ADRIAN JOHNS et al. v. SUZUKI MOTOR OF AMERICA, INC. et al.
S19G1478
Supreme Court of Georgia
October 19, 2020
310 Ga. 159
NAHMIAS, Presiding Justice.
FINAL COPY
We granted this petition for certiorari to decide whether
1. The facts of this case are detailed throughout the Court of Appeals opinion, and
The case proceeded to trial, where the Johnses presented evidence showing that the brake failure of Adrian‘s motorcycle was caused by a defect in the design of the front master brake cylinder that created a corrosive condition, which resulted in a “leak path” that misdirected the flow of brake fluid and caused the total brake failure. About two months after Adrian‘s accident, Suzuki issued a recall notice warning about a safety defect in the front brake master cylinder. Suzuki had notice of the issue, including reports of similar accidents, for a significant amount of time before Adrian‘s accident. Adrian admitted, however, that contrary to the instructions in the owner‘s manual to replace the brake fluid every two years, he had not changed the fluid during the eight years he had owned the motorcycle.
The jury found in favor of the Johnses on all claims. It awarded $10.5 million in compensatory damages to Adrian and another $2 million to Gwen. The jury apportioned 49% of the fault to Adrian and 51% to the two defendants — 45% to SMC and 6% to SMAI. In light of these findings, the trial court reduced Adrian‘s award to $5,355,000 and Gwen‘s award to $1,020,000. Because the damages after apportionment were less than the Johnses’ pretrial demand of $10 million, the trial court rejected the Johnses’ request for pre-judgment interest under
The Johnses cross-appealed,1 arguing that because their claim was based on strict products liability, the trial court erred in reducing the damages awards based on
2. The current version of
Where an action is brought against one or more persons for injury to person or property and the plaintiff is to some degree responsible for the injury or damages claimed, the trier of fact, in its determination of the total amount of damages to be awarded, if any, shall determine the percentage of fault of the plaintiff and the judge shall reduce the amount of damages otherwise awarded to the plaintiff in proportion to his or her percentage of fault.
Subsection (g) says:
Notwithstanding the provisions of this Code section or any other рrovisions of law which might be construed to the contrary, the plaintiff shall not be entitled to receive any damages if the plaintiff is 50 percent or more responsible for the injury or damages claimed.
We have said that these two subsections together “codify the doctrine of comparative negligence.” Zaldivar v. Prickett, 297 Ga. 589, 594 (774 SE2d 688) (2015).3
As the Court of Appeals recognized, “by its plain terms, the statute governs actions ‘for injury to person,’ without in any way distinguishing between the theories upon which those claims are premised.” Suzuki Motor, 351 Ga. App. at 198. The Johnses’ strict products liability claim is “an action . . . brought against one or more persons [SMC and SMAI] for injury to person [Adrian].”
The Johnses argue that
3. The Johnses further argue that even if the language of
Georgia‘s strict products liability statute,
The manufacturer of any personal property sold as new property directly or through a dealer or any other person shall be liable in tort, irrespective of privity, to any natural person who may use, consume, or reasonably be affected by the property and who suffers injury to his person or property because the property when sold by the manufacturer was not merchantable and reasonably suited to the use intended, and its condition when sold is the proximate cause of the injury sustained.
“The paramount purpose of strict liability is the protection of otherwise defenseless victims of manufacturing defects and the spreading throughout society of the cost of compensating them.” Farmex Inc. v. Wainwright, 269 Ga. 548, 550 (501 SE2d 802) (1998) (citation and punctuation omitted). To advance these goals, strict products liability “imposes liability irrespective of negligence.” Ford Motor Co. v. Carter, 239 Ga. 657, 660 (238 SE2d 361) (1977) (plurality opinion). See also Alexander v. Gen. Motors Corp., 267 Ga. 339, 340 (478 SE2d 123) (1996) (“[A] strict
A number of cases from this Court and the Court of Appeals have held that a plaintiff‘s negligence generally is not a defense to a claim of strict products liability. See Deere & Co. v. Brooks, 250 Ga. 517, 518 (299 SE2d 704) (1983) (“‘[T]he case law generally is in accord with the Restatement of Torts in holding that contributory negligence is not a defense to a claim of strict liability for product-caused harm.‘” (citation omitted) (referring to Restatement (Second) of Torts § 402A (1965))); Ford Motor Co., 239 Ga. at 661 n.3 (plurality opinion) (“Contributory negligence on the part of the injured party is generally not available as a defense in strict liability actions.“); Ray v. Ford Motor Co., 237 Ga. App. 316, 319-320 (514 SE2d 227) (1999); Barger v. Garden Way, Inc., 231 Ga. App. 723, 727 (499 SE2d 737) (1998); Continental Research Corp. v. Reeves, 204 Ga. App. 120, 128 (419 SE2d 48) (1992) (physical precedent only); Parzini v. Center Chem. Co., 136 Ga. App. 396, 399 (221 SE2d 475) (1975).5
Although the Johnses would like to rely on the precedent established by these cases, all of the cases were decided before the 2005 enactment of
4. The Johnses offer a few more arguments as to why, in their view, the precedent rejecting comparative negligence for strict products liability claims must survive
(a) The Johnses suggest that we cannot now hold that
(b) The Johnses contend that the pre-2005 case law was affirmed by the Court of Appeals in Patterson v. Long, 321 Ga. App. 157 (741 SE2d 242) (2013), and we should follow Patterson. In that case, which involved review of an arbitrator‘s award, the Court of Appeals said:
Both parties agree that if liability is imposed upon a defendant manufacturer under the doctrine of strict liability, principles of contributory and comparative negligence are inapplicable, and fault should not be apportioned between the plaintiff victim and the defendant manufacturer in awarding damages.
Id. at 161 (citing Deere, 250 Ga. at 518, and Ford Motor Co., 239 Ga. at 662). This statement was not a reasoned consideration of
The Johnses also point to Hernandez v. Crown Equip. Corp., Civil Action No. 7:13-CV-91 (HL), 2015 WL 4067695 (M.D. Ga. July 2, 2015), in which a federal district judge said, relying primarily on Patterson:
The state of the law is clear in Georgia: where a defendant manufacturer is found liable under the doctrine of strict liability, the principle of comparative negligence does not apply, and it is not appropriate to
apportion fault between the plaintiff victim and the defendant manufacturer.
Hernandez, 2015 WL 4067695, at *2. The Hernandez court acknowledged
By contrast, when another federal district judge more carefully considered
[
OCGA § 51-12-33 ] provides no exception for actions based on a theory of strict liability. And a plain reading of the statute does not reveal any intention to exclude strict liability actions from its application. The statute simply and clearly provides that it appliеs to actions “brought against one or more persons for injury to person or property [where] the plaintiff is to some degree responsible for the injury or damages claimed.” Id. To the extent that the application of the comparative fault statute to a strict liability product defect claim may be inconsistent with the common law that predated the enactment of the statute, the Georgia General Assembly certainly had the authority to displace that common law.
Bullock, 2015 WL 5319791, at *2. This reasoning is more fulsome and more persuasive, and it reaches the sаme conclusion we do today.
(c) The Johnses also assert that allowing comparative negligence to be considered will effectively eliminate the claim of strict products liability, and the General Assembly could not have intended to make such a “radical” change sub silentio. Permitting comparative negligence to be applied to strict products liability claims does not, however, mean the end of strict products liability.
The Johnses assert that the benefit the plaintiff derives from not having to prove the manufacturer‘s negligence is undermined by injecting any consideration of negligence into a strict products liability claim. See Alexander, 267 Ga. at 340 (stating that Georgia‘s strict products liability claim “eliminates questions of negligence and the usual defenses to negligence“).7 But
It has been suggested that the term “contributory negligence[]” . . . may indeed itself be a misnomer since it lacks the first element of the classical negligence formula, namely, a duty of care owing to another. A highly respected torts authority, Dean William Prosser, has noted this fact by observing, “It is perhaps unfortunate that contributory negligence is called negligence at all. ‘Contributory fault’ would be a more descriptive term.” Daly v. Gen. Motors Corp., 575 P2d 1162, 1167-1168 (Cal. 1978).
This understanding is especially helpful when we consider
Some courts have noted that “comparing [a] plaintiff‘s fault with a product defect is no easy task.” Restatement (Third) of Torts: Products Liability § 17, reporters’ note on comment a. (1998) (collecting cases). But difficult is not the same as impossible, and we have previously expressed our faith in the ability of juries to compare disparate types of fault. See Couch, 291 Ga. at 365-366 (requiring jurors to apportion fault between negligent and intentional tortfeasors).8 In Loudermilk, we held that the
The Johnses seek to rely on that holding to preserve the cases rejecting comparative negligence in strict products liability. That reliance is unfounded, because the application of comparative negligence is possible in strict products liability claims, where manufacturers and consumers of products are not engaged in traditional concerted action.
(d) Finally, the Johnses argue that holding manufacturers absolutely liable is a fundamental tenet of strict products liability, so allowing their responsibility to be reduced or eliminated based on the plaintiff‘s fault undermines the policy behind strict products liability. There is a policy argument that the protection of consumers is so important that it should extend to ignoring their contribution to injuries caused by defective products. On the other hand, some courts and scholars “have argued that it is unwise to relieve users and consumers of all responsibility for safe product use and consumption.” Restatement (Third) of Torts: Products Liability § 17, reporters’ note on comment a. (1998). See also Daly, 575 P2d at 1169 (“[W]е do not permit plaintiff‘s own conduct relative to the product to escape unexamined, and as to that share of plaintiff‘s damages which flows from his own fault we discern no reason of policy why it should . . . be borne by others.“); Smith v. Goodyear Tire & Rubber Co., 600 FSupp. 1561, 1568 (D. Vt. 1985) (“Although we would be reluctant to completely excuse defendants simply because some of a plaintiff‘s injuries might have resulted from his own actions, it also does not seem fair to allow a negligent plaintiff, who may have contributed to as much as fifty percent of his injuries, to pay for none of them and to recover as much as a plаintiff who had taken all precautions reasonable under the circumstances.“). In balancing these competing policy considerations, the General Assembly chose to enact
5. For the reasons explained above, we are not persuaded that we should ignore the plain language of
Judgment affirmed. All the Justices concur, except Peterson, J., who concurs except as to footnotes 7, 8, and 9, and Blackwell and Warren, JJ., not participating.
Decided October 19, 2020.
Certiorari to the Court of Appeals of Georgia — 351 Ga. App. 186.
Parks, Chesin & Walbert, David F. Walbert, Jennifer K. Coalson; Cochran & Edwards, R. Randy Edwards, Paul A. Piland; Sherrod & Bernard, John W. Sherrod, for appellants.
King & Spalding, Chilton D. Varner, Susan M. Clare, for appellees.
John D. Hadden; Balch & Bingham, James D. Meadows, James L. Hollis, Malissa A. Kaufold-Wiggins, Patrick N. Silloway; Chambless, Higdon, Richardson, Katz & Griggs, David N. Nelson; Drew, Eckl & Farnham, Elissa B. Haynes; Ellis Painter Ratterree & Adams, Philip M. Thompson, amici curiae.
Notes
The Johnses also argue that the separate damages award for Gwen‘s loss of consortium was not subject to
We also note that under this case law, the plaintiff‘s responsibility for injury resulting from use of a product was not eliminated completely in strict products liability cases. For еxample, the jury could consider the plaintiff‘s conduct if it went beyond merely failing to discover the product‘s defect or to guard against the possibility of its existence and instead constituted a knowing assumption of the risk caused by the defect. See, e.g., Deere, 250 Ga. at 519 (explaining that the theory “that the plaintiff assumed the risk of the injuries or damages which he sustained, by voluntarily and unreasonably proceeding to encounter a known danger,” which is “referred to as ‘assumption of risk,’ is a valid defense” against a strict products liability claim (citation and punctuation omitted)). See also Restatement (Second) of Torts § 402A comment n. (1965) (“[T]he form of contributory negligence which consists in voluntarily and unreasonably proceeding to encounter a known danger, and commonly passes under the name of assumption of risk, is a defense under this Section [discussing strict products liability] as in other cases of strict liability.“). The Johnses assert that we should not apply
SeeWhere an action is brought against more than one person for injury to person or property and the plaintiff is himself to some degree responsible for the injury or damages claimed, the trier of fact, in its determination of the total amount of damages to be awarded, if any, may apportion its award of damages among the persons who are liable and whose degree of fault is greater than that of the injured party according to the degree of fault of each person. Damages, if apportioned by the trier of fact as provided in this Code section, shall be the liability of each person against whom they are awarded, shall not be a joint liability among the persons liable, and shall not be subject to any right of contribution.
Id. at 735 n.3. But we also preserved the notion of some difference between a negligence claim and a design defect strict liability claim, saying that “we cannоt agree that the use of negligence principles to determine whether the design of a product was ‘defective’ necessarily obliterates under every conceivable factual scenario the distinction Georgia law has long recognized between negligence and strict liability theories of liability.” Id. See also Bailey v. Cottrell, Inc., 313 Ga. App. 371, 377 (721 SE2d 571) (2011) (Blackwell, J., concurring) (explaining that the standards for evaluating Indiana‘s negligence claim for a design defect and Georgia‘s strict products liability claim for a design defect were not “radically dissimilar” (punctuation omitted)). We need not delve any furthеr into the question of whether and how a manufacturer‘s negligence may be considered in certain types of strict products liability claims, however, because even taking Alexander‘s broad statement as totally correct and universally applicable, the Johnses’ argument fails for the reasons discussed below.the determination of whether a product was defective (involving the reasonableness of a manufacturer‘s design decisions), which is a basic inquiry for strict liability purposes, generally will overlap the determination of whether the manufacturer‘s conduct was reasonable, which is a basic inquiry for negligence purposes.
Butaud v. Suburban Marine & Sporting Goods, Inc., 555 P2d 42, 45 (Alaska 1976) (citation omitted), superseded in part by statute as noted in Smith v. Ingersoll-Rand Co., 14 P3d 990, 993-994 (Alaska 2000). See also Daly, 575 P2d at 1170 (“We are unpersuaded by the argument [that jurors cannot assess or compare plaintiff‘s negligence with defendant‘s strict liability] and are convinced that jurors are able to undertake a fair apportionment of liability.“).“It is true that the jury might have some difficulty in making the calculation required under comparative negligence when [the] defendant‘s responsibility is based on strict liability. Nevertheless, this obstacle is more conceptual than practical. The jury should always be capable, when the plaintiff has been objectively at fault, of taking into account how much bearing that fault had on the amount of damage suffered and of adjusting and reducing the award accordingly. . . .” Comparative negligence systems have long been employed in other jurisdictions, and experience has not borne out the argument that the system is difficult for courts and juries to administer.
The Johnses argue that we should not look to decisions from other states for help in deciding this case because Georgia‘s strict products liability claim applies only to manufacturers, whereas in other states it may apply to sellers and distributors as well. This difference, however, does not convince us that Georgia‘s strict products liability claim, unlike strict products liability claims in other states, cannot co-exist with principles of comparative negligence. Wе cite opinions from other states primarily to illustrate how other courts have evaluated the policy arguments that have been raised in this case.
Restatement (Third) of Torts: Products Liability § 17, comment a. (1998). The Third Restatement goes on to explain, however, that a plaintiff‘s comparative responsibility is no longer a total bar in the vast majority of states (including Georgia) and, correspondingly, “[a] strong majority of jurisdictions apply the comparative responsibility doctrine to products liability actions.” Id.Section 402A of the Restatement, Second, of Torts, recognizing strict liability for harm caused by defective products, was adopted in 1964 when the overwhelming majority rulе treated contributory negligence as a total bar to recovery. Understandably, the [American Law] Institute was reluctant to bar a plaintiff‘s products liability claim in tort based on conduct that was not egregious. Thus, § 402A, Comment n, altered the general tort defenses by narrowing the applicability of contributory negligence and emphasizing assumption of risk as the primary defense.
