Lead Opinion
The plaintiff, Michael W. Bruzga, administrator of the estate of Richard C. Bruzga, appeals an order of the Superior Court {McGuire, J.) granting the defendants’ motions to dismiss. According to the trial court, the plaintiff failed to allege facts sufficient to show that the defendants fall within a recognized exception to the general rule of nonliability for the suicide of another. We affirm.
The plaintiff alleged the following facts. The decedent, Richard C. Bruzga, was an inmate in the Secure Psychiatric Unit located at the New Hampshire State Prison. Defendant PMR Architects, P.C. n/f/k/a Page/Michaelis Associates (PMR), was responsible for designing the Secure Psychiatric Unit and for supervising its construction. Capitol Fire, Inc. (Capitol Fire) installed the unit’s sprinkler system.
On March 14, 1990, the decedent committed suicide by hanging himself with shoelaces he had attached to the sprinkler nozzle in his cell. The plaintiff alleged that the defendants were fully aware that they were designing and constructing the Secure Psychiatric Unit for mentally disturbed individuals who might attempt to harm themselves or others. The plaintiff sought damages under negligence and strict liability theories.
“On an appeal from an order granting a motion to dismiss, the only issue raised is whether the allegations are reasonably susceptible of a construction that would permit recovery.” Collectramatic, Inc. v. Kentucky Fried Chicken Cory.,
I. Negligence
“As a general rule, negligence actions seeking damages for the suicide of another will not lie because the act of suicide is considered a deliberate, intentional and intervening act which precludes a finding that a given defendant, in fact, is responsible for the harm.” McLaughlin v. Sullivan,
“The first exception recognizes a cause of action where the defendant actually causes the suicide.” Murdock v. City of Keene,
The second exception recognizes a cause of action where the defendant has “a specific duty of care to prevent suicide,” arising from the defendant’s “special relationship with the suicidal individual.” McLaughlin,
[T]his duty has been imposed on: (1) institutions such as jails, hospitals and reform schools, having actual physical custody of and control over persons; and (2) persons or institutions such as mental hospitals, psychiatrists and other mental-health trained professionals, deemed to have a special training and expertise enabling them to detect mental illness and/or the potential for suicide, and which have the power or control necessary to prevent that suicide.
McLaughlin,
Fundamental to the second exception is a pre-existing duty of care and protection imposed on defendants either because they have “actual physical custody of, and substantial or total control over, an individual,” id. at 340,
We refuse to extend suicide liability to architects, contractors, engineers, and a vast array of other parties involved with the design and construction of buildings. We are familiar with only one jurisdiction in which a court has held a building contractor liable for the suicide of another. See Honey v. Barnes Hosp.,
While we recognize that architects and contractors have a duty to design and construct safe structures, see La Bombarte v. Phillips Swager Assoc.,
Even for intentional torts under the first exception, the tortfeasor’s conduct must be extreme and outrageous in order to support a cause of action. Mayer,
Our holding today acknowledges the difficulty in preventing suicide. See Broussard v. State Through Div. of Hosp.,
In La Bombarbe, the court also refused to recognize a claim against an architect for suicide, stating that “the precautionary tools used to prevent suicide are insufficient and often times are designed for the convenience of jail personnel and not for the benefit of the inmate.” La Bombarde,
The plaintiff next argues that he has stated a claim based on a theory of strict liability on the grounds that the condition of the sprinkler system in the decedent’s cell was unreasonably dangerous. “Legal liability is said to be strict when it is imposed even though the defendant has committed no legal fault consisting of the violation of a common law or statutory duty.” Bagley v. Controlled Environment Corp.,
Nonetheless, the plaintiff argues that we should include architects and contractors within the general category of manufacturers, and thereby impose strict liability when they provide a defective product. See Thibault v. Sears, Roebuck & Co.,
In Sime v. Tvenge Associates Architects,
The reasons for the development of strict liability in tort were the lack of privity between the manufacturer and the buyer, the difficulty of proving negligence against a distant manufacturer using mass production techniques, and the better ability of the mass manufacturer to spread the economic risks among its consumers. These considerations are not applicable in a contract for professional services.
Id. at 611 (quotations, brackets, and ellipses omitted).
Unlike a consumer who purchases a mass-produced good, we fail to see how the owner or user of a building faces extraordinary difficulties in proving liability under traditional negligence principles. Id. “[I]t is easier to trace a defect to a builder than to a
Furthermore, we are not convinced that architects and contractors are able to spread their economic losses as easily as manufacturers are able to spread their losses to the consumers of their mass-produced goods. Sime,
Architects and building contractors are not in the business of “mass production and distribution of goods to a large body of distant consumers.” Bd. of Trustees, Etc. v. Kennerly, Etc.,
[t]he generally accepted view has not been to impose strict liability, either on a warranty or tort theory, to the building contractor who is regarded as being engaged primarily in the rendition of a service, i.e., the construction of a building on land owned by another pursuant to plans and specifications provided by the owner.
Affirmed.
Concurrence in Part
concurring in part and dissenting in part: While I agree with the result reached by the majority in part II of its opinion, I believe that the defendants undertook a duty to the plaintiff’s decedent which exposed them to liability upon breach. Accordingly, I respectfully dissent from part I of the majority opinion.
Our prior cases on suicide liability, as the majority correctly notes, recognize that suicide is an act which generally breaks the causal chain flowing from a defendant’s negligence. See Mayer v. Town of Hampton,
First, a cause of action exists “where the defendant actually causes the suicide.” Murdock v. City of Keene,
The second exception applies when “the defendant has a duty to prevent the suicide.” Murdock,
Our description of the typical defendant is not an encyclopedic register of all those who may be liable under the duty exception. Nonetheless, the majority’s opinion converts what prior opinions intended as an illustration into an exhaustive list, and suggests that absent a custodial relationship liability cannot arise. In doing so, the majority transforms a compelling rule into a slim exception that covers only wardens and jailers, thus shielding all other conceivable
In the present case, which comes to this court following the trial court’s grant of motions to dismiss, we must assume the facts alleged by the plaintiff to be true and, similarly, construe all reasonable inferences therefrom in the light most favorable to the plaintiff. See Gardner v. City of Concord,
Accordingly, we must assume that the defendants were aware of the heightened precautions that were necessary in the planning, designing, and construction of this secured psychiatric facility and that the defendants knew that a key factor in their work was the prevention of suicide. In short, we must assume that the defendants knowingly undertook to design and construct a cell that would thwart suicide attempts. Such facts are indicative of the kind of duty to anticipate and prevent suicide that warrants inclusion within the second exception that we have recognized in our prior cases. See Murdock,
The defendants suggest that no duty exists because they never came into direct contact with the decedent. This argument overlooks several cases in which we have held “that a defendant may be liable to third parties for a foreseeable harm resulting from the breach of a duty of care.” Williams v. O’Brien,
The majority extensively details all of the obstacles to prevention of suicide and suggests that this difficulty demonstrates the folly of potentially subjecting the present defendants to liability. The factors that the majority relies upon, however, relate to the difficulty of supervising suicidal patients, and have no bearing in a case where the defendant’s negligence afforded the means that an individual used to commit suicide. See Knight v. Wal-Mart Stores, Inc.,
The majority’s reliance on the Alabama Supreme Court’s decision in Tittle is unpersuasive, as it suggests that, because suicide is an allegedly inevitable occurrence, a professional’s carelessness may be excused when it merely “allowed one form of suicide to be committed rather than another.” Tittle v. Giattina, Fisher & Co.,
At heart, the majority’s holding apparently rests upon a fear that “[imposing liability in the instant case would . . . discourage firms from contracting with the State to design and construct mental health related facilities.” This anxiety ignores the ability of builders or architects to either incorporate the risk of liability into their pricing structure, or purchase insurance against such costs. Moreover, allowing this case to proceed would not impose liability on builders or architects generally; typically, these parties do not undertake a duty to prevent suicide, and unforeseeable suicide remains an intervening cause that breaks the causal chain. This is true even when the architect or builder is involved with the construction of an ordinary jail or prison. See Tittle, 597 So. 2d at
