Opinion
A tort cause of action for negligent spoliation of evidence cannot be maintained. We believe that this conclusion follows inexorably from two recent decisions from our Supreme Court:
Cedars-Sinai Medical Center
v.
Superior Court
(1998)
We conclude, therefore, that the trial court should have granted defendant Farmers Insurance Exchange’s motion for judgment on the pleadings on a cause of action in which plaintiff Han seeks to hold it liable for negligent spoliation of evidence. We will, therefore, grant the petition for writ of mandate.
I
Factual and Procedural Background
On October 9, 1996, Dul Han was injured in a single vehicle accident on Interstate 15 near Victorville. She was a passenger in the vehicle driven by her brother, Hai Han. Both were insured under a policy issued by Farmers Insurance Exchange (hereafter Farmers).
Han claims that the accident was caused by a defective tire. On the day of the accident, she alleges, Farmers was informed of its occurrence and of her assertion that it had been caused by a defective tire. Farmers took possession of the car and tire but thereafter “lost, destroyed and otherwise made said vehicle and the defective tire unavailable” to her. Han sued Farmers for breach of the covenant of good faith and fair dealing, intentional spoliation of evidence, and negligent interference with prospective business advantage. The latter cause of action is virtually identical to the intentional spoliation of evidence cause of action, differing only in the allegation that Farmers negligently, rather than intentionally, lost or destroyed the car and tire. 1
Following the Supreme Court’s decision in
Cedar-Sinai, supra,
In March 1999, the trial court granted summary adjudication in favor of Farmers on the causes of action for breach of the covenant of good faith and *1403 for intentional spoliation of evidence. The ruling on the intentional spoliation claim was based on Han’s failure to present any evidence of intentional destruction of the evidence. The court denied Farmers’s motion with respect to the cause of action for negligent spoliation, stating that Han was entitled to proceed “under the theory that a voluntary undertaking with detrimental reliance took place.”
In May 1999, the Supreme Court concluded in
Temple Community, supra,
Believing that the rationale in Temple Community clearly applied to negligent spoliation of evidence claims, Farmers moved for judgment on the pleadings as to the remaining cause of action. The trial court construed the motion as a request for reconsideration and denied it because “there were no new facts brought forward and that there had not been a change of law to warrant said motion” in light of the Supreme Court’s express refusal to rule on the issue of the viability of negligent spoliation claims. 2 It also awarded sanctions to Han in the sum of $675.
H
Discussion
The Supreme Court in
Cedar-Sinai, supra,
*1404 Farmers’ position is simply stated: If a party cannot be held liable for intentionally destroying or suppressing evidence that would be relevant to a lawsuit, surely the party cannot be held liable if it negligently commits these acts. We agree.
The policy considerations that led the Supreme Court to refuse to recognize tort causes of action for both first party and third party intentional spoliation apply with equal force when the loss or destruction of evidence was the result of negligence. First, any injury from spoliation is speculative, requiring a two-step process of assessing the merits of the legal claim to which the evidence related and then the importance of the evidence to that claim. “It seems likely that in a substantial proportion of spoliation cases the fact of harm will be irreducibly uncertain. In such cases, even if the jury infers from the act of spoliation that the spoliated evidence was somehow unfavorable to the spoliator, there will typically be no way of telling what precisely the evidence would have shown and how much it would have weighed in the spoliation victim’s favor. Without knowing the content and weight of the spoliated evidence, it would be impossible for the jury to meaningfully assess what role the missing evidence would have played in the determination of the underlying action. The jury could only speculate as to what the nature of the spoliated evidence was and what effect it might have had on the outcome of the underlying litigation.” (Cedars-Sinai, supra, 18 Cal.4th at pp. 13-14.)
Han contends that the Supreme Court’s concern regarding the uncertainty of harm is not present here because Farmers has admitted that a defective tire caused the underlying accident and her injuries.
3
“Therefore, unlike the spoliation cases contemplated by Farmers, Dul Han’s instant claim for
*1405
negligence does not involve any speculation whatsoever regarding the fact that [she] has incurred damage as a direct result of Farmers’ negligence.” This contention indicates that Han does not grasp the distinction between the uncertainty of the
fact
of harm, which was the Supreme Court’s concern in
Cedars-Sinai
and
Temple Community,
and mere uncertainty as to the damages. (See
Cedars-Sinai, supra,
The Supreme Court was also concerned with the costs that a tort remedy would impose on defendants and the courts. Trying a spoliation claim jointly with the underlying action would have a significant potential for jury confusion and inconsistency. Pursuing a spoliation action in a separate action would require a “ ‘retrial within a trial.’ ”
(Cedars-Sinai, supra,
Han contends that she is not seeking to recover for negligent spoliation of evidence but for negligent interference with prospective economic advantage, apparently hoping to rely on the Supreme Court precedent in
J’Aire
*1406
Corp.
v.
Gregory
(1979)
Cedars-Sinai
began its analysis of the issue “whether to create a tort remedy for intentional first party spoliation” by considering general principles of tort law. First, the court noted that “ ‘[a] tort, whether intentional or negligent, involves a violation of a
legal duty,
imposed by statute, contract or otherwise, owed by the defendant to the person injured.’ (5 Witkin, Summary of Cal. Law (9th ed. 1988) Torts, § 6, p. 61.) At issue here is whether to impose on parties to a lawsuit a duty to avoid the intentional destruction of evidence relevant to the lawsuit. As we have stated, the concept of duty ‘ “is a shorthand statement of a conclusion, rather than an aid to analysis in itself.” ’
(Dillon
v.
Legg
(1968)
As noted above, the only distinction between Han’s cause of action for intentional spoliation and negligent interference with prospective advantage are the allegations with respect to Farmers’ intent. In the former cause of action, Han alleges that Farmers intentionally lost and/or destroyed the tire; in the negligence count she alleges that it negligently did so. Temple Community also considered the anomaly that would be created by allowing a nonparty to be liable for conduct that would not give rise to tort liability if committed by a party. Here, to hold a party liable for negligent conduct when the same party cannot be held liable if he acted intentionally would create an absurdity.
Ill
Disposition
Let a peremptory writ of mandate issue directing the Superior Court of San Bernardino County to set aside its order denying Farmers’ motion for judgment on the pleadings and to enter a new order granting this motion. 5
Hollenhorst, Acting P. J., and McKinster, J., concurred.
A petition for a rehearing was denied May 16, 2000, and the petition of real party in interest for review by the Supreme Court was denied July 26, 2000. Werdegar, J., was of the opinion that the petition should be granted.
Notes
Han also sued Michelin Tire Corporation, the manufacturer of the tire, for negligence and strict products liability, and the State of California for negligence and negligent spoliation of evidence on the ground that a California Highway Patrol officer took photographs of the accident scene and the tire, but that these photographs were lost or destroyed. Han voluntarily dismissed her causes of action against Michelin, and the state successfully moved for summary judgment.
We do not criticize the trial court, because it was bound by prior appellate decisions recognizing the tort of negligent spoliation.
(Auto Equity Sales, Inc.
v.
Superior Court
(1962)
Han asserts that Farmers made judicial admissions in its cross-complaint for indemnity against the tire manufacturer and its responses to interrogatories propounded by a cross-defendant, Hai Han. However, a defendant such as Farmers can maintain alternative theories of causation prior to trial in defending the main action and in seeking indemnity. Thus, it properly could defend Han’s action by denying the existence of any defect in the tire, but reserve the option of seeking indemnity from third persons on the theory that they were responsible for the defect, if there was one. “[T]he
defendant
should not be forced to select one theory of defense at the risk of losing a right of indemnity from third persons.”
(Shepard & Morgan v. Lee & Daniel, Inc.
(1982)
Neither can we conclude that Farmers’ responses to interrogatories propounded by Hai Han constitute an admission that the tire was defective. Farmers simply answered that the “right rear tire to the 1991 Toyota Célica automobile suffered a tire tread separation and/or blow out . . . . [ft] Investigation and discovery are continuing, this responding party reserves the right to present additional evidence, including but not limited to the testimony of expert witnesses when same has been ascertained and/or disclosed.” A blowout can occur in the absence of a *1405 manufacturing defect. Moreover, Farmers expressly indicated it was not offering a definitive opinion as to the causes of the accident.
J’Aire
concluded that a negligence cause of action for interference with prospective economic advantage had been stated based upon its assessment of the following factors: “(1) the extent to which the transaction was intended to affect the plaintiff, (2) the foreseeability of harm to the plaintiff, (3) the degree of certainty that the plaintiff suffered injury, (4) the closeness of the connection between the defendant’s conduct and the injury suffered, (5) the moral blame attached to the defendant’s conduct and (6) the policy of preventing future harm.”
(J’Aire Corp. v. Gregory, supra,
Han requests leave to amend her complaint to plead a cause of action for negligent infliction of emotional distress. Because Han has no viable tort cause of action for negligent spoliation, there is no basis for recovery of emotional distress damages. “[N]egligently causing emotional distress is not an independent tort.”
(Camenisch
v.
Superior Court
(1996)
Third parties may have a contractual duty to preserve evidence, but Han does not indicate that she is able to amend her pleading to state a breach of contract cause of action.
(Temple Community, supra,
