Lead Opinion
OPINION
Joyce Baxter, as personal representative of the estate of decedent Wayne K. Baxter, brought a wrongful death action against Fausto and Eugene Noce d/b/a La Fiesta Night Club and Bar, Shady Grove Truck Stop and Cafe, Inc., Johnny Eddy, and Ted Paulos, alleging that the respondents sold or served alcoholic beverages to Baxter and Robert Reynolds, Jr. when it was reasonably apparent that they were intoxicated. Baxter and Reynolds, both adults, died as a result of an accident involving the vehicle that Reynolds drove and in which Baxter was a passenger. A few hours prior to their deaths, Baxter and Reynolds together had consumed alcoholic beverages at both of the named establishments. Baxter’s blood alcohol content was tested at .21 percent before he died.
The Noces and La Fiesta moved for judgment on the pleadings, and Eddy, Paulos, and Shady Grove moved for summary judgment. The trial court denied all motions, noting that Baxter was a third party in relation to the respondents, that his death might have been the proximate result of Reynolds’s operating a motor vehicle while intoxicated, and that the respondents might have served alcohol illegally to Reynolds. The respondents’ applications for interlocutory appeal were granted and consolidated, and the court of appeals reversed the trial court.
Relying on Trujillo v. Trujillo,
The issue presented on interlocutory appeal was whether an intoxicated passenger of a vehicle has a cause of action against the taverns that served alcohol, allegedly in violation of NMSA 1978, Section 41-11-1 (Supp.1983), to both the passenger and the driver of a vehicle that subsequently was involved in an accident. In Lopez v. Maez,
The Lopez analysis was applied in MRC Properties, Inc. v. Gries,
In Trujillo, however, the intermediate court concluded that the estate of an intoxicated adult patron had no cause of action for wrongful death against a tavernkeeper for injuries decedent sustained, not as a third party injured by an intoxicated patron, but as a result of his own intoxication. It held that the tavernkeeper owed no direct duty to the intoxicated patron because NMSA 1978, Section 60-7A-16 (Repl.Pamp.1981), was aimed at “ ‘a broader public policy for the protection of the public at large,’ ” not to an adult who “voluntarily created the vulnerability that is the problem.”
Statutorily, a cause of action now exists under NMSA 1978, Section 41-11-1(B) (Repl.Pamp.1986), against a tavernkeeper and in favor of a person “who was sold or served alcoholic beverages while intoxicated” when that person shows that the tavernkeeper “acted with gross negligence or reckless disregard” for his safety, and if:
(1) [the licensee] sold or served alcohol to a person who was intoxicated;
(2) it was reasonably apparent to the licensee that the person buying or apparently receiving service of alcoholic beverages was intoxicated; and
(3) the licensee knew from the circumstances that the person buying or receiving service of alcoholic beverages was intoxicated.
Section 41-11-1(A). Hence, in Subsection B, the legislature recognized and imposed a duty on tavernkeepers to exercise care in serving alcohol to their patrons that did not exist at common law and was not as broadly established in Lopez. Trujillo,
Because Baxter would have had no direct cause of action as a patron, the estate must establish that Baxter was an injured third party in relation to the respondents before it can recover under Lopez and the original Section 41-11-1. The enactment of Section 41-11-1 in 1983 did not create or abolish a cause of action; instead it narrowed the liability of tavernkeepers, exempted social hosts from liability, and set out the elements which would constitute a breach of the duty established in Lopez. See Trujillo,
The respondents’ position is, however, that although public policy supports dram-shop liability, it also favors limiting the liability of tavernkeepers, and they urge that liability should be denied when the claimant wilfully and voluntarily has participated to any material degree in the drinking which led to the intoxication of the driver. Some jurisdictions have recognized the defense of complicity, which bars recovery under a dramshop act to anyone who actively contributes to, procures, participates in, or encourages the intoxication of the inebriated driver. See, e.g., Kindt v. Kauffman,
We are concerned, however, that (as Baxter claims) the court of appeals overlooked the impact of our adoption of comparative negligence when it held as a matter of law that Baxter’s voluntary intoxication was a complete bar to recovery. The respondents counter by asserting that comparative negligence is irrelevant because the court of appeals determined that Baxter’s own intoxication was the proximate cause of his death and that, therefore, the respondents were not negligent. That is an unpersuasive assertion because it relies on a fact-finding determination of only decedent’s negligence (a function ordinarily beyond an appellate court’s purview) without even considering whether a duty had been breached by defendants or any of them. Moreover, in a comparative negligence jurisdiction, a plaintiff’s negligent conduct might not bar his recovery completely, but would serve only to reduce the amount of his recovery. Scott v. Rizzo,
A duty is a legal obligation to conform to a certain standard of conduct to reduce the risk of harm to an individual or class of persons; and conduct which unreasonably amplifies the risk of harm to persons to whom a duty is owed constitutes a breach of that duty. See Lopez,
In adopting the doctrine of comparative negligence, we supplanted the all-or-nothing bar of contributory negligence and subjected the doctrine of assumption of risk and other concepts based on the claimant’s negligence to a comparative negligence analysis. See Scott,
Although some of the jurisdictions cited recognize that the doctrine of complicity for all practical purposes is identical to contributory negligence, they consider complicity a complete bar to recovery despite the existence of comparative negligence statutes. See, e.g., Herrly,
Complicity, while superficially dissimilar, is only a hybrid form of contributory negligence and is identical to it in application. Because contributory negligence no longer acts to absolutely extinguish a plaintiff’s right of recovery in New Mexico, we do not apply the doctrine of complicity to bar completely an intoxicated person’s recovery under our dramshop act. Dramshop liability in New Mexico initially was judicially established, see Lopez,
We hold that Baxter is entitled to a trial on the merits to determine the relative degree of fault, if any, of the parties to this litigation. The court of appeals mistakenly concluded that, as a matter of law, Baxter was not entitled to recover, thereby effectively but inappropriately overruling our pronouncement in Scott v. Rizzo,
For the reasons stated, we remand this matter to the district court for further proceedings. Accordingly, the court of appeals is reversed, and the trial court is AFFIRMED.
Dissenting Opinion
dissenting.
I respectfully dissent from the majority’s opinion that this case is governed by principles of comparative negligence.
In Lopez v. Maez,
As a result of the decisional law, the Legislature in 1983 enacted Section 41-11-1, to limit the scope of dramshop liability in New Mexico as the majority correctly points out. But no language therein provides a cause of action to the intoxicated patron against the tavernkeeper.
The question thus becomes whether an intoxicated passenger has a cause of action or is likewise precluded. Courts that permit such an action have based it, as the majority has, on theories of comparative negligence. I do not agree that this is a proper ground on which to assess liability. Instead I agree with those jurisdictions that have resolved this issue under a complicity theory. See, e.g., Martin v. Heddinger,
Complicity as a defense in tort actions involving intoxication is based on. the plaintiff’s involvement in the claimed wrong. It operates as a complete bar to recovery despite the existence of comparative negligence statutes in the jurisdiction. It requires that a person contribute to, participate in or encourage the intoxication of the driver. This person must be an active participant, e.g., purchasing “rounds” of drinks, rather than one who merely accompanies and drinks with the intoxicated person. An active participant is thus a noninnocent person who is not within the class of persons intended by the Legislature to be protected by the dramshop act and cannot be entitled to recovery against tavernkeepers. This analysis is consistent with our policy underlying the dramshop act to protect innocent third parties injured as a result of a driver’s intoxication. See Trujillo,
Contrary to the majority’s conclusion, complicity is not identical to contributory negligence although there is a certain relationship between the two. Contributory negligence is “conduct on the part of plaintiff, contributing as a legal cause to the harm he has suffered, which falls below the standard to which he is required to conform for his own protection.” Prosser & Keeton on Torts § 65 (5th ed. 1984). Complicity on the other hand connotes involvement in the claimed wrong which is a knowing and voluntary participation in guilt. See Black’s Law Dictionary 16, 258 (5th ed. 1979). Application of the complicity defense completely bars a person who actively participates in the drinking activities from recovery against the tavern owner. Application of comparative fault principles assesses to the patron and a noninnocent participant a portion of each of their fault while at the same time assessing fault to the tavern owner for continuing to serve an intoxicated person. This would result in a recovery by undeserving plaintiffs who have voluntarily participated in a wrongdoing. Certainly, this cannot be the intent of our dramshop act.
Finally, I am unable to agree with the majority’s sweeping statement that if plaintiff has well pleaded the elements of Section 41-11-1, plaintiff has stated a cause of action that will withstand a motion for judgment on the pleadings. Clearly, this usurps the trial court’s discretionary function and does not comply with the language of the rule. Any party may move for judgment on the pleadings only “after the pleadings are closed.” SCRA 1986, 1-012(C) (emphasis added). Plaintiff’s filing of a complaint that sets forth the elements of Section 41-11-1 does not close the pleadings. A defendant must have the opportunity to file responsive pleadings he' or she deems relevant before a judgment on the pleadings can be rendered by the trial court. It is only after both sides have filed their pleadings that the trial court can resolve the issues on those pleadings in favor of either party. A trial judge should not be restricted in this decision making process as the majority opinion suggests.
Accordingly, I would remand this case to the trial court to determine if Baxter was a noninnocent party.
