delivered the opinion of the court:
The plaintiff, Kenneth Meerbrey, brought an action in the circuit court of Cook County against the defendants, Marshall Field & Company (Marshall Field) and its agent, Tim Marcolini, seeking injunctive relief and monetary damages for false imprisonment, false arrest, and malicious prosecution. The trial court dismissed Marshall Field from counts II through V of the plaintiffs complaint, on the ground that the exclusivity provisions of the Workers’ Compensation Act (Ill. Rev. Stat. 1987, ch. 48, par. 138.5(a)) barred the plaintiff’s common law cause of action. The trial court also dismissed defendant Marcolini from counts III through V of the complaint for failure to allege sufficient facts to state a cause of action (Ill. Rev. Stat. 1987, ch. 110, par. 2 — 615). The appellate court affirmed the dismissal of Marshall Field from counts II through V of the complaint and the dismissal of Marcolini from count V of the complaint, but reversed the trial court’s dismissal of Marcolini from counts III and IV of the complaint. (
According to the allegations in the pleadings, Marshall Field employed the plaintiff as a part-time cashier and defendant Marcolini as a security guard. On January 19, 1985, the plaintiff was summoned to the security offices of Marshall Field, where he was questioned by Marcolini regarding the alleged theft of approximately $600 from Marshall Field. During this interview, the plaintiff took a polygraph test and ultimately signed a restitution form and promissory note regarding the theft. Thereafter, the plaintiff paid Marshall Field $500 under the terms of the note.
On February 12, 1985, the plaintiff returned to Marshall Field for the purpose of obtaining his payroll check for past earnings. According to the allegations in the complaint, the plaintiff was arrested and forcibly taken to security offices by defendant Marcolini and other security personnel. Marshall Field and its agents then summoned members of the Chicago police department, who took the plaintiff into custody, escorted him through the store in handcuffs and transported him to police headquarters. The complaint also alleged that Marshall Field, through its agent, Rochella Davis, filed a criminal complaint charging the plaintiff with criminal trespass. The plaintiff alleged that he was placed on trial for that offense and that the trial culminated in his favor.
The plaintiff subsequently filed a complaint in the circuit court of Cook County against Marshall Field and Marcolini alleging various causes of action. Count I of the plaintiff’s original complaint sought to enjoin Marshall Field and Marcolini from ejecting plaintiff from Marshall Field’s store. The circuit court dismissed this count and this dismissal was later affirmed on appeal. (
Three issues are presented for review: (1) whether an employee who is injured as a result of the intentional conduct of a co-employee is barred by the exclusivity provision of the Workers’ Compensation Act (Act) (Ill. Rev. Stat. 1987, ch. 48, par. 138.5) from maintaining a common law action against his employer; (2) whether an employee who is injured as a result of the intentional conduct of a co-employee acting within the scope of his employment may maintain a common law action against that co-employee; and (3) whether counts III through V of the complaint adequately state a cause of action against Marcolini for false imprisonment, false arrest, and malicious prosecution.
We first consider whether, assuming counts II through V state a cause of action against Marshall Field, such counts are nevertheless barred by the exclusivity clauses of the Workers’ Compensation Act (Ill. Rev. Stat. 1987, ch. 48, par. 138.1 et seq.). The Workers’ Compensation Act is designed to provide financial protection to workers for accidental injuries arising out of and in the course of employment. (See Pathfinder Co. v. Industrial Comm’n (1976),
“No common law or statutory right to recover damages from the employer *** or the agents or employees of *** [the employer] for injury or death sustained by any employee while engaged in the line of his duty as such employee, other than the compensation herein provided, is available to any employee who is covered by the provisions of this Act, ***.” (Ill. Rev. Stat. 1987, ch. 48, par. 138.5(a).)
Section 11 of the Act also states:
“The compensation herein provided, together with the provisions of this Act, shall be the measure of the responsibility of any employer *** for accidental injuries sustained by any employee arising out of and in the course of the employment according to the provisions of this Act ***.” (Ill. Rev. Stat. 1987, ch. 48, par. 138.11.)
These sections bar an employee from bringing a common law cause of action against his or her employer unless the employee-plaintiff proves: (1) that the injury was not accidental; (2) that the injury did not arise from his or her employment; (3) that the injury was not received during the course of employment; or (4) that the injury was not compensable under the Act. Collier v. Wagner Castings Co. (1980),
The plaintiff does not challenge that his injuries arose out of and in the course of his employment. He does claim, however, that the first and fourth exceptions to the exclusivity rule apply here. The plaintiff first contends that he is not barred from bringing a common law cause of action against Marshall Field because his injuries were not “accidental” within the meaning of the Act. This court has determined that the term “accidental” in the Act is not “ ‘a technical legal term but encompasses anything that happens without design or an event which is unforeseen by the person to whom it happens.’ ” (Pathfinder Co. v. Industrial Comm’n (1976),
The exclusivity provisions will not bar a common law cause of action against an employer, however, for injuries which the employer or its alter ego intentionally inflicts upon an employee or which were commanded or expressly authorized by the employer. (2A A. Larson, Law of Workmen’s Compensation §68.21 (1988); see Collier v. Wagner Castings Co. (1980),
The trial court here determined that the plaintiff’s complaint did not allege that Marcolini was the alter ego of Marshall Field or that Marshall Field committed, commanded or expressly authorized Marcolini’s actions. Accordingly, the court held that the plaintiff’s common law cause of action against Marshall Field was barred by the exclusivity provisions of the Act and.dismissed Marshall Field from counts II through V of the complaint. Although the trial court gave the plaintiff the opportunity, to amend his complaint to add allegations, in good faith, that Marshall Field had somehow expressly authorized, commanded or committed an intentional tort, the plaintiff elected to stand on the pleadings as submitted and to appeal the trial court’s determination.
The plaintiff argues that his complaint sufficiently alleges that Marshall Field expressly authorized defendant Marcolini’s actions. As support for this claim, the plaintiff points out that his complaint alleges that Marcolini was acting within the scope of his authority as Marshall Field’s agent and employee at the time he committed the alleged torts against the plaintiff. He also claims that the appellate court decision affirming the dismissal of his complaint conflicts with the decision in Sunseri v. Pucia (1981),
We agree with the defendant, however, that an allegation that Marcolini was acting within the scope of his authority is not equivalent to an allegation that Marshall Field expressly authorized Marcolini to commit the specific acts in question. By alleging that Marcolini was acting within the scope of his employment, the plaintiff seeks to impose liability upon Marshall Field under the principle of respondeat superior. This court held in Collier, however, that unless an employer has committed, commanded or expressly authorized an assault against an employee, it should not be forced to defend against a common law action seeking damages for such an assault. (Collier v. Wagner Castings Co. (1980),
The legal justification for allowing a common law cause of action against an employer who personally commits an intentional tort does not apply where a plaintiff-employee seeks to impose liability upon his or her employer solely under the principle of respondeat superior. As Professor Larson explained:
“The legal reason for permitting the common-law suit for direct assault by the employer *** is that the same person cannot commit an intentional assault and then allege it was accidental. This does not apply when the assailant and the defendant are two entirely different people. Unless the employer has commanded or expressly authorized the assault, it cannot be said to be intentional from his standpoint any more than from the standpoint of any third person. Realistically, it to him is just one more industrial mishap in the factory, of the sort he has the right to consider exclusively covered by the compensation system.” (2A A. Larson, Law of Workmen’s Compensation §68.21 (1988).)
The plaintiff mistakenly relies upon the decision in Sunseri v. Puccia (1981),
The facts here are distinguishable from Barnes v. Chrysler Corp. (N.D. Ill. 1946),
The plaintiff also argues for the first time on this appeal that the exclusivity provisions do not bar his common law action against Marshall Field because his injuries are not compensable under the Act. The plaintiff notes that no Illinois decision has yet held that injuries arising from false imprisonment, false arrest and malicious prosecution are compensable under the Act.
The plaintiff has waived this claim, by failing to raise it in the trial court. (Smith v. Airoom, Inc. (1986),
We note that our research has disclosed several decisions from other jurisdictions which held that injuries suffered as a result of false imprisonment and malicious prosecution are not compensable under workers’ compensation laws. See Moore v. Federal Department Stores, Inc. (1971),
As stated, the plaintiff did not cite these decisions and attempt to reconcile them with our holdings in Collier or Pathfinder. In view of the plaintiff’s waiver of the issue in the trial court and his failure to develop the issue in this appeal, we decline to consider whether the emotional injuries the plaintiff allegedly suffered differ from those deemed compensable in Collier and Pathfinder. (Spinelli v. Immanuel Lutheran Evangelical Congregation, Inc. (1987),
We must also consider whether the exclusivity provisions of the Act bar the plaintiff’s common law cause of action against Marcolini. The majority of jurisdictions, either by statute or by judicial decision, bar employees from bringing common law tort actions against co-employees for injuries negligently inflicted by co-employees in the course of their employment. (See 2A A. Larson, Law of Workmen’s Compensation §72.21, at 14 — 92 n.23 (and decisions cited therein).) Illinois is in the majority. Rylander v. Chicago Short Line Ry. Co. (1959),
Our courts have determined that the purpose of workers’ compensation is to place the cost of industrial accidents upon the industry. That purpose would be thwarted if the cost of those accidents was shifted from one employee to another employee within the industry. Rylander v. Chicago Short Line Ry. Co. (1959),
The plaintiff here, however, brings an action for injuries suffered, it is claimed, as a result of his co-employee’s intentional torts, rather than for injuries that the co-employee negligently inflicted. (See Lopez v. Winchell’s Donut House (1984),
Other jurisdictions have rejected this reasoning and hold that an employee is barred from bringing a common law action against a co-employee for intentional torts which arise out of and within the course of employment. (See 2A A. Larson, Law of Workmen’s Compensation §72.21, at 14 — 73 through 14 — 81 (and decisions cited).) These courts hold that the co-employee immunity rule is consistent with the purpose of worker’s compensation statutes, which is to place the costs of industrial hazards, including the risk that one employee will intentionally interfere with another employee’s legal interests, upon the industry. (Kandt v. Evans (Colo. 1982),
Our court has not yet addressed the question whether an employee may bring an action for damages .against his co-employee for injuries suffered as a consequence of the co-employee’s intentional tort. Although the issue was raised in Collier v. Wagner Castings Co. (1980),
Although this court has not decided the question, the appellate court in Jablonski v. Multaek (1978),
“[t]he socially beneficial purpose of the workmen’s compensation law was not meant to permit a person who commits an intentional tort to use the compensation law as a shield against liability [citation]. Moreover, in view of the fact that benefits under the Act are paid from employers’ premiums as a means of spreading the cost of hazards of the work place [citations] we do not believe the legislature intended that an intentional tortfeasor could shift his liability for his acts to such a fund.
We hold, therefore, that an employee who commits an intentional tort may not raise the Act as a bar to an action for damages by a fellow worker.” (Jablonski v. Multaek (1978),63 Ill. App. 3d 908 , 915.)
We agree with the reasoning expressed in Jablonski, and hold that the exclusive remedy provisions of the Act do not bar employees from pursuing a common law action against co-employees for injuries arising out of intentional torts. The co-employee should not be permitted to assert that the plaintiff’s injuries were accidental and therefore barred under the exclusivity provisions of the Act, when he himself committed the intentional tort.
We next consider whether the factual allegations in counts III, IV and V are sufficient to state a cause of action against Marcolini for false imprisonment, false arrest, and malicious prosecution. The trial court dismissed these counts pursuant to section 2 — 615 of the Code of Civil Procedure (Ill. Rev. Stat. 1989, ch. 110, par. 2— 615) on the ground that there were insufficient facts to support a cause of action against Marcolini. The appellate court affirmed the dismissal of count V, but reinstated counts III and IV, finding that the defendant had misled the trial court to believe that Marcolini was not implicated in those counts.
In considering a motion to dismiss, all well-pleaded facts in a complaint must be taken as true with all inferences from it to be drawn in favor of the nonmovant. (Beckman v. Freeman United Coal Mining Co. (1986),
Applying these principles to the complaint, we hold that the trial court properly dismissed count V of the complaint, which attempts to state a cause of action for malicious prosecution against Marcolini. To state a cause of action for malicious prosecution, the plaintiff must allege facts showing “ ‘(1) the commencement or continuance of an original criminal or civil judicial proceeding by the defendant; (2) the termination of the proceeding in favor of the plaintiff; (3) the absence of probable cause for such proceeding; (4) the presence of malice; and (5) damages resulting to the plaintiff.’ ” (Joiner v. Benton Community Bank (1980),
Counts III and IV of the complaint purport to state a cause of action against Marcolini for false arrest and false imprisonment. False imprisonment is an unreasonable restraint of an individual’s liberty, against his will, caused or procured by the defendant. (Hajawii v. Venture Stores, Inc. (1984),
The defendants claim that the trial court properly dismissed counts III and IV of the plaintiff’s complaint, because those counts do not sufficiently allege that Marcolini was acting without reasonable cause to believe that the plaintiff had committed a criminal trespass at the time he detained and arrested him. The plaintiff - responds that the allegations in his complaint are sufficient.
In view of the statutory directive in section 2 — 603 of the Civil Practice Law (Ill. Rev. Stat. 1987, ch. 110, par. 2 — 603(c)) that “[p]leadings shall be liberally construed with a view to doing substantial justice between the parties,” we hold that counts III and IV are sufficient to state a cause of action against Marcolini for false arrest and false imprisonment. Count III alleges that the plaintiff was falsely and unlawfully arrested and forcibly taken to Marshall Field’s security offices by Marcolini and other security personnel when he entered Marshall Field’s premises for the purpose of receiving his payroll check. Count III also alleges that the plaintiff was subsequently taken into custody and placed on trial for the offense of criminal trespass, and that said criminal proceeding culminated in his favor. Count IV incorporates the allegations of count III and states that the plaintiff’s arrest was wholly without probable cause and was done maliciously and with intent to injure the plaintiff. While we will not speculate on the result of a trial on the merits, we hold that the allegations that Marcolini acted unlawfully in restraining the plaintiff and that the plaintiff’s arrest was without probable cause sufficiently allege that Marcolini restrained the defendant without reasonable grounds to believe that the plaintiff committed an offense. The allegations in counts III and IV adequately state a cause of action for false arrest and false imprisonment, and thereby survive the defendant’s motion to dismiss. See Fort v. Smith (1980),
For the reasons stated, the judgment of the appellate court is affirmed.
Judgment affirmed.
