Lead Opinion
delivered the opinion of the court:
The five causes consolidated in this appeal arise from one personal injury action. The plaintiff, James D. Kirk, filed a six-count complaint in the circuit court of Cook County against six defendants, five of whom are involved in this appeal. The defendants moved to dismiss the plaintiff’s third amended complaint for failure to state a cause of action; the trial court dismissed the action against five of the defendants. On the plaintiff’s appeal from the dismissal, the appellate court reversed the dismissals of the five counts and remanded for further proceedings. The defendants filed petitions for leave to appeal in this court under our Rule 315(a) (103 Ill. 2d R. 315(a)); we allowed the petitions and consolidated the five appeals for review.
Because this appeal is before the court on the defendants’ motion to dismiss, all well-pleaded facts will be regarded as true. (Katz v. Belmont National Bank (1986),
In count I of the plaintiff’s third amended complaint, he seeks recovery from Michael Reese on the theory that the hospital negligently failed to adequately warn McCarthy that the prescribed drugs administered would diminish his physical and mental abilities. Counts II and III seek recovery from Drs. Tracer and Fine, respectively, on the theory that the physicians knew or should have known that the drugs would diminish McCarthy’s mental abilities and that they negligently failed to warn McCarthy. Counts IV and V, both of which seek recovery against Michael Reese, as well as Squibb and SmithKline, respectively, are based on a strict liability theory and allege that the drugs were in an unreasonably dangerous condition because the manufacturers failed to adequately warn of the drugs’ dangerous propensities, that is, that the drugs would diminish the physical and mental abilities of the user, McCarthy. Count VI seeks recovery from McCarthy for his alleged negligence in operating the car. The trial court, after memoranda were filed and numerous arguments were heard, granted the motions of the hospital, two doctors, and two drug companies to dismiss. The trial court also denied the plaintiff’s oral motion to file a fourth amended complaint. Count VI against McCarthy was not dismissed and is not involved in this appeal.
The appellate court, with one justice dissenting, reversed and remanded the dismissed counts for trial. (
Because we are reviewing the dismissal of a complaint for faüure to state a cause of action, we must determine the legal sufficiency of the complaint. (Katz v. Belmont National Bank (1986),
The plaintiff asserts that, while the class of persons to whom the warning is required to be given may be very limited, the class of persons to whom the duty is owed includes the public generally. He contends also that the appellate court holding does not abolish or diminish the “learned intermediary” doctrine. The plaintiff, although he argued at the trial proceedings that the pharmaceutical companies owed a duty to warn the patients who use the drugs, now accepts Squibb’s and SmithKline’s position that adequate warnings are to be given to physicians only and not to the public generally. Our appellate court has previously adopted the learned intermediary doctrine (Mahr v. G. D. Searle & Co. (1979),
“ ‘We cannot quarrel with the general proposition that where prescription drugs are concerned, the manufacturer’s duty to warn is limited to an obligation to advise the prescribing physician of any potential dangers that may result from the drug’s use. This special standard for prescription drugs is an understandable exception to the Restatement’s general rule that one who markets goods must warn foreseeable ultimate users of dangers inherent in his products. See Restatement (Second) of Torts, Section 388 (1965). Prescription drugs are likely to be complex medicines, esoteric in formula and varied in effect. As a medical expert, the prescribing physician can take into account the propensities of the drug as well as the susceptibilities of his patient. His is the task of weighing the benefits of any medication against its potential dangers. The choice he makes is an informed one, and individualized medical judgment bottomed on a knowledge of both patient and palliative. Pharmaceutical companies then, who must warn ultimate purchasers of dangers inherent in patent drugs sold over the counter, in selling prescription drugs are required to warn only the prescribing physician, who acts as a “learned intermediary” between manufacturer and consumer.’ ” (Emphasis in original.)731 F.2d 1575 , 1579-80, quoting Reyes v. Wyeth Laboratories (5th Cir. 1974),498 F.2d 1264 , 1276, cert. denied (1974),419 U.S. 1096 ,42 L. Ed. 2d 688 ,95 S. Ct. 687 .
The drug manufacturer generally communicates warnings relating to prescription drugs to the medical profession through package inserts, the Physician’s Desk Reference, “Dear Doctor” letters, detailmen, and through other measures. (Sterling Drug, Inc. v. Yarrow (8th Cir. 1969),
The plaintiff also argues that the warnings given to the two doctors here were inadequate, thus making the prescription drugs “unreasonably dangerous.” This contention, however, is premature and puts the cart before the horse. As we. determined in Winnett v. Winnett (1974),
“In our judgment the liability of a manufacturer properly encompasses only those individuals to whom injury from a defective product may reasonably be foreseen and only those situations where the product is being used for the purpose for which it was intended or for which it is reasonably foreseeable that it may be used. Any other approach to the problem results in making the manufacturer and those in the chain of product distribution virtual insurers of the product, a position rejected by this court in Suvada.”57 Ill. 2d 7 ,11.
Winnett determined that whether a plaintiff is entitled to the protection afforded by the concepts of strict tort liabEity depends on whether the alleged conduct was reasonably foreseeable. “A foreseeability test, however, is not intended to bring within the scope of the defendant’s liability every injury that might possibly occur.” (
The pharmaceutical companies say that the trial court properly denied the plaintiff’s oral request to file a fourth amended complaint. The plaintiff asks that we grant leave to amend under Rule 362 (87 Ill. 2d R. 362(f)). A trial court has broad discretion in determining whether to allow amendments to a complaint. (Deasey v. City of Chicago (1952),
Turning to the portions of the complaint charging Michael Reese, the plaintiff posits liability in counts I, IV, and V against the hospital on two theories: strict liability and negligence. Under the strict liability counts, the plaintiff alleges that the products — the prescription drugs — were made unreasonably dangerous through the hospital’s alleged failure to warn the patient, McCarthy, of their possible adverse effects. The plaintiff correctly states that strict tort liability may be imposed upon sellers and those in the chain of distribution, as well as manufacturers, for their role in placing a defective product into the stream of commerce. (Crowe v. Public Building Com. (1978),
“In cases involving goods and other tangible physical materials which are in some way bad, imposition of liability unquestionably enhances the public interest in human life and health. However, in cases which deal with the conduct of individuals or institutions which themselves are pledged to protect human life and health, precautions must be taken to avoid an ultimate diminution of protection. *** For the reasons stated we conclude that public policy dictates against the imposition of strict liability in tort for injuries resulting from the administration of X-radiation treatments by a hospital.” Greenberg v. Michael Reese Hospital (1980),83 Ill. 2d 282 , 290-91.
We believe the trial court properly dismissed this strict liability count against the hospital.
As for the negligence count against the hospital, the plaintiff’s complaint alleges that Michael Reese had a duty, in prescribing the two drugs, to adequately warn McCarthy of adverse effects the drugs may have on his ability to safely operate an automobile. The hospital contends that it had no duty to warn McCarthy of the adverse effects of the drug because such a warning is a medical question within the discretion of the treating physician, who, the hospital says, bears this responsibility. The hospital also argues that its duties should not be extended to unknown, nonpatient, third parties.
Kirk makes no allegations that Drs. Fine or Tracer, the defendant physicians, were agents or employees of Michael Reese, which would postulate liability on a respondeat superior basis. Absent a principal-agent relationship, the alleged misconduct of a physician may not be imputed to the hospital, unless it had reason to know that malpractice would occur. (Pickle v. Curns (1982),
Recognizing the physician’s duty, the plaintiff also argues that the hospital has an independent duty to warn, which is “based on ordinary principles of professional malpractice,” and that that duty is extended to third parties. With this contention, then, the plaintiff is arguing that a third party with no patient/hospital or patient/ physician relationship be allowed to bring a cause of action based on the alleged negligent treatment of another.
A complaint for negligence, to be legally sufficient, must set out facts that establish the existence of a duty owed by the defendant to the plaintiff, a breach of that duty, and an injury proximately caused by that breach. (Teter v. Clemens (1986),
This court has held that “the existence of a legal duty is not to be bottomed on the factor of foreseeability alone,” but on whether the harm reasonably was foreseeable. (Cunis v. Brennan (1974),
Although the reasonable foreseeability of injury is a key concern in determining whether a duty exists, it is not the only consideration. The question of duty in a negligence action should take into account the likelihood of injury, the magnitude of the burden of guarding against it and the consequences of placing that burden upon the defendant. (Lance v. Senior (1967),
Holding the hospital liable for all harmful acts committed by patients who have been released would be an unreasonable burden on the institution. Too, a court’s determination of duty reflects the policy and social requirements of the time and community. (Mieher v. Brown (1973),
In determining that a duty existed, the appellate court relied partially on Renslow v. Mennonite Hospital (1977),
As we stated in Teter v. Clemens (1986),
Much of our discussion of the negligence count against the hospital is applicable to the counts against the two doctors. The plaintiff says the treating physicians had a duty to warn their patient, McCarthy, that the drugs could diminish his physical and mental abilities and that that duty runs in favor of those in the reasonably foreseeable field of danger, which included Kirk. The plaintiff also contends that it was reasonably foreseeable that a patient who is given a drug that diminishes his driving abilities will later have a car accident. Thus, the plaintiff argues, the circumstances of this case give rise to a common law duty to warn, running from the doctors to those in the general public who may reasonably be expected to come in contact with the patient on the day he is released. Dr. Tracer acknowledges that he had a duty to warn his patient about adverse effects that may result from taking a prescription drug. He argues, however, that physicians do not owe a general duty to unknown nonpatients who are injured by the physician’s alleged negligent treatment of a patient. Dr. Tracer also asserts that the public policy of this State prohibits such a broad duty being imposed against treating physicians. Both doctors also say that the events alleged in the plaintiffs third amended complaint that resulted in Kirk’s injury were not reasonably foreseeable. The third amended complaint specifically alleges that Dr. Tracer rendered medical treatment to McCarthy in the capacity of agent/servant or employee of Dr. Fine and is thus based on a respondeat superior theory. Dr. Fine argues that the trial court properly dismissed the plaintiff’s claim based on respondeat superior for failure to state a cause of action and also because the complaint alleges a superseding, intervening cause of plaintiff’s injuries, McCarthy’s alleged negligent driving.
With the exception of Renslow, discussed previously with reference to the hospital, the plaintiff has not cited any holding in which this court has extended a physician’s duty of care beyond the patient. In Renslow, this court recognized that the defendant doctor’s duty to the mother could be transferred to her child based on the “intimate relationship” between the two. (
Many of the decisions upon which the plaintiff relies (Semler v. Psychiatric Institute (4th Cir. 1976),
It is true, as the plaintiff points out, that several jurisdictions (Welke v. Kuzilla (1985),
Dr. Tracer points out that the most effective way to fulfill the duty required by the appellate court’s decision is through continued confinement of the patient, which he says would thwart drug therapy that enables psychiatric patients to return to the community to lead normal, productive lives. The plaintiff contends, however, that Dr. Tracer has falsely portrayed the burden of the physician’s .duty under the appellate court’s decision. All that is necessary for a physician to extinguish his potential liability, in the plaintiff’s view, is for the physician to tell the patient that the drug will diminish his physical and mental abilities, that he should not drive for a designated time period, and that he should not consume alcohol. The plaintiff overlooks that the appellate court decision explicitly extends the duties of the doctors — and, for that matter, all the defendants — beyond the patient to the general public. Such a broad duty extended to the general public would expand the physician’s duty of care to an indeterminate class of potential plaintiffs. Our General Assembly, as we discussed previously, has very recently enacted major medical malpractice legislation to reduce the burden of litigation against health care professionals. We must conclude that the plaintiff here does not fall into the class of persons to whom the duty of care is owed by the defendant doctors. (See Curtis v. County of Cook (1983),
Other contentions of the plaintiff need not be considered because the first essential of a negligence action— the existence of a recognized duty — has not been met.
For the reasons stated, the judgment of the appellate court is reversed as to all counts and the judgment of the trial court is affirmed.
Appellate court reversed; circuit court affirmed.
CHIEF JUSTICE CLARK and JUSTICE GOLDENHERSH took no part in the consideration or decision of this case.
Concurrence Opinion
concurring in part and dissenting in part:
While I concur with the majority’s decision to dismiss the claim against the hospital, I dissent from the majority’s conclusion that the plaintiff fails to state a cause of action against the doctors for negligence and against the pharmaceutical companies for failure to give adequate warnings of the drugs’ dangerous propensities. The cause of action against the doctors presents neither the problems inherent in upholding the negligence count against the hospital nor the complex policy considerations involved in extending the boundaries of the tort of medical malpractice. (
The majority accurately states that: “The question of duty in a negligence action should take into account the likelihood of injury, the magnitude of the burden of guarding against it and the consequences of placing that burden upon the defendant.” (
“The use of this drug may impair the mental and physical abilities required for driving a car or operating heavy machinery. Physicians should be alert to the possibility that severe adverse reactions may occur which require immediate medical attention. Potentiation of the effects of alcohol may occur with the use of this drag.”
The doctors’ failure to issue this warning set into motion a series of events which culminated in an injury to a foreseeable class of persons — a passenger in the car of a patient who took the drug, drank, and drove.
It is immaterial that the passenger rather than the patient was injured as a result of the doctors’ failure to issue these warnings. A duty can exist to a third party when a defendant who has knowledge of the risk fails to take precautions, and a foreseeable injury of the same kind or class of harm which made the conduct dangerous occurs. Neering v. Illinois Central Railroad Co. (1943),
For instance, it is negligent for an adult to give a loaded shotgun to a child because a child does not have the maturity to understand the potential danger of pulling the trigger. As far as the adult’s liability is concerned, it makes little difference whether the child shoots himself or someone else whom the adult has no reason to know. The adult’s duty to refrain from this negligent act extends to all “kinds of hazards that were so foreseeably great as to make the act negligent.” F. Harper, F. James & O. Gray, The Law of Torts sec. 18.2, at 662 (2d ed. 1986).
As in the above example, the doctors here are responsible for the natural consequences that flow from their failure to issue proper warnings to their patient. These consequences would include the plaintiff’s injury since it fell within the foreseeable risks specifically mentioned in the warnings provided by the pharmaceutical company. The majority’s view that the .plaintiff here was too remote to fall within the scope of the doctors’ duty of care (
The majority’s fear that if we were to uphold this cause of action we would extend a doctor’s duty of. care .to an indeterminable number of persons is misplaced. (
“The conduct of the defendant’s guard, *** was not a wrong in its relation to the plaintiff, standing far away. Relatively to her it was not negligence at all. Nothing in the situation gave notice that the falling package had in it the potency of peril to persons thus removed ***. If no hazard was apparent to the eye of ordinary vigilance, an act innocent and harmless, at least to outward seeming, with reference to her, did not take to itself the quality of a tort because it happened to be a wrong *** with reference to some one else [the passenger carrying the package of fire crackers] ***.” F. Harper, F. James & O. Gray, The Law of Torts sec. 18.2, at 655 (2d ed. 1986), quoting Palsgraf v. Long Island R.R. Co. (1928),248 N.Y. 399 , 341-44,162 N.E. 99 , 99-100.
In contrast, the risk to the plaintiff here was readily apparent — it was foreseeable that the patient could injure himself while driving should he fail to receive the appropriate warnings. It was as forseeable that while driving he might have a passenger who also would be injured because of the combination of the medicine and alcohol. Too, there was nothing seemingly innocent or harmless in the doctors’ failure to issue the warning. The doctors’ wrongs here were twofold; they not only failed to exercise due care to their patient by neglecting to issue the warnings, but also they disregarded the risk to the plaintiff or any other person unfortunate enough to be traveling with the patient or in his path. As one group of commentators have noted, the rule of Palsgraf is that:
“[T]he scope of duty is concerned with exactly the same factors as is the inquiry into whether conduct is unreasonably dangerous (i.e., negligent). Both seek to find what consequences of the challenged conduct should have been foreseen by the actor who engaged in it. Neither inquiry stops with what might be called the physical range of foreseeable harm, or with mere proximity in time or space. In both we look to see what natural forces and what human conduct should have appeared likely to come on the scene, and we weigh the dangerous consequences likely to flow from the challenged conduct in the light of these interventions.” F. Harper, F. James & O. Gray, The Law of Torts see. 18.2, at 656-57 (2d ed. 1986).
The plaintiff’s cause, of action in this case fits squarely within this rule. The injury was a natural consequence of the doctors’ failure to issue the warnings and, unlike the situation in Palsgraf, no extra burden is imposed on a doctor to take precautions or give adequate warnings because the plaintiff’s passenger rather than the plaintiff might be injured. In contrast to the situation in Palsgraf, where to avoid liability a guard would have had to open every single package before helping a person onto a train, all a doctor would be required to do is what the law already expects — to exercise due care with respect to his patient by informing him of the side effects of the prescribed drags.
The majority’s decision to dismiss the strict liability claim for failure to provide adequate warnings is also questionable. The court’s ruling effectively holds that the learned intermediary doctrine, which absolves a pharmaceutical manufacturer of liability for harmful side effects of the prescribed drug once health-care professionals are given adequate warnings, operates as an absolute defense to strict liability. My colleagues reach this conclusion without any consideration of the nature, adequacy or existence of the warnings the pharmaceutical company gave with respect to the medicine prescribed here.
The broad reach of this holding results from the majority’s error in viewing this question as though it came before this court on a ruling on a motion for summary judgment, rather than a motion to dismiss. Instead of examining the legal sufficiency of the complaint, the appropriate standard for reviewing a dismissal resulting from failure to state a cause of action (Katz v. Belmont National Bank (1986),
“have reasonably foreseen that their drugs would be dispensed without warnings by the physicians ***. This sequence would be triggered by an element that we have determined that the pharmaceutical companies did not have to foresee under the circumstance shown here: that the drugs would be dispensed without the warnings that the two companies provided to the physicians.” (Emphasis added.)117 Ill. 2d at 521 .
The majority, in assuming the warnings were adequate, deprives the plaintiff of his right to present evidence to a finder of fact relative to the existence and sufficiency of the warnings. Our appellate court, in reversing the trial court’s dismissal of this claim, accurately emphasized that:
“[T]he sufficiency of the warnings is not resolved judicially *** but remain's a question to be resolved by the trier of fact ***. *** Here, since the counts against the drug manufacturers were dismissed because of a failure to state a cause of action [citation], the factual question as to the adequacy of warnings that allegedly were included as package inserts or that may have been given by the drug manufacturers to the medical profession is not before us. (Emphasis added.)136 Ill. App. 3d 945 , 952 n.2.
By denying the plaintiff his right to present this proof, the majority has turned the learned intermediary doctrine into an absolute bar against liability. This determination effectively insulates drug manufacturers from their obligation to provide adequate warnings. Although the warnings given may have been adequate, we have no way at this point in the litigation of knowing whether this is so, and my view is that their adequacy needs to be tried out.
