OPINION OF THE COURT
The issue before this Court is whether a plaintiff who was injured while unloading a truck can recover damages from the truck’s owner pursuant to Vehicle and Traffic Law § 388 (1) when the truck itself was not the instrumentality that caused the injury. Finding the issue to be an open one, the United Statеs Court of Appeals for the Second Circuit certified the following questions to this Court:
“Whether, under New York’s Vehicle and Traffic Law Section 388 (1), loading and unloading constitute ‘use or operation’ of a vehicle.
“Whether, under New York’s Vehicle and Traffic Law Sеction 388 (1), the vehicle must be the proximate cause of the injury before the vehicle’s owner may be held vicariously liable.”
We answer the first question in the affirmative and the second in the negative.
I.
The tort action here results from injuries suffered by plaintiff Arthur Argentina when a steel plate fell on him while he was unloading cargo from a truck owned by defendant Emery World Wide Delivery Corporation. Argentina and his spouse sued Emery in the United States District Court for the Southern District of New York, claiming that Emery was liable for their damages under Vеhicle and Traffic Law § 388 (1), which imposes liability on all vehicle owners for accidents resulting from negligence in the permissive “use or operation” of their vehicles. The parties agree for purposes of this Court’s determination that Ever Sharpe Delivеry Services, Inc. (now defunct and no longer sued by plaintiffs) negligently loaded the steel plate onto the truck at Newark International Airport before plaintiff attempted to unload the cargo at Emery’s terminal at John F. Kennedy International Airport. After Emеry filed a third-party complaint against Argentina’s employer, P. Chimento, Inc., Emery and Chimento (collectively defendants) moved for summary judgment.
The District Court assumed without deciding that loading and unloading constitute “use or operation” under section 388 (1), but, relying on
Walton v Lumbermens Mut. Cas. Co.
(
II.
While Vehicle and Traffic Law § 388 (1) does not itself speak to whether loading and unloading fall within its reach, the history of the provision makes clear that those activities are indeed covered. Section 388 (1) is derived from former section 59 of the Vehicle and Traffic Law of 1929, which in turn was derived from former section 282-e of the Highway Lаw of 1909. Until 1958, those statutes imposed liability on a vehicle’s owner for injuries resulting from negligence in the permissive “operation” of a motor vehicle (see, Vehicle and Traffic Law of 1929 former § 59; Highway Law of 1909 former § 282-e).
In order to forestall further narrow readings of “operation,” the Commission recommended, and the Legislature enacted, new versions of sections 52 and 59 to add “use” everywhere that “operation” appeared (see, L 1958, ch 568, § 1; L 1958, ch 577, § 1). As the Law Revision Commission explained, the changes were necessary to extend the application of the provisions to cases where an accident occurs during the use of the vehicle that “is not technically an ‘operation’ of the vehicle under the narrow construction given to the term ‘operate’ by some decisions” (1958 Report of NY Law Rev Commn, at 631, n, 1958 NY Legis Doc No. 65 [G], at 5, n). The change from “negligence in the operation” to “negligence in the use or operation” of a vehicle in what is now section 388 (1) thus signaled that the Legislature intended the statute to include loading and unloading.
Notably, the statute has not been limited to situations where the vehicle is in motion
(see, Elfeld v Burkham Auto Renting Co.,
Finally, we disagree with defendant’s contention that a New York Department of Insurance regulation (11 NYCRR 60-1.1 [c] [3] [iii]) compels a different result. Under the regulations, an owner, as the named insured, is covered for accidents arising out of the use or operation by permissive users of a motor vehicle (11 NYCRR 60-1.1 [a]). However, as noted by defendants, the policy need not cover the liability of a third party for accidents occurring in the loading or unloading of the vehicle (11 NYCRR 60-1.1 [c] [3] [iii]). Thus, in this case, neither Chimento, Argentina’s employer, nor Ever Sharpe Delivery, who loaded the truck, needed to be an “insured” under Emery’s policy, but the regulation still required this accident to be covered under Emery’s policy from the standpoint of Emery’s liability. The scope of Emery’s policy as required under regulations interpreting the Motor Vehicle Financial Security Act (Vehicle and Traffic Law § 310 et seq.), however, does not define the reach of vicarious liability under section 388 (1).
Thus, we answer the first certified question in the affirmative: a vehicle’s owner can be vicariously liable under section 388 (1) for injuries resulting from a permissive user’s negligent loading and unloading.
III.
The second question, to which we now turn, probes the limit of an owner’s vicarious liability by asking whether the vehicle itself must be a
2
proximate cause of plaintiffs injury. In resolving this issue, the District Court mistakenly relied upon the case of
Walton v Lumbermens Mut. Cas. Co. (supra,
Based on the similarity of language of Insurance Law § 5103 (a) (1) and Vehicle and Traffic Law § 388 (1) and because both provide recovery for injuries from motor vehicle accidents, the District Court in this case held that section 388 (1) should be interpreted synonymously with the No-Fault Law. Since there were no allegations that “the placement of the truck or any other condition of the vehicle contributеd to this injury,” defendants, in the District Court’s view, were entitled to summary judgment. Although Walton and the No-Fault Law provide a tempting analogy, the No-Fault Law’s linguistic resemblance to section 388 (1) is not enough to compel the conclusion that the vehicle must be the instrumentality that causes or contributes to the injury. The two laws are distinct, with different purposes.
The No-Fault Insurance Law provision at issue in Walton stated that a person is entitled to first-party benefits from the insurer of a vehicle for losses arising out of the use or operation of such motor vehicle regardless of fault (Insurance Law § 5103 [a] [1]). The legislative history behind that statute indicated that where “plaintiff’s injury was caused by an instrumentality other than the insured vehicle, liability for the losses sustained are more properly addressed outside the area of no-fault motor vehicle insurance” (Walton v Lumbermens Mut. Cas. Co., supra, at 214). As а result, “[a] person engaged in loading and unloading the vehicle may be using it within the meaning of the statute, but that does not necessarily mean that his or her injuries arose out of the use of the vehicle” (id,., at 216). Indeed, Walton’s injuries did not arise out of the use or operation of the truck, but instead out of the use and operation of the'levelator.
Walton
created a needed limit to the benefits of no-fault insurance in line with that law’s purposes. “Its purposes were to remove the vast majority of claims arising from vehicular accidents from the sphere of common-law tort litigation, and to establish a quick, sure and efficient system for obtaining compensation for economic loss suffered as a result of such accidents”
(Walton v Lumbermens Mut. Cas. Co., supra,
Additionally, no-fault insurance avoids litigation costs including the burden of attorneys’ fees that cut into the amounts ultimately received by acсident victims (see, Prosser and Keeton, Torts § 84, at 600-607 [5th ed]). No-fault insurance works to ameliorate these problems, but not all injuries in and among motor vehicles were meant to benefit from the expediency provided by the No-Fault Law.
The purpose of section 388 (1) of the Vehicle and Traffic Law is different. Unlike the No-Fault Law, it is not meant to be an expedient in procuring coverage for losses due to motor vehicle use, but instead to ensure recourse to the vehicle’s owner, a financially responsible party
(Morris v Snappy Car Rental,
Furthermore, section 388 (1) differs from Insurance Law § 5103 (a) (1) in that it relies on the traditiоnal limitation on recovery — proof of fault. Section 388 (1) only encompasses injuries “resulting from
negligence
in the use or operation” (emphasis added) of a motor vehicle. The fault requirement thus shifts the emphasis of the statute and gives it a different limiting principle from that of the No-Fault Law. This Court has specifically noted that “it may not be desirable or even rational * * * to attenuate the concept of use indefinitely”
(Breen v Cunard Lines S. S. Co.,
Having different purposes, section 5103 (a) (1) of the Insurance Law and section 388 (1) of the Vehicle аnd Traffic Law should not be interpreted identically. The touchstone of no-
Thus, we answer the second certified question in the negative: for claims under section 388 (1) of the Vehicle and Traffic Law, the vehicle itself need not be a proximate cause of the injury.
Accordingly, the first certified question should be answered in the affirmative, and the second certified question should be answered in the negative.
Chief Judge Kaye and Judges Bellacosa, Smith, Levine, Wesley and Rosenblatt concur.
Following certification of questions by the United States Court of Appeals for the Second Circuit and acceptance of the questions by this Court рursuant to section 500.17 of the Rules of the Court of Appeals (22 NYCRR 500.17), and after hearing argument by counsel for the parties and consideration of the briefs and the record submitted, certified question No. 1 answered in the affirmative and certified question No. 2 answered in the negative.
Notes
. The certified question states “the” proximate cause, which implies the sole proximate cause of the injury. Since there may be more than one proximate cause of an injury (see,
Forte v City of Albany,
