Anthony A. BARBER, et al., at No. 16 Sylvester Connor, et al., at No. 17 Robert Fortner, et al., at No. 18 Lois Yentzer, Administratrix of the Estate of Ronald Yentzer, Deceased at No. 19 James A. Rinamon and Dorothy Rinamon at No. 20 v. PITTSBURGH CORNING CORPORATION, et al., at Nos. 16, 17 and 18 Pittsburgh Corning Corporation, PPG Industries, Inc., Dr. Lee B. Grant (Individually and as Medical Director of PPG Industries, Inc.), Charter Consolidated, Ltd., Charter Consolidated Investments, Ltd., Cape Industries, Ltd., Cape Asbestos Fibres, Ltd., and North American Asbestos Corporation at No. 19 Pittsburgh Corning Corporation, PPG Industries, Inc., Charter Consolidated, Ltd., Charter Consolidated Investments, Ltd., Cape Industries, Ltd., and Cape Asbestos Fibres, Ltd., at No. 20 v. COMMONWEALTH of Pennsylvania and American Flint Glass Workers Union, AFL-CIO at Nos. 16, 17 and 18. Appeals of PITTSBURGH CORNING CORPORATION at Nos. 16, 17, 18, 19 and 20.
Supreme Court of Pennsylvania
Argued Sept. 30, 1988. Decided March 3, 1989.
555 A.2d 766
Martin M. Krimsky, Krimsky, Levy, Angstreich, Finney, Mann & Burkett, Philadelphia, for Pennsylvania AFL-CIO, amicus curiae.
Before NIX, C.J., and LARSEN, FLAHERTY, MCDERMOTT, ZAPPALA, PAPADAKOS and STOUT, JJ.
OPINION
NIX, Chief Justice.
This appeal presents the question of whether there exists an exception to the exclusivity provision of the Occupational Disease Act (“ODA“)1 for injuries to employees caused by the alleged intentional misconduct of their employer. The appellees, the plaintiffs below, instituted this action against their former and/or current employer2 appellant Pittsburgh Corning Corporation (“PCC” or “Pittsburgh Corning“) and its parent corporations to recover damages for asbestos related diseases they allegedly contracted while employed at PCC‘s Port Allegheny Plant.
The initial action, Barber, et al. v. PCC, et al. was instituted in the Court of Common Pleas of Allegheny County in August, 1979. That action was subsequently consolidated with two other cases for trial and discovery purposes, Connor, et al. v. PCC, et al., filed in June 1981, and Fortner, et al. v. PCC, et al., filed August 1981. Later actions were also brought on behalf of other additional plaintiffs in Rinamon on October 10, 1984 and Yentzer on March 8, 1985.
Barber, Connor and Fortner represented approximately seventy-five former and current employees, and their spouses, who claimed they were injured and damaged as a result of exposure to asbestos dust during their employment at the Port Allegheny Plant. Pittsburgh Corning, in its New Matter, pleaded the exclusivity provisions of the ODA and
By orders and opinion dated July 23, 1987, a panel of the Superior Court reversed the trial court‘s order for summary judgment and remanded the cases for further proceedings. The three-member panel of the Superior Court4 concluded that the legislature could have never intended to immunize an employer from liability for harm caused by his “reprehensible intentional wrongdoing [which was] reasonably calculated to lead to severe personal injury or death of employees.”5
We granted allocatur to consider whether the Occupational Disease Act bars common law recovery for an injury to an employee alleged to have been intentionally inflicted by an employer. We were faced with the same issue in Poyser v. Newman & Co., Inc., 514 Pa. 32, 522 A.2d 548 (1987), with respect to the WCA. There we held that the WCA does not permit a common law cause of action for injuries caused by the intentional tort of the employer. The Superior Court went to great lengths in a footnote to distinguish this Court‘s decision in Poyser.6 For the reasons that follow we hold that our decision in Poyser is dispositive of the issue presently before this Court.
Appellees contend that PCC knew of the danger of asbestos and yet deliberately did nothing to protect the workers from the danger. Appellees also allege that PCC allowed the levels of asbestos dust in the air at the plant to substantially exceed the safe levels recommended by experts and governmental standards. Appellees further contend that PCC deliberately refused to implement controls recommended by its own engineering team which would have reduced the airborne levels of asbestos dust. It is also alleged that PCC knowingly decided not to warn employees of the health hazard presented by exposure to high levels of asbestos dust.
Appellants admit, for purposes of this appeal, that its employees were exposed to asbestos and that it knew or should have known that exposure to asbestos dust was a health hazard. PCC admits that its safety precautions did not go far enough to protect its workers. Furthermore Pittsburgh Corning agrees that it did not adequately warn its employees of the risks involved and that it did represent to its plant employees that work area conditions were safe.
Appellees argue that PCC deliberately subjected its employees to unsafe levels of asbestos dust which it knew to a substantial certainty would result in harm to the employees. They argue that this conduct amounts to an intentional tort. We find that, like the WCA in Poyser, the ODA provides the exclusive remedy for the injuries alleged herein. In Poyser this Court held that the exclusivity provision,
The appellant‘s argument is an interesting one; but it is one that must be resolved by the General Assembly, not this Court. What he is asking us to do is to engraft upon section 303(a) of the Act an exception the legislature did not see fit to put there.
The same reasoning applies in the instant action. The ODA and the WCA are similar statutes, designed to provide certain compensation for employees injured in the course of their employment.
Although the language varies slightly, the exclusive remedy provisions of both the WCA and the ODA are very similar. See Greer v. United States Steel Corporation, 475 Pa. 448, 380 A.2d 1221 (1977).
(a) The liability of an employer under this act shall be exclusive and in place of any and all other liability to such employes, his legal representative, husband or wife, parents, dependents, next of kin or anyone otherwise entitled to damages in any action at law or otherwise on account of any injury or death as defined in section 301(c)(1) and (2) or occupational disease as defined in section 108. (Emphasis added.)
The
Such agreement shall constitute an acceptance of all the provisions of article three of this act, and shall operate as a surrender by the parties thereto of their rights to any form or amount of compensation or damages for any disability or death resulting from occupational
disease, or to any method of determination thereof, other than as provided in article three of this act. Such agreement shall bind the employer and his personal representatives, and the employe, his or her wife, or husband, widow or widower, next of kin, and other dependents. [Emphasis added.]9
The clear language of both of these sections dictates that the only remedy available to an injured employee is statutory. In fact the language of section 303 of the ODA is stronger than that used in the WCA in that it clearly states that acceptance of the Act operates as a forfeiture by the employee of any and all common law causes of action that the injured employee may wish to pursue. While the language used by the legislature varies slightly between the two Acts, the same analysis of the historical underpinnings of the exclusive remedy doctrine applies equally to both. As we stated in Poyser, the exclusivity provisions of these acts are “a version of the historical quid pro quo that employers received in exchange for being subjected to a statutory no-fault system of compensation for worker injuries.” Id. 514 Pa. at 37, 522 A.2d at 550.
In each instance, the employer, in exchange for immunity from lawsuits by injured employees, provides certain and reasonable compensation to injured employees without regard to fault. By the same token, the employee relinquishes his right to sue at common law in exchange for a certain reasonable recovery for injuries he suffers in the course of his employment.10
§ 1305. Liability of fellow employe
If disability or death is compensable under this act, a person shall not be liable to anyone at common law or otherwise on account of such disability or death for any act or omission occurring while such person was in the same employ as the person disabled or killed, except for intentional wrong. 1939, June 21, P.L. 566, § 205, added 1963, Aug. 24, P.L. 1174, § 1. (Emphasis added.)11
The significance of this provision indicates that the legislature, in its grant of immunity to fellow employees, expressly excluded intentional misconduct. However, in the immunity provided for the employer, under section 303 of the ODA no such exception was engrafted. This omission cannot be lightly ignored. It is obvious that the legislature considered the issue of intentional torts and created an exception to the statutory immunity when intentional harm was caused by the co-employee. The legislature‘s failure to provide a similar exclusion to the immunity provided for the employer must be deemed to have been deliberate. See, e.g., Pennsylvania Agricultural Co-op Marketing Association v. Ezra Martin Co., 495 F.Supp. 565 (M.D.Pa.1980); Commonwealth ex rel. Maurer v. Witkin, 344 Pa. 191, 25 A.2d 317 (1942). This conclusion is further bolstered by the exception to the immunity in section 205 of the WCA
In this Court‘s decision in Poyser, supra, we expressly held under similar provisions of the WCA that there was no intentional tort exception to the exclusivity provision of the WCA. That decision, filed in March 1987, apprised the General Assembly that the WCA, as interpreted by this Court, preserved no common law cause of action for intentionally inflicted harm. Now, two years later, the legislature has not acted in any way, nor in any manner which would indicate that that decision did not reflect their intention. Because of the similarity of the two provisions, our action in Poyser was a clear signal that the same result would likely obtain under the ODA when and if the question was raised. The legislature has not attempted, since our decision in Poyser, to indicate that such an interpretation, although proper under the WCA, should not be applicable to the ODA. Since we find no basis in the statutory scheme to make such a distinction, we must accept the view that the legislature intended the same result under the ODA.
The suggestion in Pennsylvania that there is an intentional tort exception to the exclusivity provision of the WCA was first raised in a 1963 decision of the Superior Court. Readinger v. Gottschall, 201 Pa.Super. 134, 191 A.2d 694 (1963). In that decision, the Superior Court held that an employee injured by an employer‘s physical assault could pursue a common law action for trespass, notwithstanding the exclusivity provision. The Readinger court reached its
The viability of any “intentional tort exception” in Pennsylvania has at best been unclear. This Court has never acknowledged or recognized such an exception to the exclusivity provisions of our workmen‘s compensation statute. This Court has addressed the concept of an intentional tort exception just once. See e.g., Evans v. Allentown Portland Cement Co., 433 Pa. 595, 252 A.2d 646 (1969), (a decedent who was killed as a result of his employer‘s alleged willful and unlawful conduct was bound to the provisions of the WCA and was precluded from bringing an action at common law). Any validity to the analysis in Readinger has been lost when the “accident” concept was discarded by the legislature in 1972 and replaced with the “injury” approach. See, e.g., Krawchuk v. Philadelphia Electric Co., 497 Pa. 115, 439 A.2d 627 (1981); Firestone Tire & Rubber Co. v. Workmen‘s Compensation Appeal Board, 40 Pa.Cmwlth. 142, 396 A.2d 902 (1979); R.F. Post, Inc. v. Workmen‘s Compensation, 32 Pa.Cmwlth. 203, 378 A.2d 1030 (1977). Pertinent to this particular inquiry, the concept of accident was never applicable to the ODA. Thus the rationale employed in Readinger would clearly have no foundation in the ODA setting.
As previously stated, the legislative intent to provide a blanket exclusivity for employers under the ODA cannot be
Accordingly, the order of the Superior Court is reversed and the order of the entry of summary judgment is hereby reinstated.
LARSEN, J., files a dissenting opinion in which PAPADAKOS, J., joins.
LARSEN, Justice, dissenting.
I dissent, and in support thereof, I reiterate the position that I set forth in my dissenting opinion in Poyser v. Newman & Co., Inc., 514 Pa. 32, 522 A.2d 548 (1987) (Larsen, J., dissenting). In addition, I rely upon the well-considered opinion of Superior Court Judge Brosky, and I would find, as did Judge Brosky, that Poyser, supra, can be distinguished from the instant action.
Accordingly, I would affirm the orders of Superior Court which reversed the orders of the Court of Common Pleas of Allegheny County granting summary judgment.
PAPADAKOS, J., joins in this dissenting opinion.
Notes
§ 72. Liability of fellow employe
If disability or death is compensable under this act, a person shall not be liable to anyone at common law or otherwise on account of such disability or death for any act or omission occurring while such person was in the same employ as the person disabled or killed except for intentional wrong.
1915, June 2, P.L. 736, art. II, § 205, added 1963, Aug. 24, P.L. 1175, § 1. (Emphasis added.)
The terms “injury” and “personal injury,” as used in this act, shall be construed to mean only violence to the physical structure of the body, and such disease or infection as naturally results therefrom; . . . . The term “injury by an accident in the course of his employment,” as used in this article, shall not include an injury caused by an act of a third person intended to injure the employe because of reasons personal to him, and not directed against him as an employe or because of his employment; but shall include all other injuries sustained while the employe is actually engaged in the furtherance of the business or affairs of the employer, whether upon the employer‘s premises or elsewhere, and shall include all other injuries caused by the condition of the premises or by the operation of the employer‘s business or affairs thereon, sustained by the employe, who, though not so engaged, is injured upon the premises occupied by or under the control of the employer, or upon which the employer‘s business or affairs are being carried on, the employe‘s presence thereon being required by the nature of his employment. 1915, June 2, P.L. 736, art. III, § 301(c); 1937, June 4, P.L. 1552, § 1; 1939, June 21, P.L. 520, § 1. (Emphasis supplied.)
An injury, in order to be compensable under the Act, must have been the result of an employment related accident. See, e.g., Lambing v. Consolidation Coal Co., 161 Pa.Super. 346, 54 A.2d 291 (1947); Ceccato v. Union Collieries Co., 141 Pa.Super. 440, 15 A.2d 401 (1940); Dolinar v. Pittsburgh Terminal Coal Corporation, 140 Pa.Super. 543, 14 A.2d 871 (1940).
