CORBY KUCIEMBA et al.,
S274191
IN THE SUPREME COURT OF CALIFORNIA
July 6, 2023
Ninth Circuit 21-15963; Northern District of California 3:20-cv-09355-MMC
Justice Corrigan authored the opinion of the Court, in which Chief Justice Guerrero and Justices Liu, Kruger, Groban, Jenkins, and Evans concurred.
Justice Corrigan authored the opinion of the Court, in which Chief Justice Guerrero and Justices Liu, Kruger, Groban, Jenkins, and Evans concurred.
KUCIEMBA v. VICTORY WOODWORKS, INC.
S274191
Opinion of the Court by Corrigan, J.
Here we answer two questions of California law certified from the United States Court of Appeals for the Ninth Circuit concerning the scope of an employer‘s liability when an employee‘s spouse is injured by transmission of the virus1 that causes the disease known as COVID-19. The questions are: (1) If an employee contracts COVID-19 at the workplace and
The answer to the first question is no. Exclusivity provisions of the WCA do not bar a nonemployee‘s recovery for injuries that are not legally dependent upon an injury suffered by the employee. The answer to the second question, however, is also no. Although it is foreseeable that an employer‘s negligence in permitting workplace spread of COVID-19 will cause members of employees’ households to contract the disease, recognizing a duty of care to nonemployees in this context would impose an intоlerable burden on employers and society in contravention of public policy. These and other policy considerations lead us to conclude that employers do not owe a tort-based duty to nonemployees to prevent the spread of COVID-19.
I. BACKGROUND
Because this matter is presently on appeal from a dismissal under
COVID-19 is a highly contagious and potentially fatal respiratory illness spread through airborne droplets, like those produced from coughs or sneezes. The complaint alleges the disease can also be spread by contact with virus particles left on the surface of objects. The disease was recognized in early 2020 and spread rapidly across the globe. In March 2020, the World Health Organization declared COVID-19 a pandemic, and Bay Area counties issued shelter-in-place orders prohibiting nonessential travel. Eventually, these orders were relaxed and replaced with orders tailored to specific industries. As relevant here, the City and County of San Francisco‘s health officer issued an order on April 29, 2020 prescribing health and safety guidelines to prevent the spread of COVID-19 at construction jobsites.
On October 23, 2020, the Kuciembas sued Victory in superior court. Corby asserted claims for negligence, negligence per se, premises liability, and public nuisance. Robert asserted a claim for loss of consortium. Victory removed the case to federal court and moved to dismiss. The district court granted the motion with leave to amend. Plaintiffs filed an amended complaint reasserting the same causes of action except the public nuisance claim. The district court granted a renewed motion to dismiss, this time without leave to amend, concluding: (1) claims that Corby contracted COVID-19 through direct contact with Robert were barred by the WCA‘s exclusive remedy provisions; (2) claims that Corby contracted COVID-19 through indirect contact with infected surfaces were subject to dismissal for failure to plead a plausible claim; and (3) to the extent the claims were not barred by statute or insufficiently рleaded, they failed because Victory‘s duty to provide a safe workplace did not extend to nonemployees, like Corby, who contract a virus away from the jobsite.
Plaintiffs appealed, and on June 22, 2022, we agreed to answer the certified questions.
II. DISCUSSION
A. Workers’ Compensation Exclusivity
The California‘s workers’ compensation system is a comprehensive statutory scheme through which employees may receive prompt compensation for costs related to injuries incurred in the course and scope of their employment. (
To effectuate this exchange, the WCA limits an employee‘s remedies for covered injuries. When the statutory conditions for recovery are met, an employer‘s liability to pay compensation under the WCA is “in lieu of any other liability whatsoever to any person.” (
Because the workers’ compensation system has its theoretical basis in the compensation bargain between employer and employee, a nuanced analysis is required when third parties seek to sue the employer after an employee‘s work-related injury. In general, workers’ compensation benefits provide the exclusive remedy for third party claims if the asserted claims are “collateral to or derivative of” the employee‘s workplace injury. (Snyder, supra, 16 Cal.4th at p. 997; see King v. CompPartners, Inc. (2018) 5 Cal.5th 1039, 1051 (King); Vacanti, supra, 24 Cal.4th at p. 811.) This aspect of workers’ compensation law is sometimes called the derivative injury doctrine. (See, e.g., Snyder, at p. 1000.) Examples of third party claims deemed “collateral” or “derivative” include heirs’ claims for an employee‘s wrongful death (Horwich v. Superior Court (1999) 21 Cal.4th 272, 286), a spouse‘s claim for
Determining the scope of workers’ compensation exclusivity can be analytically challenging. (See Vacanti, supra, 24 Cal.4th at p. 811.) After all, a spouse‘s complaint for loss of consortium or negligent infliction of emotional distress seeks damages for injuries that the nonemployee plaintiff personally suffers. Yet, the spouse‘s claims would not arise but for the fact that the employee was injured. It is the fact of the employee‘s workplace injury that results in the spouse‘s loss of consortium or emotional distress. If the employee had not been injured, the spouse‘s injury would not have occurred. However, we have held that something more than factual, or “but for,” causation is necessary to give rise to the exclusivity bar imposed by the derivative injury doctrine. A plaintiff‘s claim is barred as derivative only if the plaintiff is required to prove injury to the employee as at least part of a legal element of the plaintiff‘s own cause of action.
For example, a common law loss of consortium claim requires proof of “four elements: (1) a valid and lawful marriage between the plaintiff and the person injured at the time of the injury; [¶] (2) a tortious injury to the plaintiff‘s spouse; [¶] (3) loss of consortium suffered by the plaintiff; and [¶] (4) the loss was proximately caused by the defendant‘s act.‘” (LeFiell, supra, 55 Cal.4th at pp. 284-285.) Because the plaintiff is required to prove that her spouse suffered tortious injury, the claim is ” ‘by its nature, dependent on the existence of a cause of action for tortious injury to a spouse.’ ” (Id. at p. 285.) A wife may suffer her own loss of consortium injury, but that claim legally derives from the tortious injury to her husband. Similarly, a bystander‘s recovery for negligent infliction of emotional distress is permitted only if the “plaintiff: (1) is closely related to the injury victim; (2) is present at the scene of the injury-producing event at the time it occurs and is then aware that it is causing injury to the victim; and (3) as a result suffers serious emotional distress.” (Thing v. La Chusa (1989) 48 Cal.3d 644, 667-668, fns. omitted.) As with loss of consortium, to be legally sufficient the emotional distress claim requires the occurrence of a separate injury to the plaintiff‘s close relation.
Snyder‘s analysis began with a close examination of the Bell case, which it then disapproved. The pregnant employee in Bell had complained of severe abdominal pain, which turned out to be caused by a ruptured uterus. An on-site nurse employed by Macy‘s misdiagnosed the condition and delayed calling for an ambulance. The complaint alleged that the delay caused fetal brain damage. (Bell, supra, 212 Cal.App.3d at pp. 1446-1447.) The trial court granted summary judgment to Macy‘s on the ground that the child‘s claims were barred by the derivative injury doctrine. The Bell court affirmed, concluding workers’ compensation exclusivity barred the child‘s tort claims against the employer because a fetus in utero is inseparable from its mother. Therefore, the prenatal injuries were “a collateral consequence” and a “direct result” of the employer‘s negligence toward the mother. (Id. at p. 1453.) Bell reasoned that injury to a fetus “can only occur as the result of some condition affecting its mother,” and if that condition arises in the course of employment the derivative injury doctrine applies. (Id. at p. 1453, fn. 6.)
Snyder rejected Bell‘s focus on the relationship of fetal injuries to a maternal “condition” as overbroad: “Neither the statutes nor the decisions enunciating the [derivative injury] rule suggest workers’ compensation exclusivity extends to all third party claims deriving from some ‘condition affecting’ the employee. Nor is a nonemployee‘s injury collateral to or derivative of an employee injury merely because they both resulted from the same negligent conduct by the employer. The employer‘s civil immunity is not for all liability resulting from negligence toward employees, but only for all liability, to any person, deriving from an employee‘s work-related injuries. ([
The argument misinterprets Snyder. We explained there that the derivative injury rule governs when ” ‘the third party cause of action [is] derivative of the employee injury.’ ” (Snyder, supra, 16 Cal.4th at p. 998, italics added.) Snyder thus tethered the derivative injury analysis to the plaintiff‘s cause of action, not to a factual relationship between injuries to the plaintiff and the employee. That focus is confirmed by Snyder‘s next sentence, which explains that the derivative injury rule comes into play when the plaintiff must allege injury to an employee “in order to state a cause of action.” (Ibid., italics added.) Snyder did not hold that the exclusivity bar arises any time an employee injury is a “but for” cause of injury to a third party. Read carefully, the case holds that exclusivity provisions bar a third party claim only when proof of an employee‘s injury is required as an element of the cause of action.
Snyder took pains to note that a third party‘s claim must be legally dependent on an employee‘s injury for the derivative injury rule to apply. For example, we observed that the Bell court erred in examining whether the fetal injuries resulted from negligent treatment of the mother or a “condition” affecting the mother. (Snyder, supra, 16 Cal.4th at p. 999.) Instead, we explained, the court should have asked “whether [the child‘s] claim was legally dependent on [the mother‘s] work-related injuries.” (Ibid., first italics added.) We faulted Bell‘s assertion that fetus and mother were ” ‘inseparable,’ ” noting that fetal and maternal injuries are not necessarily related. (Id. at p. 1000.) Then, of critical importance here, we held that “[e]ven when the mother is injured, . . . the derivative injury rule does not apply unless the child‘s claim can be considered merely collateral to the mother‘s work-related
Accordingly, Victory‘s sole focus on viral transmission as a factual “but for” cause is misplaced. For the derivative injury rule to apply, Robert‘s infection must not only be the factual cause of Corby‘s illness; Corby‘s claim must also be “legally dependent on injuries suffered by” Robert. (Snyder, supra, 16 Cal.4th at p. 1000, italics added.) Robert‘s infection may have been a necessary factual step in the causal chain that led to Corby‘s illness. But it is not necessary for Corby to allege or prove injury to Robert to support her own negligence claim. The difference becomes clear when her claim is compared to a derivative claim like loss of consortium. If Corby had sought recovery for loss of consortium, she would have been required to prove that an injury to her spouse, Robert, in turn injured her by affecting their marital relationship. (See LeFiell, supra, 55 Cal.4th at p. 285.) To support her negligence claim here against Victory, however, she need only show that Robert was exposed to the virus at the workplace and carried it home to her. As plaintiffs point out, it does not matter for purposes of Corby‘s claim whether Robert himself developed COVID-19 or suffered any cognizable injury from his exposure to the virus. Corby‘s negligence claim is not legally dependent on any actual injury to Robert.
The recent decision in See‘s Candies, supra, 73 Cal.App.5th 66 properly applied Snyder in addressing essentially the same facts presented here. The See‘s Candies complaint alleged that a wife had contracted COVID-19 at work due to the company‘s poor safety practices. She infected her husband, who died from the illness. (Id. at p. 72.) The trial court rejected the company‘s argument that the wife‘s wrongful death claims were barred by workers’ compensation exclusivity because the husband‘s death would not have occurred but for her own workplace injury. (Id. at pp. 72-73.) Ruling on the company‘s petition for writ relief, the Court of Appeal affirmed, concluding the company‘s sole reliance on biological causation was inconsistent with our discussion in Snyder. The court observed that Snyder repeatedly described “collateral or derivative claims as those that are ‘legally’ or ‘logically’ dependent on an employee‘s injuries.” (Id. at p. 85, quoting Snyder, supra, 16 Cal.4th at pp. 999, 1000, 1005.) After discussing some unifying features of derivative claims, the court correctly concluded the derivative injury rule applies when it is “legally impossible to state a cause of action . . . without alleging a disabling or lethal injury to another person.” (See‘s Candies, at p. 86.) Moreover, the court noted, “a construction of the derivative injury rule premised solely on causation would bar civil claims by any person injured as a result of the employee‘s injury,” not just claims from family members. (Id. at p. 89.)
Salin v. Pacific Gas & Electric Co. (1982) 136 Cal.App.3d 185 (Salin) involved unusual facts. Salin‘s highly stressful job allegedly caused him to become increasingly mentally deranged. (Id. at pp. 187-188.) One day, as a result of the extreme pressure exerted by his employer, Salin attempted to kill himself but instead shot and killed his two young daughters. (Id. at p. 189.) He then sued his employer for his daughters’ wrongful deaths. (Ibid.) The Court of Appeal was skeptical of this claim. It correctly concluded workers’ compensation provided the sole remedy for Salin‘s own injuries because, as the complaint alleged, the psychotic episode was proximately caused by his own employment. (Id. at pp. 190-191; see
Salin‘s analysis on this point was thin. Quoted in full, it reads: “We have considered plaintiff‘s argument, as we understand it, that in respect of his daughters’ wrongful death, he stands in the position of a nonemployee third party who has suffered injury and damages as a result of the tortious act of an employer. [¶] The point is answered by
As is apparent from the foregoing, the Salin court relied solely on the statutory provision limiting employers’ liability for injuries “sustained by . . . employees” (
Our opinion in Snyder cast some doubt on this analysis. If this court had agreed that “but for” causation alone is sufficient to render a third party‘s personal injury claim derivative, Snyder would have discussed Salin with approval. But it did not. Instead, after explaining that claims for wrongful death, loss of consortium, and negligent infliction of emotional distress are derivative because the alleged injuries are “legally as well as causally” dependent on an employee‘s injury (Snyder, supra, 16 Cal.4th at p. 999), Snyder mentioned Salin in a footnote, observing that “[o]ne Court of Appeal has gone farther” (id. at p. 999, fn. 2). Without deciding the correctness of Salin‘s holding, we observed that
