delivered the opinion of the court:
Plaintiffs, 34 Illinois public school districts are required by the Asbestos Abatement Act (Act) (111. Rev. Stat. 1985, ch. 122, par. 1401 et seq.) to replace all asbestos-containing products in their buildings, for which they may receive some reimbursement from the State. Plaintiffs seek full reimbursement and additional damages from the 78 named defendants, which either mined, manufactured, installed or sold the product.
In a consolidated action, the trial court dismissed plaintiffs’ complaints with prejudice and without leave to amend. Plaintiffs appeal from the dismissal of the complaints which, with some duplication, stated numerous causes of action, including various allegations regarding strict liability, .negligence, restitution, a private right of action under the Asbestos Abatement Act, consumer fraud, breach of warranty, negligent misrepresentation, fraudulent misrepresentation, and concert of action. Plaintiffs also contend that the trial court erred in finding the action was barred by the statute of limitations and erred in denying their motion to amend the pleadings.
When reviewing a motion to dismiss, all well-pleaded facts must be taken as true and all reasonable inferences are drawn in favor of the opponent. (United Air Lines, Inc. v. CEI Industries of Illinois, Inc. (1986),
We believe that the trial court misconceived the nature of the action. The error reveals itself most clearly in the strict liability and negligence counts, but also undermines the other dismissal of the actions. Plaintiffs allege both strict liability and negligence in tort. In Moorman Manufacturing Co. v. National Tank Co. (1982),
The trial court dismissed these causes of action on the basis that plaintiffs failed to allege any actual property damage or personal injury, and thus alleged only economic loss, which is not recoverable in tort, and that the buildings in question were not considered “products” under a products liability theory.
In Moorman, the court held that under a strict liability in tort theory recovery must be denied for solely economic losses. (Accord East River Steamship Corp. v. Transamerican Delavel Inc. (1986),
Economic loss is defined as damages for inadequate value, costs of repair and replacement of the product, or consequent loss of profits. The diminution in value occurs because the product is inferior in quality and does not work for the general purpose for which it was manufactured and sold. Moorman,
Generally, economic losses alone, with no allegation of other damage, cannot support a tort cause of action. A safety-insurance policy underlines tort law. (Pennsylvania Glass Sand Corp. v. Caterpillar Tractor Co. (3d Cir. 1981),
No single test has been developed to easily identify in any given tort case the demarcation between nonrecoverable economic loss and recoverable personal injury or property damages. (See Kishwaukee Community Health Services Center v. Hospital Building & Equipment Co. (N.D. Ill. 1986),
The nature of the defect focuses on the product’s condition before the actual injury occurred. The defect alleged here concerns the dangerous nature of the product. It is not alleged that the asbestos products failed to perform their function, but rather that they posed a grave risk of personal injury. (City of Manchester v. National Gypsum Co. (D.R.I. 1986),
The complaints in the present case allege that the school buildings contain asbestos products manufactured, mined, installed, or sold by defendants. In regard to the nature of the defect, they allege further:
“Asbestos in the school buildings has become, is becoming and/or will become separated from some or all of the asbestos products and also airborne; and has been, is and/or will be inhaled or absorbed by and remain in human beings and thereby cause serious disease and/or illness.
As a direct result of the presence of asbestos materials in plaintiff’s eddcational facilities, students, school personnel and other persons have been or may in the future be exposed to asbestos and asbestos fibers.”
Plaintiffs here never claimed they received poor asbestos products for their money, or that their contractual expectations were disappointed. Plaintiffs never claimed the asbestos products failed to perform satisfactorily as fireproofing or insulation material. The asbestos products may have adequately insulated, resisted fire, and muffled sound. The asbestos products might have been perfectly suitable for the purpose for which they were bought and installed within school buildings, but only if the children and teachers wore protective equipment to prevent the asbestos fibers from entering their bodies. See Schooshanian v. Wagner (Alaska 1983),
We conclude that the complaint contains allegations which adequately demonstrate that the first factor, the nature of the defect, is not a qualitative risk, but is a health hazard which is compensable in tort law. Cf. Morrow v. L. A. Goldschmidt Associates, Inc. (1986),
We believe that the nature of the defect here indicates the loss is not solely economic, but instead extends to cover nonqualitative, hazardous products.
The “type of risk” involved is the second element which the Moorman court listed as a factor indicating whether the complaint alleges only economic loss. Here, the risk consists of the danger to the health of the buildings’ occupants. The interests which plaintiffs allege are entitled to protection concern safety and freedom from physical harm. The trial court found that plaintiffs failed to allege any personal injury or property damage, other than to the asbestos itself. The basis of much of the trial court’s decision, and of defendants’ eontentions before this court, rest upon this issue. We find, however, that the complaints adequately allege actual damage. The injuries alleged include:
“The existence of asbestos materials in educational facilities has presented and continues to present a danger to the health and welfare of students, school personnel and other persons using plaintiff’s education facilities.”
“[Fibers] have been *** inhaled or absorbed by school children, thereby causing disease or illness.”
“Asbestos inhaled by and remaining in human beings causes disease and/or illness.”
“Research indicates that physical effects resulting from exposure to asbestos materials may not manifest themselves for as long as forty years.”
A review of the well-pleaded facts and reasonable inferences which may be drawn therefrom indicates that the incorporation of the asbestos physically altered the buildings in a manner which makes the building harmful to their occupants and that the physical damage to the property may be measured by the cost of repairing the buildings to make them safe. Plaintiffs rely upon the duty which society imposes on defendants to manufacture and sell a safe product. Plaintiffs are not disappointed purchasers; they are purchasers threatened by the product.
The injury, therefore, results from the installation of asbestos-containing products which contaminated the school buildings with asbestos fibers, which in turn endanger the health of the schools’ occupants. The product threatens a substantial and unreasonable risk of harm by releasing toxic substances into the environment, which causes damage to the property owner. This clearly is not the type of risk that is normally allocated between the parties to a contract.
The fact that the buildings’ occupants have not yet manifested symptoms of an asbestos-related illness does not mandate a finding of no actual injury. Such diseases may not develop for decades after the exposure, and it is enough that the product threatens an unreasonable risk of harm. (City of Greenville v. W. R. Grace & Co. (4th Cir. 1987),
For example, in City of Greenville v. W. R. Grace & Co. (applying South Carolina law), the court affirmed a judgment entered on a jury verdict awarding $8.4 million to the plaintiff city, and against the defendant asbestos manufacturers, for damage to the city hall due to the asbestos-containing products which had been installed in the building. The court rejected defendant’s argument that there was insufficient evidence of serious risk because no occupant of the city hall had yet developed an asbestos-related disease. The court found that defendant should not be allowed to escape liability simply because there was not yet a documented personal injury. There was sufficient evidence from which a jury could find that the likelihood and potential seriousness of the injury which could result from the asbestos rendered the asbestos-containing fireproof material unreasonably dangerous and defective. The court found that, at most, defendant’s evidence created a jury question as to the level of contamination and the degree of risk to which the building occupants were exposed.
In City of Manchester v. National Gypsum Co. (D.R.I. 1986),
In Town of Hooksett School District v. W. R. Grace & Co. (D.N.H. 1984),
In Shooshanian v. Wagner (Alaska 1983),
In City of New York v. Keene Corp. (1986),
The trial court in the present case premised its finding of insufficient allegations of damage on its belief that asbestos poses little risk in the schools:
“[Pjlaintiffs have presented nothing whatsoever, nor has independent research disclosed anything, to establish the proposition that low-level asbestos exposure in a non-occupational setting is a ‘defect likely to cause harm’ or that it ‘poses any risk of physical harm.’ It should not be assumed that simply because the asbestos threat is serious and real in one setting that it is equally serious and real in all settings. The risk of the asbestos worker cannot be extrapolated to those regularly or infrequently at the school site.”
The trial court characterized the Illinois Asbestos Abatement Act (111. Rev. Stat. 1985, ch. 122, par. 1401 et seq.) as a corrective action based on “an abundance of caution” taken “before there is any documentation that these products cause injury by reason of proximity.”
Initially we note that the legislative history of the Act contains numerous references to the documentation that the asbestos-containing products caused injuries in the school. For example, one legislator stated:
“This bill arose out of a study *** regarding the dangers of asbestos in buildings. *** [W]e held a hearing that I think lasted in excess of four hours and had fifteen some witnesses and everyone there testified as to the health hazard of friable asbestos. This bill is an outgrowth of that hearing and the wealth of material that we have received as a result thereof.” 83d 111. Gen. Assem., Senate Proceedings, May 22, 1984, at 106-07 (statements of Senator Berman).
Another legislator stated:
“To say that asbestos is a health hazard is an understatement. I think we’re all familiar with the horrendous consequences that asbestos can have in the workplace, and it is even more sensitive when we’re talking about children being exposed to asbestos. We have seen instances where children being exposed to asbestos in the schools have been incapacitated for life. In fact, we’ve had documentation where at least one child has actually died from attending a public school in the south that had asbes- . tos [in it].” 83d 111. Gen. Assem. House Proceedings, June 25, 1984, at 94 (statements of Representative Levin).
Furthermore, ascertaining the danger point is critical to proof. (In re School Asbestos Litigation (3d Cir. 1986),
The trial court here also concluded that “the nature and kind of damages alleged by the plaintiffs *** is precisely the kind of economic loss rejected by Moorman.” Such reasoning ignores the often-cited principle in this area of law that the items for which damages are sought, e.g., repair and replacement costs, are not determinative. (Moorman,
In Pennsylvania Glass Sand Corp. v. Caterpillar Tractor Co., cited in Moorman, the court noted that the items most frequently sought as damages in this type of case are the costs of repair or replacement. (Accord Sckooskanian v. Wagner (Alaska 1983),
The third factor which the Moorman court found might distinguish economic losses from tort damages is the manner in which the injury arose.
In finding only economic losses here, the trial court placed great emphasis on the fact that no “sudden and calamitous” event occurred. However, there is nothing magical about that phrase. (Moorman Manufacturing Co. v. National Tank Co.,
The critical element of a strict products liability claim, therefore, is not whether a sudden and calamitous event occurred. Such a loss is not an all-inclusive test for strict liability loss. (Shooshanian v. Wagner (Alaska 1983),
In Moorman, the court found that a crack which developed in a storage tank was not the type of sudden and dangerous occurrence best served by the policy of tort law that the manufacturer should bear the risk of hazardous products. (Moorman,
In Shooshanian v. Wagner, the court permitted a tort claim to stand, notwithstanding the absence of a sudden and calamitous event where urea formaldehyde foam insulation gave off noxious fumes causing allergic reactions and a health hazard, which drove away their customers. The court emphasized that the defective product had physically altered the building such that it was harmful to its occupants. Shooshanian,
As we have discussed, we find the type of hazardous product claim presented here to be ideally suited for resolution within the tort system. The trial court viewed plaintiffs’ arguments as an attempt to have the court see the products as inherently dangerous. The trial court reasoned however, that “plaintiffs’ own conduct makes that conclusion suspect. The plaintiffs themselves have not seen fit to remove the products from their school for over 20 years ***.” The fact that a property owner may have chosen “to live with it” is relevant only to assumption of risk and comparative fault, neither of which is at issue on appeal here. Vaughn v. General Motors Corp.,
The trial court also found that no strict liability suit could be alleged because no “product” was involved. Generally, buildings themselves are not products for the purpose of strict liability in tort. (Trent v. Brasch Manufacturing Co. (1985),
For these reasons, we hold that plaintiffs have sufficiently alleged the requisite physical damage for strict liability in tort and for negligence. The complaints allege sufficient facts to withstand the motion to dismiss, and the trial court erred in dismissing these causes of action on the basis that they alleged solely economic losses.
Plaintiffs next allege a right of restitution. Section 115 of the Restatement of Restitution (Restatement of Restitution §115 (1937)) recites the emergency assistance doctrine, under which restitution may be had where the things supplied were immediately necessary for health or similar concerns and plaintiffs undertook defendants’ duty to correct. The trial court erred in ignoring section 115, and in relying instead on section 106 of the Restatement, which states that a party is not entitled to contribution where it was under a duty to make the improvement. See Wyandotte Transportation Co. v. United States (1967),
Plaintiffs here sufficiently alleged the emergent nature of the removal and the hazardous nature of the asbestos products. Plaintiffs adequately stated a cause of action in restitution, and the trial court erred in dismissing that count. See Arthur Rubloff & Co. v. Drovers National Bank (1980),
Plaintiffs also allege a right of action under the Consumer Fraud and Deceptive Business Practices Act (Ill. Rev. Stat. 1985, ch. 1211/2, par. 261 et seq.). That act confers standing on school districts as “persons” and “corporations.” (Ill. Rev. Stat. 1985, ch. 121V2, par. 261(c).) Moreover, school districts as corporations have the legal capacity to sue and be sued. (111. Const. 1970, art. VII, §8; 111. Rev. Stat. 1985, ch. 122, par. 10 — 2.) The trial court erred in holding that plaintiffs had no standing. See also Ill. Rev. Stat. 1985, ch. 1, par. 1006 (“persons” includes bodies politic and corporate); Board of Education v. County of Woodford (1974),
Plaintiffs also charged defendant with breach of warranty. Defendants rely upon Szajna v. General Motors Corp. (1986),
Plaintiffs further charged defendants with fraudulent misrepresentation. The trial court held that plaintiffs failed to allege any details, and merely asserted that defendants knew of the hazard and failed to tell plaintiffs. Conspiracies by their very nature do not allow the allegation of specific details of defendants’ acts. Thus, the exact role of each defendant cannot always be spelled out in the complaint. People ex rel. Scott v. College Hills Corp. (1982),
Plaintiffs here stated that defendants represented that the products were safe when they knew or ought to have known the untruth of this representation. Defendants obscured data on the relationship between the asbestos exposure and disease since the mid-1930’s; conspired to deprive plaintiffs of this data; induced plaintiffs to purchase and use the products; deprived plaintiffs of the information necessary to make a knowledgeable choice about purchasing defendants’ products; and were members of an industry association that discouraged research and publication concerning the relationship between the asbestos and cancer starting in the 1950’s. We note that fraud may include breach of duty by silence. People ex rel. Chicago Bar Association v. Gilmore (1931),
The trial court found that the allegations that the industry knew was not specific enough, as it lacked a date. The allegations regarding defendants’ knowledge of the dangers of asbestos in the mid-1930’s sufficiently indicate the approximate date when representations were made. The trial court also objected to the absence of an allegation regarding intent to deceive. The complaints sufficiently allege, however, that defendants intended to deprive the public and plaintiffs of the medical and scientific data.
The trial court further held that there was no allegation of any damage which is proximately caused by the purported fraudulent misrepresentation, and that the damages alleged were too remote and failed to cite any loss to plaintiffs by which to measure damages. We have already found that actual damages were alleged and that the measurement of damages by repair and replacement costs is proper.
We conclude that the trial court erred in dismissing the cause of action for fraudulent misrepresentation.
Plaintiffs also charge negligent misrepresentation. The trial court found that plaintiffs failed to allege that defendants are in the business of supplying information. The tort of negligent misrepresentation does not require that defendants be in the business of supplying information. (See Rozny v. Marnul (1969),
Next, the trial court found that plaintiffs were not immune from a statute of limitations because they are not protecting “public rights.” The court held that the six counts with statute of limitation ramifications were barred as untimely.
A statute of limitations may not be asserted as a defense against a government unit in actions asserting public rights. (City of Shelbyville v. Shelbyville Restorium, Inc. (1983),
We note that public interest is also expressed in the Asbestos Abatement Act (Ill. Rev. Stat. 1985, ch. 122, par. 1402(d)): “[I]n view of the fact that the State of Illinois has compulsory attendance laws for children of school age and these children must be educated in a safe and healthy environment, the presence and condition of asbestos in the schools is of special concern to the General Assembly.”
Plaintiffs also allege a statutory duty of abatement which confers upon them a private right of action. The trial court found that the Asbestos Abatement Act (Ill. Rev. Stat. 1985, ch. 122, par. 1401 et seq.) does not impose a duty on defendants and does not confer a private right on the school districts. Under Sawyer Realty Group, Inc. v. Jarvis Corp. (1982),
We also find that the trial court properly dismissed the concert of action count. Plaintiffs failed to adequately plead the elements of this theory. See Schmidt v. Archer Iron Works, Inc. (1970),
For all the foregoing reasons, the judgment of the circuit court of Cook County is affirmed as to the dismissal of the concert of action count and the holding that no private right of action exists under the Asbestos Abatement Act. The judgment is reversed as to the dismissal of all other counts, and the cause is remanded for further proceedings consistent with the holdings contained herein.
Affirmed in part; reversed in part and remanded.
WHITE, P.J., and FREEMAN, J., concur.
