Mildred G. STEPHENS, Plaintiff-Appellant, Cross-Respondent, v. Thornton B. STEARNS and Diane C. Stearns, husband and wife, Defendants-Respondents, and Ronald Koch, et ux., husband and wife, Defendants, Third-Party-Plaintiffs, Cross-Defendants, Respondents, and Arthur M. Albanese, et ux., husband and wife, Defendants, Cross-Claimants, Respondents, Cross-Appellants, and John Does 1 through 8; and XYZ Corporations 1 through 8, Defendants, and City of Boise, Third-Party-Defendant.
No. 13976.
Supreme Court of Idaho.
Jan. 12, 1984.
Rehearing Denied March 8, 1984.
678 P.2d 41
The damage award for loss of the thumb was $20,000 prior to that figure being reduced by Schneider‘s 40% negligence and for the workmen‘s compensation benefits he had received.
The loss of a thumb is a severe and disabling impediment and the court clearly abused its discretion in failing to correct that aspect of the judgment.
Ronald M. Morris, Nickolas John Dibert, Quane, Smith, Howard & Hull, Boise, for defendants-respondents, Stearns.
Craig L. Meadows, and Eugene A. Ritti, of Hawley Troxell Ennis & Hawley, Boise, for defendants, third-party-plaintiffs, cross-defendants, respondents, Kochs.
DONALDSON, Chief Justice.
This is an appeal from directed verdicts in favor of all the defendants and from the denial of plaintiff‘s motion for new trial and/or reconsideration. In addition, defendant Albanese cross-appeals from a denial of his motion for summary judgment based on the statute of limitations.
Plaintiff-appellant Stephens filed this suit on October 2, 1978, for personal injuries she sustained on July 15, 1977, from a fall on an interior stairway of her apartment. Plaintiff‘s apartment, located in a Boise apartment complex, was a “townhouse” consisting of two separate floors connected by an internal stairway.
The apartments were built by defendant Koch and sold to defendant Stearns soon after completion in 1973. Defendant Stearns was plaintiff‘s landlord from the time she moved into the apartment in 1973 through the time of plaintiff‘s fall on July 15, 1977. Defendant Albanese was the architect who designed and later inspected the apartment complex.
Plaintiff‘s suit is based on the alleged negligence of the defendants in failing to provide a handrail for the stairway. Plaintiff claims this failure was the cause of her injuries. The architectural plans and specifications called for handrails as required by the Uniform Building Code which had been adopted by a Boise ordinance. Although the apartments did not comply with the building code, upon completion the apartments were inspected and certified to be in compliance with the code by the city inspectors.
Various motions for summary judgment were made by defendants before trial. All of these motions were denied. On cross-appeal, defendant Albanese asserts that the trial court erred in denying his motion for summary judgment based upon the two-year statute of limitations codified as
Following the presentation of plaintiff‘s case, all of the defendants moved for directed verdicts. The motions were granted based upon the trial court‘s holding that plaintiff had failed to show that the absence of a handrail was causally related to her injury, that Albanese did not owe a duty of care to the plaintiff, that Koch as builder/vendor was not liable under theories of strict liability or negligence, and that Stearns did not owe a duty of care to the plaintiff.
Plaintiff then filed a motion for a new trial and/or reconsideration asserting that there was sufficient evidence to present a jury question with respect to causation and that defendants Stearns, Koch and Albanese each owed plaintiff a duty of care. This motion was denied and this appeal followed.
The issues on appeal are essentially as follows: (1) Was there sufficient evidence for the jury to determine if the absence of a handrail was an actual cause of plaintiff‘s injuries? (2) Did any, or all, of the defendants owe plaintiff a duty of care? In addition, the cross-appeal raises the following issue: Was plaintiff‘s cause of action against defendant Albanese barred by the statute of limitations? We will first address the causation issue as it applies to all the defendants and then consider the other issues as they apply to each individual defendant.
I.
CAUSATION
Our standard of review is well established. One who moves for directed verdict pursuant to
When viewed in the light most favorable to appellant, the facts are as follows: On the evening of July 15, 1977, Mrs. Stephens went to visit friends. While there she had two drinks. She returned to her apartment a little past 10:00 p.m. Mrs. Stephens turned on the television in the living room and went upstairs to change clothes. After changing her clothes, she attempted to go downstairs to watch television. As Mrs. Stephens reached the top of the stairway, she either slipped or fell forward. She testified that she “grabbed” in order to catch herself. However, Mrs. Stephens was unable to catch herself and she fell to the bottom of the stairs. As a result of the fall, she suffered serious injury. The evidence further showed that the stairway was approximately thirty-six inches wide and did not have a handrail although required by a Boise ordinance.
In ruling on the motions for directed verdict, the trial judge concluded that there was “an absolute lack of evidence” and that “to find a proximate cause between the absence of the handrail and the fall suffered by the plaintiff would be absolutely conjecture and speculation.” (Although the trial judge‘s conclusion referred to “proximate cause,” it is apparent that he was referring to factual or actual cause. See Munson v. State, Department of Highways, 96 Idaho 529, 531 P.2d 1174 (1975).) We disagree with the conclusion of the trial judge.
We have considered the facts set out above in conjunction with the testimony of Chester Shawver, a Boise architect called as an expert in the field of architecture, that the primary purpose of a handrail is for user safety. We are left with the firm conviction that there is sufficient evidence from which reasonable jurors could have concluded that the absence of a handrail was the actual cause of plaintiff‘s injuries; i.e., that plaintiff would not have fallen, or at least would have been able to catch herself, had there been a handrail available for her to grab.
In addition, we do not believe that the jury would have had to rely on conjecture and speculation to find that the absence of the handrail was the actual cause. To the contrary, we believe that reasonable jurors could have drawn legitimate inferences from the evidence presented to determine the issue. This comports with the general rule that the factual issue of causation is for the jury to decide. McKinley v. Fanning, 100 Idaho 189, 595 P.2d 1084 (1979); Munson v. State, Department of Highways, supra. In addition, courts in several other jurisdictions, when faced with similar factual settings, have held that this issue is a question for the jury. See Washington v. District of Columbia, 429 A.2d 1362, 1369 (D.C.App.1981); Montgomery v. Engel, 179 N.W.2d 478, 484 (Iowa 1970); Noland v. Sears, Roebuck & Co., 207 Kan. 72, 483 P.2d 1029, 1032-33 (1971); In re Lattimore‘s Estate, 35 A.D.2d 1069, 316 N.Y.S.2d 363, 365 (1970); Fay v. Allied Stores Corp., 43 Wash.2d 512, 262 P.2d 189, 193 (1953); Cossette v. Lepp, 38 Wis.2d 392, 157 N.W.2d 629, 633 (Wis. 1968). Therefore, we hold that there was sufficient evidence from which the jury could have concluded that the absence of the handrail was the actual cause of plaintiff‘s injuries.
II.
STATUTE OF LIMITATIONS
On cross-appeal, defendant Albanese appeals from the trial court‘s denial of his
The trial court, in denying the motion, analyzed the interplay of Idaho Code
Albanese contends that
It is axiomatic that in order to recover under a theory of negligence, the plaintiff must prove actual damage. As a general rule “the statute of limitations does not begin to run against a negligence action until some damage has occurred.” W. Prosser, Handbook of the Law of Torts § 30 (4th ed. 1971) (footnote omitted). Although the legislature has modified this general rule by enacting
Under the facts in this case, plaintiff clearly filed suit within the statutory limit. Plaintiff‘s cause of action accrued on July 15, 1977, the day she sustained her injuries. Albanese admits in his brief that his last chance to be negligent was May 8, 1973, the day on which he made his final inspection. Thus, plaintiff‘s cause of action accrued within the six-year limit of
This holding is not inconsistent with our conclusions in the recent case of Twin Falls Clinic & Hospital Bldg. v. Hamill, 103 Idaho 19, 644 P.2d 341 (1982). Twin Falls Clinic involved a professional malpractice action against an architect for his allegedly defective design of a building. In analyzing
“[T]he legislature has apparently engrafted a limited discovery exception in the area of ‘tort’ liability arising out of the design or construction of improvements to real property. It is to be noted that such exemption would only be applicable to latent defects since patent defects by definition would be those which should have been discovered.”
Twin Falls Clinic, supra at 23, 644 P.2d at 345. Both plaintiff and defendant Albanese have attempted to apply this analysis to the facts of the case at bar. However, both parties have apparently misunderstood our statement in Twin Falls Clinic.
III.
DUTY OF CARE
A. DEFENDANT ALBANESE
The trial judge, in granting defendant Albanese‘s motion for directed verdict, concluded that Albanese owed no duty to plaintiff. Instead, the trial judge concluded that Albanese owed a duty only to defendant Koch, the contractor, and that Albanese had discharged that duty.
It appears that the trial judge confused Albanese‘s contractual duty with his duty of reasonable care. Albanese owed a contractual duty to Koch which he apparently discharged. However, Albanese also owed a duty to exercise the ordinary skill of his profession in the inspection he made of the apartments. We agree with the Florida Supreme Court that:
“An architect may be liable for negligence in failing to exercise the ordinary skill of his profession, which results in the erection of an unsafe structure whereby anybody lawfully on the premises is injured.... They are under a duty to exercise such reasonable care, technical skill and ability, and diligence as are ordinarily required of architects in the course of their plans, inspections and supervisions during construction for the protection of any person who foreseeably and with reasonable certainty might be injured by the failure to do so.”
Conklin v. Cohen, 287 So.2d 56, 61 (Fla. 1973) (quoting Geer v. Bennett, 237 So.2d 311 (Fla.App.1970)) (emphasis added). See also Karna v. Byron Reed Syndicate #4, 374 F.Supp. 687 (D.Neb.1974). We hold, therefore, that defendant Albanese did owe a duty to plaintiff to exercise the ordinary skill of his profession, and that it is a jury question as to whether that duty was breached.
Defendant Albanese argues that even if he breached a duty owed to plaintiff, any initial negligence on his part was superseded, as a matter of law, by the subsequent negligence of the other defendants and the city inspectors. We are not persuaded.
We have previously held that an intervening, superseding cause will be deemed to supersede a prior cause only when the intervening cause is found to have been an extraordinary action that was unforeseen, unanticipated and not the probable consequence of the original negligence. Gavica v. Hanson, 101 Idaho 58, 608 P.2d 861 (1980); Dewey v. Keller, 86 Idaho 506, 388 P.2d 988 (1964). In addition, such a determination is one which should generally be left for the jury to make. Dewey v. Keller, supra. We are unwilling to conclude as a matter of law that the actions of Koch, Stearns and the city inspectors were so extraordinary and unforeseeable as to constitute intervening, superseding causes. It is a question for the jury. Therefore, we reverse the directed verdict in favor of defendant Albanese and remand for a new trial of plaintiff‘s negligence action against defendant Albanese.
B. DEFENDANT KOCH
In granting defendant Koch‘s motion for directed verdict, the trial judge concluded, as he had for defendant Albanese, that Koch owed no duty to plaintiff. In reviewing this conclusion we note that Koch occupied the positions of both builder and vendor of the apartments.
We agree that Koch, as a vendor, did not owe a duty to plaintiff since the lack of the handrail was known to both defendant Stearns, the vendee/landlord, and plaintiff. See Restatement (Second) of Torts §§ 352-353 (1965). Koch‘s status as a builder, however, presents a different question. As a builder, Koch owed a common-law duty of ordinary care, to perform his work in a workmanlike manner. “Every person has a general duty to use due or ordinary care not to injure others, to avoid injury to others by any agency set in operation by him, and to do his work, render services or use his property as to avoid such injury.” Whitt v. Jarnagin, 91 Idaho 181, 188, 418 P.2d 278, 285 (1966) (citations omitted) (quoted approvingly in Harper v. Hoffman, 95 Idaho 933, 935, 523 P.2d 536, 538 (1974)). Therefore, we hold that defendant Koch did owe a duty to plaintiff and that plaintiff presented adequate evidence to have the jury determine whether Koch breached this duty by failing to construct the apartments in compliance with the plans.
Koch contends that any negligence on his part was superseded by intervening causes. As we previously stated, in part III. A. of this opinion, such a determination is for the jury to make. Lastly, Koch asserts that plaintiff was as a matter of law, at least fifty percent negligent thus barring recovery from any of the defendants. However, this question is also one which should be left to the jury unless the facts are undisputed and only one reasonable conclusion can be drawn therefrom. Deshazer v. Tompkins, 93 Idaho 267, 460 P.2d 402 (1969). Here the facts are disputed, thus presenting a jury question.
Plaintiff has argued that defendant Koch was also negligent per se for violating the building code, contained in a Boise ordinance, which required at least one handrail on the stairway in question here.2 We have previously alluded to the
C. DEFENDANT STEARNS
In granting defendant Stearns’ motion for directed verdict, the trial court concluded that Stearns had not violated the common-law duty owed by a landlord to a ten-
Rather than attempt to squeeze the facts of this case into one of the common-law exceptions, plaintiff instead has brought to our attention the modern trend of the law in this area. Under the modern trend, landlords are simply under a duty to exercise reasonable care under the circumstances. The Tennessee Supreme Court had the foresight to grasp this concept many years ago when it stated: “The ground of liability upon the part of a landlord when he demises dangerous property has nothing special to do with the relation of landlord and tenant. It is the ordinary case of liability for personal misfeasance, which runs through all the relations of individuals to each other.” Wilcox v. Hines, 100 Tenn. 538, 46 S.W. 297, 299 (1898). Seventy-five years later, the Supreme Court of New Hampshire followed the lead of Wilcox. Sargent v. Ross, 113 N.H. 388, 308 A.2d 528 (1973). The Sargent court abrogated the common-law rule and its exceptions, and adopted the reasonable care standard by stating:
“We thus bring up to date the other half of landlord-tenant law. Henceforth, landlords as other persons must exercise reasonable care not to subject others to an unreasonable risk of harm.... A landlord must act as a reasonable person under all of the circumstances including the likelihood of injury to others, the probable seriousness of such injuries, and the burden of reducing or avoiding the risk.”
Id. at 534 (Citations omitted).
Tennessee and New Hampshire are not alone in adopting this rule. As of this date, several other states have also judicially adopted a reasonable care standard for landlords. Cummings v. Prater, 95 Ariz. 20, 386 P.2d 27 (1963); Brennan v. Cockrell Investments, Inc., 35 Cal.App.3d 796, 111 Cal.Rptr. 122 (1973); Young v. Garwacki, 380 Mass. 162, 402 N.E.2d 1045 (1980); Curry v. New York City Housing Authority, 77 A.D.2d 534, 430 N.Y.S.2d 305 (1980); Stephenson v. Warner, 581 P.2d 567 (Utah 1978); Pagelsdorf v. Safeco Insurance Co. of America, 91 Wis.2d 734, 284 N.W.2d 55 (1979). See also Mansur v. Eubanks, 401 So.2d 1328 (Fla.1981) (holding residential landlord has duty to reasonably inspect and repair in order to deliver a reasonably safe dwelling to tenant); Shroades v. Rental Homes, Inc., 68 Ohio St.2d 20, 427 N.E.2d 774 (1981) (“abrogation of this [landlord] immunity has been advocated by legal commentators, and the overwhelming majority of states have abolished, either in whole or in part, the traditional immunity.“).
In commenting on the common-law rule, A. James Casner, Reporter of Restatement (Second) of Property—Landlord and Tenant, has stated: “While continuing to pay lip service to the general rule, the courts have expended considerable energy and exercised great ingenuity in attempting to fit various factual settings into the recognized exceptions.” Restatement (Second) of Property—Landlord and Tenant ch. 17 Reporter‘s Note to Introductory Note (1977). We believe that the energies of the courts of Idaho should be used in a more productive manner. Therefore, after examining both the common-law rule and the modern trend, we today decide to leave the common-law rule and its exceptions behind, and we adopt the rule that a landlord is under a duty to exercise reasonable care in light of all the circumstances.3
We stress that adoption of this rule is not tantamount to making the landlord an insurer for all injury occurring on the premises, but merely constitutes our removal of the landlord‘s common-law cloak of immunity. Those questions of hidden danger, public use, control, and duty to repair, which under the common-law were prerequisites to the consideration of the landlord‘s negligence, will now be relevant only inasmuch as they pertain to the elements of negligence, such as foreseeability and unreasonableness of the risk. We hold that defendant Stearns did owe a duty to plaintiff Stephens to exercise reasonable care in light of all the circumstances, and that it is for a jury to decide whether that duty was breached. Therefore, we reverse the directed verdict in favor of defendant Stearns and remand for a new trial of plaintiff‘s negligence action against defendant Stearns.
Plaintiff has also argued that defendant Stearns was negligent per se because he violated the Uniform Building Code contained in a Boise ordinance. As we held earlier herein, violation of the ordinance constitutes negligence per se. See Part III. B., supra. However, defendant Stearns’ contention that he may be excused from the imposition of negligence per se because he relied upon the certificates of occupancy issued by the Boise city inspectors is well-founded. Restatement (Second) of Torts § 288A (1965); 57 Am.Jur.2d Negligence § 249 (1971); see also State ex rel. McKinney v. Richardson, 76 Idaho 9, 14-
Judgment affirmed only as to the statute of limitations; in all other respects, judgment reversed and remanded for a new trial consistent with the views expressed herein.
Costs to appellant.
No attorney fees on appeal.
BISTLINE and HUNTLEY, JJ., concur.
McQUADE, J. Pro Tem., sat but did not participate.
BAKES, Justice, concurring in part and dissenting in part:
I concur in the result reached by the majority opinion except Section II, dealing with statute of limitations defense raised by the architect Albanese. The majority has incorrectly interpreted the language defining the time of accrual for a cause of action of professional malpractice under
The general rule at common law was that a cause of action does not accrue for negligence, including professional malpractice, until some damage occurred.
The majority does not deny, however, that the legislature has the power to commence the accrual of a cause of action prior to any damage occurring. Indeed, the majority acknowledges as much by stating, ante at 46, that while the general rule is that “the statute of limitations does not begin to run against a negligence action until some damage has occurred ...’ the legislature has modified this general rule by enacting
The majority does not deny that the legislature, by enacting 5-219(4), in cases involving professional malpractice not involving a wrongful death, has set a specific time when the cause of action accrues irrespective of damage, i.e., “the cause of action shall be deemed to have accrued as of the time of the occurrence, act or omission complained of ....”
The majority states, however, that “plaintiff‘s cause of action against Albanese alleges negligent inspection of the apartment complex. Thus, the facts of this case bring the cause of action within
The 1971 amendment to
“But in all other actions, whether arising from professional malpractice or otherwise, the cause of action shall be deemed to have accrued as of the time of the occurrence, act or omission complained of, and the limitation period shall not be extended by reason of any continuing
consequences or damages resulting therefrom ....” (Emphasis added.)
The majority implies that unless
The majority‘s reliance on Twin Falls Clinic & Hospital v. Hamill, 103 Idaho 19, 644 P.2d 341 (1982), is misplaced. The holding in that case was that an architect, allegedly guilty of professional malpractice, could be estopped from asserting the two-year statute of limitations for professional malpractice under
Notes
1. We are compelled to identify three flaws contained in the dissent.
First, in analyzing the interplay between
Second, the dissent cites Martin v. Clements, 98 Idaho 906, 575 P.2d 885 (1978), in support of its argument that the cause of action accrues at the time of the negligent act. Martin is an attorney malpractice case dealing with a negligent probate of a will. We note that the cause of action in Martin began to run at the time of the negligent act because damage occurred immediately at that time. Therefore, contrary to the statement in the dissent, our opinion in this case is not in direct conflict with Martin, but in fact is consonant with Martin.
Lastly, the dissent makes the following statement:
“The majority implies that unless
I.C. § 5-219(4) is interpreted to accrue a cause of action at the time of injury or damage,I.C. § 5-241(a) would be rendered effectively repealed or meaningless. However, there are several other defendants in this action, including the builder and the owner, who would not be covered byI.C. § 5-219(4) .”
Apparently, the dissent fails to notice that, in fact, both the builder and the owner are covered by
2. The Boise ordinance adopted § 3305(i) of the 1970 Uniform Building Code which provides:
“(i) Handrails. Stairways shall have handrails on each side, and every stairway required to be more than 88 inches in width shall be provided with not less than one intermediate handrail for each 88 inches of required width. Intermediate handrails shall be spaced approximately equal within the entire width of the stairway.
“Handrails shall be placed not less than 30 inches nor more than 34 inches above the nosing of tread, and ends of handrail shall be returned or shall terminate in newel posts or safety terminals.
“Exceptions: (1) Stairways 44 inches or less in width and stairways serving one individual dwelling unit in Group H or I Occupancies [in which apartment houses are included] may have one handrail, except that such stairways open on one or both sides shall have handrails provided on the open side or sides. (2) Stairways having less than four risers need not have handrails.
“Handrails projecting from walls shall have a space of not less than 1½ inches between the wall and the handrail.”
