OPINION OF THE COURT
In this case arising from an automobile accident, the United States Court of Appeals for the Second Circuit asks us to determine the interplay between Workers’ Compensation Law § 29 (6), which makes workers’ compensation benefits the exclusive remedy of an employee injured by the negligence of a coemployee, and Vehicle and Traffic Law § 388, which renders a vehicle owner vicariously liable for injuries resulting from the negligent permissive use of a vehicle.
In November 2007, Roberta Oldenborg was driving her coemployee, plaintiff Matthew Isabella, back from a business meeting in an automobile owned by her husband, third-party defendant Michael Koubek. She collided with a vehicle driven by defendant/third-party plaintiff Doris Hallock and owned by her husband Peter (the Hallocks). Isabella sustained injuries in the accident but was precluded by section 29 (6) of the Workers’ Compensation Law from bringing an action against Oldenborg since she was his coworker. Instead, Isabella received workers’ compensation benefits secured by his and Oldenborg’s mutual employer.
Isabella and his wife, suing derivatively, later commenced this personal injury action against the Hallocks in federal court based on diversity of citizenship. Isabella alleged that he sustained a serious injury within the meaning of the No-Fault Law and that Doris Hallock’s negligent operation of her vehicle caused his injuries. The Hallocks responded by filing a third-party complaint against Koubek seeking contribution and indemnification, asserting that the accident resulted from Oldenborg’s negligence and that Koubek—as the vehicle owner— was vicariously responsible under Vehicle and Traffic Law § 388. Koubek moved for summary judgment dismissing the third-party complaint, contending that his wife’s statutory immunity stemming from the Workers’ Compensation Law shielded him from the Hallocks’ vicarious liability claim.
The United States District Court for the Northern District of New York denied Koubek’s motion, allowing the third-party claim to proceed. Thereafter, the parties entered into a settlement agreement under which Isabella would receive $800,000, plus interest, with a jury to apportion liability between the
Recognizing that it was presented with a novel issue of state statutory law, the Second Circuit has certified the following question to us:
“Whether a defendant may pursue a third-party contribution claim under New York Vehicle and Traffic Law § 388 against the owner of a vehicle, where the vehicle driver’s negligence was a substantial factor in causing the plaintiffs injuries, but the driver is protected from suit by the exclusive remedy provisions of New York Workers’ Compensation Law § 29(6)?” (733 F3d 384 , 392 [2d Cir 2013]).
We answer this question in the negative—a defendant in the Hallocks’ position may not pursue a third-party contribution claim against the vehicle owner.
Because this case involves the intersection of the workers’ compensation statutory scheme and Vehicle and Traffic Law § 388, analysis begins with a review of the relevant provisions. Section 29 (6) of the Workers’ Compensation Law provides in pertinent part as follows:
“The right to compensation or benefits under this chapter, shall be the exclusive remedy to an employee . . . when such employee is injured or killed by the negligence or wrong of another in the same employ .... The limitation of liability of an employer set forth in section eleven of this article for the injury or death of an employee shall be applicable to another in the same employ.”
Section 11 of the Workers’ Compensation Law, which is expressly incorporated into section 29 (6), further states:
“The liability of an employer prescribed by [section 10] shall be exclusive and in place of any other liability whatsoever, to such employee ... or any person otherwise entitled to recover damages, contribution or indemnity, at common law or otherwise, on account of such injury or death or liability arising therefrom . . .
“An employer shall not be liable for contribution or indemnity to any third person based upon liability for injuries sustained by an employee acting within the scope of his or her employment for such employer unless such third person proves through competent medical evidence that such employee has sustained a ‘grave injury.’ 5 ,1
Read together, these statutes render workers’ compensation benefits the exclusive remedy of an injured employee, thereby barring the employee from recovering against a negligent coemployee or employer.
Finally, section 388 (1) of the Vehicle and Traffic Law provides in relevant part:
“Every owner of a vehicle used or operated in this state shall be liable and responsible for death or injuries to person or property resulting from negligence in the use or operation of such vehicle, in the business of such owner or otherwise, by any person using or operating the same with the permission, express or implied, of such owner.”
Koubek argues that the certified question should be answered in the negative. Observing that the Hallocks’ third-party complaint is predicated on any claim Isabella would have against Oldenborg, which is concededly prohibited by the Workers’ Compensation Law, Koubek contends that the deliberate prescriptions set forth in the Workers’ Compensation Law would be upset if he was to be held vicariously liable for the negligence of the immunized driver. He also asserts that allowing the Hal-locks to recover from him would not further the purpose of Vehicle and Traffic Law § 388, which was designed to allow injured persons to receive compensation from a financially responsible
We previously addressed the friction between Workers’ Compensation Law § 29 (6) and Vehicle and Traffic Law § 388 in a pair of 1958 cases that, contrary to the Hallocks’ suggestion, remain applicable law. In Rauch v Jones (
As the Hallocks point out, Rauch and Naso are not directly on point because they involved actions brought by injured employees against vehicle owners, not third-party contribution claims. But we extended the reach of Rauch and Naso to third-party claims in an analogous context in Kenny v Bacolo (
We do not perceive any meaningful distinction between Kenny and the case before us. The only difference is that Kenny involved the exclusivity provisions found in the Federal Longshoremen’s and Harbor Workers’ Compensation Act. But the relevant portions of the federal act are comparable to sections 11 and 29 (6) of the Workers’ Compensation Law (see 33 USC §§ 905 [a] [“The liability of an employer prescribed in section 904 of this title shall be exclusive and in place of all other liability of such employer to the employee”]; 933 [i] [“The right
Nevertheless, the Hallocks ask us to adopt the rationale in Clamp v Estate of Hales (
The Hallocks also rely on our decision in Tikhonova v Ford Motor Co. (
Lastly, the Hallocks present the sympathetic contention that it is unfair to saddle them with 100% of the $800,000 liability to Isabella when the jury found that Doris was only 10% at fault. But Oldenborg, the person who was 90% responsible for the collision, is statutorily immune and her employer bore the financial responsibility of providing Isabella with workers’ compensation coverage. Moreover, the Hallocks’ appeal to equity presupposes that Vehicle and Traffic Law § 388 was designed to allow third-party contribution claims against vicariously liable vehicle owners. As we have repeatedly stated, however, section 388 was intended to “ensure access by injured persons to a financially responsible party against whom to recover for injuries” (Hassan v Montuori,
In sum, we hold that a defendant may not pursue a third-party contribution claim under Vehicle and Traffic Law § 388 against a vehicle owner where the driver’s negligence was a cause of the plaintiffs injuries, but the driver is insulated from a lawsuit under Workers’ Compensation Law § 29 (6).
Accordingly, the certified question should be answered in the negative.
Following certification of a question by the United States Court of Appeals for the Second Circuit and acceptance of the question by this Court pursuant to section 500.27 of this Court’s
Notes
. The language in section 11 barring third-party claims against the employer absent a “grave injury” was added by the Omnibus Workers’ Compensation Reform Act of 1996 (L 1996, ch 635, § 2).
. Of course, “the workers’ compensation remedy is generally not exclusive if the employee is injured by a third person” (Fung v Japan Airlines Co., Ltd.,
. There is no allegation that Isabella sustained a grave injury within the meaning of Workers’ Compensation Law § 11.
. Former Vehicle and Traffic Law § 59 was the predecessor to Vehicle and Traffic Law § 388 and contained the same operative language.
. The language quoted from these federal provisions was the same when we decided Kenny in 1983. The federal act is now referred to as the Longshore and Harbor Workers’ Compensation Act.
. Isabella was the only person to seek recovery for injuries sustained in the accident and he is prohibited from bringing a Vehicle and Traffic Law § 388 claim against Koubek as the vehicle owner by our decisions in Rauch and Naso.
. Joint and several liability arising out of motor vehicle accidents generally remains unaffected by CPLR article 16 (see CPLR 1602 [6]).
