means in this context, there are two additional decisions from which we can gain in- sight. First, in Estate of Suskovich, we concluded that Rule 601â rather than Indianaâs Dead Manâs Statuteâapplied to the competency of witnesses âinsofar as the evidence relate[d] to any of the federal claims.â 553 F.3d at 570 (citing approvingly Donohoe, 736 F. Supp. at 860â61). In that case, the plaintiff es- tate raised two federal law claims and one state law claim for the failure of the decedentâs employer to properly classify him as an employee rather than a contractor. Id. The disputed tes- timony ârelated toâ both the state and federal claims, and the Indiana Dead Manâs Statute would have applied only to tes- timony that ârelated solely to the [state] common law claims.â Id. at 561, 571 (emphasis added). The second case is Estate of 20 Nos. 23-2093, 23-2102 & 23-2284 Chlopek v. Jarmusz, in which the plaintiff asserted state and federal claims against a Chicago police officer who shot and killed an individual who refused to drop a handgun. 877 F. Supp. 1189, 1190â91, 1193 (N.D. Ill. 1995) (adopting the Donohoe approach and concluding that the Illinois Dead Manâs Act did not bar the officerâs testimony because that tes- timony related to both the state law and federal law claims.). Arringtonâs estate argues that these two decisions are in- applicable because they predate an amendment to Rule 601. But that argument is a nonstarter because the amendment was purely stylistic. See FED. R. EVID. 601 Committee Note on 2011 Amendment. So, we proceed to the analysis. As in Estate of Suskovich and Estate of Chlopek, the decedent- related testimony in this case was relevant not only to the es- tateâs state tort law claims, but also a federal claim. Specifi- cally, the testimony related to the Arrington estateâs § 1983 claim, which required evidence that the officerâs conduct was the proximate cause of the estateâs damages. See Clarett v. Rob- erts, 657 F.3d 664, 673 (7th Cir. 2011) (describing plaintiffâs burden of proving that the officerâs âuse of excessive force was the proximate cause of [the plaintiffâs] injury or harmâ (em- phasis added)). Of course, Arringtonâs conductâaiding Maloneâs escape and then declining opportunities to exit the vehicleâwas relevant to whether he was contributorily neg- ligent for the ensuing accident and injuries, meaning Ewingâs conduct was not the sole proximate cause. Brownell v. Figel, 950 F.2d 1285, 1287, 1295 (7th Cir. 1991) (â[The plaintiffâs] drunken driving set in motion a chain of events, all of which were reasonably foreseeable, leading to his injury. Because the acts of [the defendants] did not proximately cause [the plaintiffâs] injuries, the district court properly granted Nos. 23-2093, 23-2102 & 23-2284 21 defendantsâ motion for summary judgment [on the plaintiffâs § 1983 excessive force claim].â). Citing our decision in Santiago v. Lane, Arringtonâs estate argues that contributory negligence is not a defense to a § 1983 claim. 894 F.2d 218 (7th Cir. 1990). But Santiago dealt with an Eighth Amendment deliberate indifference claim and merely held that âcontributory negligence is not a defense to an allegation of intentional or reckless conduct.â Id. at 219, 224. Here, unlike in Santiago, law enforcementâs exertion of force at least arguably did not rise to the level of intentional or reckless conduct. Indeed, Arringtonâs estate itself alleged negligence and the jury found that Ewing did not intention- ally cause the collision. Accordingly, evidence of contributory negligence was admissible to defend against the Arrington es- tateâs § 1983 claim. In turn, Arringtonâs actions and state- ments were relevant to that claim. Thus, adopting the reason- ing in Donohoe, the testimony at issue was properly admitted under Rule 601. 2. Any error did not have a substantial effect Even if we were to assume that the district court did err and the Illinois Dead Manâs Act governed rather than Rule 601, reversal would still be inappropriate because any error likely did not impact the verdict. âWe review evidentiary rul- ings for abuse of discretion. But we will not reverse unless the error likely affected the outcome of the trial.â Jackson v. Esser, 105 F.4th 948, 963 (7th Cir. 2024) (citation omitted). âAn error is harmless unless it âlikely had a substantial effect on the juryâs verdict and the result was inconsistent with substantial justice.ââ Id. at 964 (quoting Jordan v. Binns, 712 F.3d 1123, 1137 (7th Cir. 2013)). 22 Nos. 23-2093, 23-2102 & 23-2284 We agree with the district courtâs observation that the ad- mitted evidence was mostly favorable to Arrington. That evi- dence included testimony establishing that: (1) Arrington tried to convince Malone to surrender; (2) Arrington was un- happy with Maloneâs robbery and argued with him about it; (3) Arrington eventually refused to drive after the robbery; and (4) Arrington refused Maloneâs money when Malone tried to pass some to the backseat. Moreover, the district court barred the only disputed testimony that was unquestionably adverse to Arrington: Stevensonâs post-crash statement to Trooper Walker that â[Arrington] knew what he was getting into.â With that in mind, we cannot say that any error on this issue had a substantial effect on the juryâs verdict. B. COPA Report Federal Rule of Evidence 403 provides for the exclusion of relevant evidence if the âprobative value is substantially out- weighed by a danger of one or more of the following: unfair prejudice, confusing the issues, misleading the jury, undue delay, wasting time, or needlessly presenting cumulative ev- idence.â Fed. R. Evid. 403. In rulings both before and during trial, the district court barred the introduction of the COPA report under Rule 403 because it found the risk of unfair prej- udice, confusion of issues, and waste of time substantially outweighed the reportâs probative value. We generally re- view a district courtâs evidentiary rulings for abuse of discre- tion. Common v. City of Chicago, 661 F.3d 940, 946 (7th Cir. 2011). In doing so, we give special deference to a district courtâs Rule 403 findings, and reverse âonly when no reason- able person could take the view adopted by the trial court.â Id. (citation modified). Nos. 23-2093, 23-2102 & 23-2284 23 It is difficult for us to find an abuse of discretion here given that the plaintiffs were free to introduce all the evidence relied upon by COPA during its investigation. And, indeed, the plaintiffs did introduce much of that evidence with the help of two experts on accident reconstruction and police practices. Effectively, this means that the only information in the COPA report that was kept from the jury was COPAâs legal and ad- ministrative conclusionsâexactly the sort of information Rule 403 is intended to safeguard against. Cf. Young v. James Green Mgmt., Inc., 327 F.3d 616, 623â25 (7th Cir. 2003) (affirm- ing decision to exclude EEOC findings of discrimination from evidence in jury trial); Vance v. Peters, 97 F.3d 987, 994â95 (7th Cir. 1996) (affirming decision to exclude report from state em- ployee review officer concluding that correctional officer had used excessive force). Thus, we cannot say that no reasonable person would have taken the view that the district court did here. Moving beyond the COPA reportâs initial admissibility, the plaintiffs also contend that Ewingâs testimony opened the door to the report and called for the reportâs introduction as a remedial measure. To support their contention that Ewing opened the door to the reportâs admission, the plaintiffs point to his comments implying that he was exonerated. For exam- ple, he remarked on the witness stand that the crash was âruledâ unavoidable and the incident was âdesignated as a non-preventable accident.â According to the plaintiffs, Ewingâs statements, together with testimony from a defense expert that the expert had reviewed a COPA investigative re- port, invited the jury to infer that COPA had investigated the incident and cleared Ewing of wrongdoing. With this infer- ence in mind, the plaintiffs argue that the district courtâs re- fusal to admit the report after the defense opened the door on 24 Nos. 23-2093, 23-2102 & 23-2284 multiple occasions and plaintiffs objected, âcompounded [the courtâs] initial error.â The plaintiffsâ desire to share COPAâs findings with the jury is imminently rational. But the district court permissibly resorted to less drastic measures given its concern that intro- ducing the report would be an incommensurate remedy to the alleged door-opening by the defense. The more conservative measures the court chose included striking Ewingâs testi- mony, admonishing him, and instructing the jury to disregard the inappropriate portions of his statements. Of course, when it comes to ameliorating the effect on jurors of statements like Ewingâs, it is hard to put the âgenie back in the bottleâ or âun- ring the bell,â so to speak. So, it is understandable that the plaintiffs wanted to correct Ewingâs misstatements in a more direct and forceful manner. Yet, under the highly deferential standard of review that binds us, the plaintiffs have not shown this issue merits remand for a new trial. IV Despite the shadow that the joint enterprise theory cast over the trial and the possibility that the plaintiffs suffered from guilt by association with Malone as a result, for the rea- sons explained above, it is hard to conclude that a new trial is warranted. Johnson v. Gen. Bd. of Pension & Health Benefits of the United Methodist Church, 733 F.3d 722, 730 (7th Cir. 2013) (new trial may be granted only âwhere the verdict is against the clear weight of the evidence or the trial was not fair to the moving partyâ). We see no error and no abuse of discretion in the denial of the plaintiffsâ motions for a new trial. The judg- ment is AFFIRMED.
Case Information
- Court
- 7th Cir.
- Decision Date
- August 1, 2025
- Status
- Precedential