Ordered that the orders are reversed insofar as appealed from, on the law, those branches of all of the respondents’ motions which were for summary judgment dismissing the causes of action to recover damages for pre-1969 failure to warn, post-1969 fraudulent concealment, and concerted action to the extent that cause of action is predicated on allegations of negligence are denied, those causes of action are reinstated insofar as asserted against all of the respondents, and those branches of the motions of the respondents Philip Morris, Inc., R.J. Reynolds Tobacco Company, Lorillard Tobacco Company, and Brown & Williamson Tobacco Corporation, individually and as successor by merger to The American Tobacco Company, which were to dismiss the cause of action to recover damages for post-1969 strict product liability design defects are denied, and that cause of action is reinstated insofar as asserted against those respondents.
The plaintiff alleged that his deceased wife (hereinafter the decedent) contracted lung cancer from smoking cigarettes that were manufactured, promoted, and/or sold by the respondents for more than 20 years. The respondents are five cigarette manufacturers, Philip Morris, Inc., R.J. Reynolds Tobacco Company, Brown & Williamson Tobacco Corporation, individually and as successor by merger to The American Tobacco Company, and Lorillard Tobacco Co., and two tobacco-related entities, the Tobacco Institute, Inc., and the Council for Tobacco Research-USA, Inc.
The Supreme Court dismissed the plaintiffs causes of action based on the failure to warn of the dangers of cigarette smoking before the effective date of the Federal Cigarette Labeling and Advertising Act, as amended by the Public Health Cigarette Smoking Act of 1969 (15 USC § 1331 et seq.) (hereinafter the Act), finding that the respondents established, as a matter of law, that the risks of smoking were a matter of common knowledge at the time the decedent began smoking. We find, however,
Furthermore, the Supreme Court improvidently exercised its discretion by disregarding the affidavit of the plaintiffs expert in which he opined that consumers who began smoking in the 1940’s through the 1960’s did not have a true understanding of the health hazards posed by smoking cigarettes. An expert is qualified to proffer an opinion if he or she is “possessed of the requisite skill, training, education, knowledge or experience from which it can be assumed that the information imparted or the opinion rendered is reliable” (Matott v Ward,
“[I]n cases where reasonable minds might disagree as to the extent of plaintiff’s knowledge of the hazard, the question is one for the jury” (Liriano v Hobart Corp.,
We also reinstate the plaintiff’s causes of action to recover damages for post-1969 fraudulent concealment. The Supreme Court dismissed these causes of action, holding that they were pre-empted by the Act. In Cipollone v Liggett Group (
The plaintiff asserts that, in addition to making actively fraudulent misrepresentations, the defendants “suppressed, ignored and disregarded test results not favorable to the tobacco industry” and “willfully and intentionally failed to disclose the material facts regarding the dangerous and addictive nature, properties, and propensities of the cigarette by concealing and suppressing material facts.” New York recognizes a cause of action to recover damages for fraud based on concealment, where the party to be charged has superior knowledge or means of knowledge, such that the transaction without disclosure is rendered inherently unfair (see Stevenson Equip. v Chemig Constr. Corp.,
In addition, the plaintiffs causes of action to recover damages for post-1969 strict product liability design defects were erroneously dismissed as against the manufacturer respondents, on the ground that cigarettes were in a condition reasonably contemplated by the ultimate consumer. “[C]onsumer expectations do not constitute an independent standard for judging the defectiveness of product designs . . . The mere fact that a risk presented by a product design is open and obvious, or generally known, and that the product thus satisfies expectations . . . may substantially influence or even be ultimately determinative on risk-utility balancing in judging whether the omission of a proposed alternative design renders the product not reasonably safe. It follows that, while disappointment of consumer expectations may not serve as an independent basis for allowing recovery under [the design defect theory], neither may conformance with consumer expectations serve as an independent basis for denying recovery. Such expectations may be relevant in both contexts, but in neither are they controlling” (Restatement [Third] of Torts, Products Liability § 2, Comment g).
While the dissent herein suggests that New York applies a consumer expectations test to design defect causes of action, the Court of Appeals made clear in Denny v Ford Motor Co. (
The evidence submitted by the plaintiff in opposition to the respondents’ respective motions for summary judgment, particularly the affidavit of William A. Farone, a scientist formerly employed by the respondent Philip Morris, Inc., in
Moreover, we disagree with the Supreme Court’s dismissal of the plaintiffs concerted action claim insofar as it is predicated upon allegations of negligence. The concerted action theory of liability for injury to a third party will attach when one knows that another’s conduct constitutes a breach of duty and gives substantial assistance or encouragement to the other, and “[t]his is true both when the act done is an intended trespass . . . and when it is merely a negligent act” (Restatement of [Second] Torts § 876 [b], Comment d, Illustration 6]).
Based on the foregoing, we reverse the orders insofar as appealed from, and reinstate, as against all of the respondents, the plaintiffs causes of action to recover damages for pre-1969 failure to warn, post-1969 fraudulent concealment, and concerted action insofar as predicated upon allegations of negligence. Furthermore, we reinstate the post-1969 strict product liability design defects causes of action insofar as asserted against Philip Morris Inc., R.J. Reynolds Tobacco Company, Lorillard Tobacco Company, and Brown & Williamson Tobacco Corporation, individually and as successor by merger to the American Tobacco Company. We note that the plaintiff did not appeal from so much of the orders as dismissed the design defect causes of action as against the Council for Tobacco Research-USA, Inc., and the Tobacco Institute, Inc., on other grounds. Altman, J.P., S. Miller and Luciano, JJ., concur.
McGinity, J., concurs in part and dissents in part and votes to reverse the order insofar as it dismissed the cause of action to recover damages based on concerted action to the extent that cause of action is predicated on allegations of negligence, on the law, and to otherwise affirm the order, with the following memorandum: Since I conclude that the plaintiffs causes of action to recover damages for pre-1969 failure to warn, fraudulent concealment, and post-1969 strict product liability design defects either are without merit or are pre-empted by federal law, I
In support of their respective motions for summary judgment, the respondents submitted evidence that the plaintiffs decedent began smoking, at the earliest, in 1962. According to the respondents’ expert, Michael E. Parish, Ph.D., a recognized expert on the public’s common knowledge that smoking is addictive and causes cancer, as early as 1952 periodicals across the country reported a link between smoking cigarettes and lung cancer. Further, Parish stated that as early as 1936 New York’s school curriculum required teachers and administrators to inform students of the dangers of smoking. The respondents submitted evidence that the plaintiffs decedent took a health class in high school where students were shown a picture of a healthy lung as compared to a smoker’s lung. Finally, Parish asserted that the 1964 Surgeon General’s report, which reported the health risks of smoking, was widely covered in the media. As evidence of the plaintiffs decedent’s actual knowledge that smoking was hazardous to her health, the defendants submitted deposition testimony from her sisters and classmates, who all testified that she began smoking in the mid-1960’s. One of the plaintiffs decedent’s sisters testified at her deposition that, in high school, she advised the plaintiff’s decedent that she shouldn’t smoke. The plaintiff testified that when he met his wife she was smoking two packs per day and smoked in every room of the house. The respondents submitted testimony at the examination before trial from the plaintiffs decedent’s coworkers where it was revealed that the firm where they worked had a smoking room, that the coworkers had discussions about another coemployee who died of lung cancer, and that they knew “smoking was bad for us.”
The plaintiffs first cause of action to recover damages for pre-1969 failure to warn was properly dismissed by the Supreme Court because the dangers of smoking were common knowledge at the time the plaintiffs decedent began smoking (see Martino v Sullivan’s of Liberty,
The plaintiffs cause of action to recover damages for post-1969 fraudulent concealment is preempted by the Federal Cigarette Labeling and Advertising Act, as amended by the Public Health Cigarette Smoking Act of 1969 (15 USC § 1331 et seq.) (hereinafter the Act). There is no basis upon the extensive factual record in this case to place the plaintiff’s fraudulent concealment claim outside of the purview of the Act. The United States Supreme Court held in Cipollone v Liggett Group (
The plaintiffs cause of action to recover damages for post-1969 strict product liability design defects was also properly dismissed. While the majority relies upon the Restatement (Third) of Torts, Products Liability § 2 to support its position that the fact that a product meets with consumer expectations is not dispositive, it is respectfully submitted that such state
I agree with the majority’s conclusion to reverse the Supreme Court’s dismissal of the concerted action claim with regard to all but the intentional tort claims. There is no requirement that the concerted action be intentional; rather, joint and several liability could attach when the respondents have an understanding to participate in a common plan or design to commit a tortious act (see City of New York v Lead Indus. Assn.,
