*1392 Opinion
аdjudication made by the judge in charge of coordinated cases, given the coordination title of “Breast Implant Cases.” The court ruled that the plaintiffs could not state a cause of action for strict liability based on design defect. This ruling is challenged on a number of grounds as discussed hereafter. Writ review of the order is authorized by Code of Civil Procedure section 437c, subdivision (/).
The great number of claims administered in common in this coordinated proceeding were originally based upon individually filed complaints. The coordination process has resulted in an amalgamated standard complaint representative of all interests called the “Master Complaint.” The Master Complaint alleges liability on the part of the defendants on a number of bases, including such theories as negligence, breach of warranty, medical malpractice, etc. The only cause of action which is the subject of this order of summary adjudication is the cause of action for strict liability. 1 The trial court granted the motion for summary adjudication, ruling that “implanted medical devices, such as the mammary prostheses involved in these coordinated cases, are exempt from strict ‘design defect’ liability as a matter of law. . . .”
The concept of strict liability imposes legal responsibility for injury upon the manufacturer of a product without proof of negligence based upon a determination that the product is: (1) defectively manufactured, (2) defectively designed, or (3) distributed without adequate warnings as to its potential for harm.
2
Brown
v.
Superior Court, supra,
Petitioners first contend that a condition to avoidance of strict liability is that the product has been marketed with adequate warnings of its potential risks. It is true that
pre-Brown
authorities lumped together the concepts of proper manufacture, lack of design defect and adequate warning.
Brown,
however, very cleаrly distinguished among the three concepts of fault. Liability for defective design could not be premised on strict liability, but would require proof of negligence.
(Brown
v.
Superior Court, supra,
A second contention of the petitioners is that exemption from exposure to strict liability for design defects is available only for. drug products
*1394
which have been tested and approved by the United States Food and Drug Administration (hereafter FDA). Petitioners assert that breast implants not only have not been so tested and approved, but in fact in recent years have been disapproved by the FDA. Petitioners base their argument upon a portion of footnote 12 on page 1069 of
Brown
v.
Superior Court, supra,
44 Cal.3d, which states: “It should also be noted that the consumers of prescription drugs are afforded greater protection against defects than consumers of other рroducts, since ‘the drug industry is closely regulated by the Food and Drug Administration, which actively controls the testing and manufacture of drugs and the method by which they are marketed, including the contents of warning labels.’ ” (Quoting from
Sindell
v.
Abbott Laboratories
(1980)
Conceivably the most potentially persuasive of petitioners’ arguments is that based on the definitional holding of Brown. Brown establishes a rule for prescription drugs; this rule does not control the issue of strict *1395 liability for breast implants, it is contended, because the breast implant is a medical device and not a “drug.” Related to this argument is the corollary contention that the exemption from strict liability should be available only for worthy prescriptions which save lives or promote health, and should be denied for medical applications which are merely cosmetic.
We are able to dеal with these contentions summarily, since they have been completely addressed in
Hufft
v.
Horowitz, supra,
We also reject, as did the
Hufft
court, the contention that the aspect of cosmetic improvement somehow eliminates breast implants from exemption from strict liability. The
Hufft
court summarily stated in a footnote that “[i]t is irrelevant to our analysis whether a patient has obtained a penile prosthesis for procreation, alleviation of an impotency problem or cosmetic purposes.” (
The last issue deserving discussion relates to the procedure by which the trial court’s order was reached. The motion resulting in the order wаs for summary adjudication, and under well-established rules the granting of it depends upon a determination that no triable issue of fact exists as to the cause of action in question. Our review of the granting of a motion for summary adjudication is independent, requiring us to examine the moving and responding papers, using the same analysis as the trial court.
(Jackson
v.
Ryder Truck Rental, Inc.
(1993)
A foundational question is: Just what did the defendants in this case have to establish to warrant summary relief? In
Kearl
v.
Lederle Laboratories
(1985)
The Brown court specifically rejected this case-by-case approach to a analysis. The Kearl procedure was found to provide no assurance to drug manufacturers that they would be protected from strict liability, thus undermining the objective of fostering research and production of new drugs. (Brown v. Superior Court, supra, 44 Cal.3d at pp. 1067-1068.) Also, the Brown court noted that the Kearl approach would permit inconsistency of determinations as to eligibility оf a drug for immunity from strict liability — not only inconsistency among courts but possible inconsistency in the same case in rulings by the judge and jury on parallel issues. at p. 1068.)
The conclusion of the
Brown
court, therefore, was that the mini-trial procedure suggested by
Kearl
was erroneous, and instead that uniformity in providing immunity from strict liability for design defects should be achieved by affording it to all “prescriptiоn drugs.” (
In order to find that breast implants, as a category, should be afforded the same protection from strict liability design defect exposure as prescription
*1397
drugs, we are required to conclude that implants, including we would presume, all medically implanted prostheses, benefit from the same protective strictures as do prescription drugs. It is curious that nowhere in the legal authorities which guide us is there a definition of “prescription drug.” Apparently there is no neеd for precision in this regard because all of the drugs considered in
Brown
and following cases were stipulated, or assumed to be, available only by “prescription.” The conclusion is that the imposition of the condition of “prescription” provides insulation between the manufacturer and the user such as to warrant elimination of the consumer protections afforded by strict liability. We find the same to be true of medical prostheses, at least as to those in the category of devices available only through the services of a physician. Since the device is provided directly by the physician, it is not strictly speaking within the category of a “prescribed” рroduct. As remarked by the
Hufft
court, however, the considerations leading to protection of prescription drugs “apply with equal force to implanted medical devices [since they are] available only through a physician . . . .”
(Hufft
v.
Horowitz, supra,
We therefore follow the lead of the Hufft and Plenger courts, and conclude that the entire category of medical implants available only by rеsort to the services of a physician are immune from design defect strict liability. There is no contention anywhere in the record of these coordinated cases that any of the breast implants, the subject of the various claims, were obtained other than by the services of a physician. Therefore, the determination that strict liability based on design defect is unavailable for all such claims is one to be made as a matter of law, and without the benefit of any factfinding, except for the sole factual determination, made without dispute in these cases, that the breast implants are all physician-directed and physician-applied. Summary adjudication was therefore appropriate.
The petition for writ of mandate is denied.
The progenitor of this language was comment k to Restatement Second of Torts section 402A (comment k), which referred to products deserving of market exposure exempt from strict liability potential even though they involved an unavoidably high degree of risk, stating that “[s]uch a product, properly prepared, and accompanied by proper directions and warning, is not defective, nor is it
unreasonably
dangerous.” Subsequent cases similarly joined the concepts of product manufacture, product design and adequate warning so as to suggest imposition of strict liability upon a determination of failure of performanсe of any of the three tests. (See, e.g.,
Toole
v.
Richardson-Merrell, Inc.
(1967)
Notes
The complaint’s count for “strict liability” identifies as grounds therefor that the product was “defective and unreasonably dangerous in design and manufacture,” and that there were inadequate warnings concerning the risks of use of the product. In trial court proceedings an issue was raised as to whether the product design defect allegation could be severed for purposes of summary adjudication from the defective manufаcture and the failure to warn allegations, thus treating it as a separate cause of action (the three claims having been pled as one). The trial court ruled that although pled as a single cause of action the allegations of the count embraced three distinct and separate theories of liability, and henсe could be addressed individually notwithstanding the combined pleading, and that such ruling did not violate the purpose and intent of Code of Civil Procedure section 437c, subdivision (f) (which provides that “[a] motion for summary adjudication shall be granted only if it completely disposes of a cause of action. . . .”). This part of the court’s ruling is not challénged- by thе writ petition,and hence we accept it as correct.
great deal has been written about “strict liability” and its evolution in California. Rather than repeat or even attempt summary of this material, we simply reference
Brown
v.
Superior Court
(1988)
Hufft was followed by
Plenger
v.
Alza Corp.
(1992)
