OPINION
The plaintiff, Hydro-Manufacturing, Inc. (Hydro), appealed to the Supreme Court from an order that granted summary judgment to the defendant, Kayser-Roth Corp. (Kayser-Roth). Hydro had purchased a textile-manufacturing facility located in North Smithfield, Rhode Island (the site). Approximately twelve years before Hydro purchased this facility, the site was contaminated with trichloroethylene (TCE). The property at that time was owned by Stamina Mills, Inc. (Stamina), then a subsidiary of a corporation whose successor is Kayser-Roth. Hydro attempted to recover damages it incurred in the aftermath of the site’s contamination by asserting several causes of action against its predecessor-in-interest, Kayser-Roth. For the reasons herein stated, we hold that, under Rhode Island law, Hydro may not maintain a claim against Kayser-Roth. Rather, in this case, the issues of liability, transfer or release from financial responsibility, and actions for allocation, contribution, and recovery of costs for removal or remedial actions, generally, are actionable under the Comprehensive Environmental Response, Compensation, and Liability Act (CERCLA), 42 U.S.C.A. §§ 9601-9675 (West 1983 & Supp. 1993). The facts pertinent to this appeal follow.
FACTS AND PROCEDURAL HISTORY
Since the 1800s a mill building has existed at the site, located north of the Branch River in North Smithfield. Stamina owned and operated a textile-manufacturing facility at the site from 1952 until 1975. In its operations Stamina initially utilized a soap-scouring system to remove dirt and oil from newly woven fabric, but in March 1969, in order to mitigate pollution to the Branch River allegedly caused by the soap-scouring system, Stamina replaced that process with one using TCE. The TCE, however, proved to be no less a contaminant than the soap. Shortly after Stamina began using TCE in 1969, an *953 indeterminate amount of the chemical was accidentally released into the ground when a tanker driver improperly attached a hose coupling to the TCE storage tank on the property.
In 1979 the Rhode Island Department of Health began to investigate contamination in residential wells located north and northwest of the site, and in 1980, the Rhode Island Department of Environmental Management (DEM) issued a report that concluded that the residential wells had been contaminated with TCE that had originated from the site.
The United States Environmental Protection Agency (EPA) conducted a hydrogeological study of the area and, in September 1982, also concluded that the site was the source of the contamination of the well water. The EPA initiated remedial measures at both the site and the residential, off-site wells.
Between the TCE spill in 1969 and the EPA’s study in 1982, the site had twice changed ownership. Stamina, after ending operations at the site in 1975, sold the land in 1976 to Roger Meunier, and in 1977, dissolved its corporate existence. In 1981 Roger Meunier deeded the property to Hydro.
Subsequently, to recover cleanup costs it had incurred, the United States brought suit against Hydro, the current owner of the site, and against Kayser-Roth, the “owner” and “operator” of the site at the time the contamination occurred.
United States v. Kayser-Roth Corp.,
Suit was commenced under CERCLA pursuant to 42 U.S.C.A. § 9607(a) (West Supp. 1993), which provides in pertinent part:
“(1) the owner and operator of * * * a facility [and]
“(2) any person who at the time of disposal of any hazardous substance owned or operated any facility at which such hazardous substances were disposed of,
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“(4) * * * shall be liable for—
(A) all costs of removal or remedial action incurred by the United States Government or a State or an Indian tribe not inconsistent with the national contingency plan.” Hydro, prior to trial, entered into a consent agreement in which, in exchange for release from any further liability, it agreed to transfer title of the site to the government, and to pay property taxes during the cleanup, following which Hydro would assume the expense of procuring a buyer for the site.
Kayser-Roth, having stipulated that TCE is a hazardous material under CERCLA and that a TCE spill had occurred at the site in 1969, nevertheless maintained that it was not liable to the government for the actions of Stamina, and that even if it were liable, the contamination of the wells was not the result of the 1969 spill. Kayser-Roth, however, was classified as “owner” and “operator” of the site for CERCLA purposes within the provisions of § 9607(a) in
Kayser-Roth Corp.,
Within two years of the adverse decision in federal court, Kayser-Roth was again defending a suit stemming from the contamination at the site. Hydro, in March 1991, filed the instant action against Kayser-Roth in Rhode Island Superior Court, seeking,
inter alia,
indemnification for the damages it suffered as a result of the CERCLA suit. More precisely, Hydro contended that as an innocent purchaser, it was entitled to recover from Kayser-Roth — the party responsible for the damage — the value of the land forfeited to the United States, as well as the costs incurred in defending the CERCLA suit. Initially Hydro’s complaint consisted of one count sounding in negligence. Hydro subsequently filed an amended complaint advancing six additional theories of recovery including private and public nuisance, abnormally dangerous activity, failure to disclose, and two claims under G.L.1956 (1991 Reenactment) § 46-12-21, a statute on liability for
*954
pollution of groundwater. Kayser-Roth moved for summary judgment on all seven counts, arguing that no genuine issues of material fact existed and that Kayser-Roth was entitled to judgment as a matter of law. The trial justice found that there were no genuine issues in regard to material facts and, relying primarily on
Wilson Auto Enterprises, Inc. v. Mobil Oil Corp.,
This court reviews the propriety of a summary-judgment order according to the same standards that the trial justice applies in deciding whether to grant a party’s motion.
McPhillips v. Zayre Corp.,
On appeal Hydro maintained that in relying on Wilson Auto Enterprises to grant judgment in favor of Kayser-Roth, the trial justice erred. According to Hydro, there were genuine issues of material fact that foreclosed summary judgment. Our review of the record, however, discloses that none of Hydro’s claims raises a genuine issue of material fact. Thus, we look to the various theories set forth in Hydro’s amended complaint to determine whether Kayser-Roth is entitled to judgment as a matter of law.
SECTION 46-12-21
In two of the seven counts in its amended complaint, Hydro relied on G.L.1956 (1991 Reenactment) § 46-12-21 to support its contention that Kayser-Roth was hable for intentionally and negligently polluting the site and groundwater.
Section 46-12-21 provides:
“Any person who shall negligently or intentionally pollute groundwater shall be hable to any other person who is damaged by that pollution.”
This provision, however, was enacted in 1980, see P.L.1980, ch. 239, § 3, 1 four years after Kayser-Roth’s subsidiary sold the property and eleven years after the TCE spih that had caused the groundwater pollution. Hydro contended that the retroactive apphcation of § 46-12-21 permitted Hydro to pursue recovery under the statute. Hydro averred that whether a statute should be apphed retrospectively or prospectively rests on the determination of legislative intent. Hydro argued that because increased pubhc support for safeguarding the environment has resulted in national and state pohcies to abate pollution, the retroactive apphcation of § 46-12-21 would be justified to effectively carry out its legislative intent.
It is well estabhshed, however, that statutes and their amendments are presumed to apply prospectively.
Lawrence v. Anheuser-Busch, Inc.,
NEGLIGENCE
In addition to its statutory claim, Hydro has also relied on tort and equitable theories to support its claim for damages against Kayser-Roth. Hydro asserted that Kayser-Roth’s negligent activities at the site resulted in contamination of the land. Hydro argued that Kayser-Roth should be held liable for its negligent acts — acts that forced Hydro to incur expenses in defense of a CERCLA suit and eventually to forfeit the site in satisfaction of CERCLA cleanup costs. In granting Kayser-Roth’s motion for summary judgment, the trial justice rejected the allegation that a prior owner owed a duty to subsequent and/or remote purchasers and found that the doctrine of caveat emptor controlled the parties’ relationship. We agree.
Only when an individual owes a duty to another and has breached that duty can that individual be held liable for negligence.
Rodrigues v. Miriam Hospital,
Hydro, in the instant action, essentially argued that prior owners of property owe remote purchasers a duty to maintain the property and to refrain from any activity that may harm the property. The common law, however, does not support the imposition of such a duty.
Wilson Auto Enterprises, Inc.,
In reaching this conclusion, we note that the duty that sellers owe to subsequent purchasers is established primarily through contracts between the parties who theoretically reach an arms-length agreement on a sale price that reflects the true value of land.
Philadelphia Electric Co. v. Hercules, Inc.,
Finally we note that extension of the common law is unwarranted in light of recent state and federal statutory laws that impose liability running from landowners to subsequent remote purchasers. In Rhode Island, § 46-12-21 does not apply in the instant case because it cannot be applied retroactively. See supra. The statute nevertheless imposes a liability running from landowners to future purchasers and anyone else who is harmed by pollution that affects groundwater.
The federal counterpart to § 46-12-21 is CERCLA. Enacted in 1980, and substantially amended in 1986, Superfund Amendments and Reauthorization Act of 1986, Pub.L. No. 99-499, 100 Stat. 1613 (1986), with jurisdiction vested exclusively in the federal court, 42 U.S.C.A. § 9613(b) (West Supp.1993), CERCLA provides for a remedy to the widespread use and disposal of hazardous substances by ensuring a prompt and an effective cleanup of hazardous-waste disposal sites.
Mardan Corp. v. C.G.C. Music, Ltd.,
There are two provisions in CERCLA by which a private individual may seek recovery. Pursuant to 42 U.S.C.A. § 9607(a)(4)(B) private entities may sue “responsible parties” for “any other necessary costs of response incurred by any other person consistent with the national contingency plan.” Although “responsible parties” are not specifically permitted to seek recovery under § 9607(a)(4)(B), some courts have found that potentially responsible parties do have standing to pursue private actions.
Pinole Point Properties, Inc. v. Bethlehem Steel Corp.,
In addition, although liability under CERCLA generally is joint and several, Jeffrey M. Gaba, Recovering Hazardous Waste Cleanup Costs: The Private Cause of Action Under CERCLA, 13 Ecology L.Q. 181, 189 & n. 28 (1986), § 9613(f)(1) provides an express right to contribution from “any other person who is liable or potentially liable under section 9607(a).” 42 U.S.C.A. § 9613(f)(1) (West Supp.1993). Contribution may be sought through a separate cause of action in federal court or, if the party is being sued under CERCLA, through im-pleading other potentially responsible parties and filing cross- or counterclaims. Id.
Therefore, in the instant action CERCLA provided Hydro with a potential cause of action against Kayser-Roth. 4 Given these factors, we are of the opinion that extending common-law negligence doctrine to create a duty running from a predecessor-in-interest to a remote subsequent purchaser is unwarranted.
PRIVATE AND PUBLIC NUISANCE
In its amended complaint Hydro asserted that Kayser-Roth’s actions gave rise to a cause of action sounding in nuisance. Relying primarily on
Wood v. Picillo,
Private and public nuisances are two distinct causes of action relating to the unreasonable interference with the use and enjoyment of land. Historically the law of private nuisance has been applied to conflicts between neighboring, contemporaneous land uses.
Philadelphia Electric Co.,
Unlike a private nuisance where there is an invasion of another’s interest in the private use and enjoyment of land, a public nuisance is an “unreasonable interference with a right common to the general public.”
Citizens for Preservation of Waterman Lake,
The “special damage” that Hydro is alleged to have suffered is the loss of the use and/or value of the land forfeited in settlement of the CERCLA action. Hydro, however, has not suffered this “special damage” in the exercise of a right common to the general public. The public right that has been interfered with by the contamination of the land is the right to pure water. Hydro did not allege that it suffered special damages stemming from Kayser-Roth’s interference with Hydro’s use and enjoyment of the groundwater at the site or of its right to pure water.
See Mayor and Council of Rockaway v. Klockner & Klockner,
ABNORMALLY DANGEROUS ACTIVITIES AND FAILURE TO DISCLOSE
In two other counts, Hydro alleged that Kayser-Roth should be liable for having conducted an abnormally dangerous activity and for having failed to disclose dangerous conditions at the site. We are of the opinion that Hydro has failed to establish a cause of action under either of these counts.
First, in regard to maintaining an abnormally dangerous activity, if we assume
arguendo
that Rhode Island recognizes such a cause of action
5
and that Kayser-Roth’s activity amounted to an abnormally dangerous one, Hydro has failed to state a claim for strict liability. The Restatement (Second) of Torts provides that “[o]ne who carries on an abnormally dangerous activity is subject to liability for harm to the person, land or chattels
of another
resulting from the activity.” (Emphasis added.) 3 Restatement (Second)
Torts
§ 519 (1977). At the time Stamina committed the offensive activity, Stamina owned the property. Thus, Stamina caused harm to property
it owned.
After the contamination, the site became the property of Hydro. Hydro therefore did not bring this claim as an injured adjoining landowner or visitor on Kayser-Roth’s property. Thus Hydro has failed to state a cause of action for the maintenance of an abnormally dangerous activity.
Wellesley Hills Realty Trust,
Hydro has also failed to state a cause of action as a consequence of failure to disclose a dangerous condition of the land. As we noted supra, a recognized exception to the doctrine of caveat emptor is the duty imposed on a vendor to disclose to a vendee any hidden defects it knows or should know would create an unreasonable risk of harm to others. See G.L.1956 (1987 Reenactment) § 5-20.8-2, as amended by P.L.1993, ch. 397, § 4. But, this exception to the doctrine of caveat emptor does not apply here.
*959 Stamina, Kayser-Roth’s subsidiary, sold the property to Meunier. Thus, if one assumes that there is a dangerous condition creating an unreasonable risk of harm that Stamina had a duty to disclose, then that duty would run to Meunier, not to Hydro. Hydro nevertheless asks this court to extend the doctrine to create a duty running from vendors to subsequent remote vendees. We decline to expand the common law to accommodate Hydro’s claim here, noting that a potential cause of action may be brought in federal court under CERCLA.
Hydro’s final claim on appeal was that Kayser-Roth would be unjustly enriched if Hydro were prevented from seeking damages in the instant suit. Our review of the record, however, revealed that Hydro did not advance a theory of unjust enrichment in the Superior Court proceedings. It is well settled that a party may not “‘advance new theories or raise new issues in order to secure a reversal of the lower court’s determination.’”
Nedder v. Rhode Island Hospital Trust National Bank,
Accordingly, for the foregoing reasons we deny and dismiss the appeal. The judgment appeal from is affirmed.
Notes
. The Legislature originally codified this provision at G.L.1956 (1980 Reenactment) § 46-12-30, as amended by P.L.1980, ch. 239, § 3. Subsequently, this provision was recodified at § 46-12-21. P.L.1983, ch. 149, § 1. The substance of the statute, however, has remained the same.
. We note that the "progressive” industrial-age law in effect at the time of the TCE spill was an environmentally insensitive statute, G.L.1956 § 46 — 12—30. Repealed in 1980 and replaced by the current liability provision, see P.L.1980, ch. 239, §§ 2-3, the former statute mandated that “[n]o person shall be held to have violated [chapter 12 of tide 46] where the sole damage caused by him is the rendering unsuitable for drinking purposes * * * the waters polluted by him.” q l 1956 § 46-12-30.
. Certain exceptions to the doctrine of caveat emptor have developed based on equitable principles.
See, e.g., Graham v. United States,
. The doctrine of caveat emptor is not a permissible defense to liability under CERCLA.
Smith Land & Improvement Corp. v. Celotex Corp.,
. This court has declined to adopt the rule of strict liability for abnormally dangerous activity enunciated in
Rylands v. Fletcher,
[1868] L.R. 3 E & I App. 330.
Rose v. Socony-Vacuum Corp.,
