OPINION OF THE COURT
The issue raised in this appeal is the scope of the duty of care owed to a professional athlete injured during a sporting event. The defendants are a coparticipant and his employer and the owner and operator of the sports facility in which the event took place.
Plaintiff Ronald J. Turcotte is a former jockey. Before his injury he had ridden over 22,000 races in his 17-year career and achieved international fame as the jockey aboard "Secretariat” when that horse won the "Triple Crown” races in 1973. On July 13, 1978 plaintiff was injured while riding in the eighth race at Belmont Park, a racetrack owned and operated by defendant New York Racing Association (NYRA). Plaintiff had been assigned the third pole position for the race on a horse named "Flag of Leyte Gulf’. Defendant jockey
Plaintiffs, husband and wife, commenced this action against Jeffrey Fell, David P. Reynolds, NYRA and others no longer before the court. In their supplemental complaint, they charge that Fell is liable to them because guilty of common-law negligence and of violating the rules of the New York Racing and Wagering Board regulating "foul riding”,
Special Term granted the motions of Fell and Reynolds for summary judgment, holding that Turcotte, by engaging in the sport of horseracing, relieved other participants of any duty of reasonable care with respect to known dangers or risks which inhere in that activity. Finding no allegations of Fell’s wanton, reckless, or intentional conduct, it dismissed the complaint as to Fell and Reynolds with leave to replead. NYRA subsequently moved for summary judgment and Special Term denied its motion because it found there were questions of fact concerning NYRA’s negligent maintenance of the track. On separate appeals, the Appellate Division affirmed, with one Justice dissenting from the order denying NYRA’s motion for summary judgment, and the
I
It is fundamental that to recover in a negligence action a plaintiff must establish that the defendant owed him a duty to use reasonable care, and that it breached that duty (Akins v Glens Falls City School Dist.,
participant’s conduct was conveniently analyzed in terms of the defensive doctrine of assumption of assumption of
The risk assumed has been defined a number of ways but in its most basic sense it "means that the plaintiff, in advance, has given his * * * consent to relieve the defendant of an obligation of conduct toward him, and to take his chances of injury from a known risk arising from what the defendant is to do or leave undone. The situation is then the same as where the plaintiff consents to the infliction of what would otherwise be an intentional tort, except that the consent is to run the risk of unintended injury * * * The result is that the defendant is relieved of legal duty to the plaintiff; and being under no duty, he cannot be charged with negligence” (Prosser and Keeton, Torts § 68, at 480-481 [5th ed]; 4 Harper, James & Gray, Torts § 21.0 et seq. [2d ed]; Restatement [Second] of Torts § 496A comments b, c; see also, Bohlen, Voluntary Assumption of Risk, 20 Harv L Rev 14 [assumption of risk is another way of finding no duty of care]; Comment, Assumption of Risk and Vicarious Liability in Personal Injury Actions Brought by Professional Athletes, 1980 Duke LJ 742).
The doctrine has been divided into several categories but as the term applies to sporting events it involves what commentators call "primary” assumption of risk. Risks in this category are incidental to a relationship of free association between the defendant and the plaintiff in the sense that either party is perfectly free to engage in the activity or not as he
II
We turn then to an analysis of these two requirements — the nature and scope of plaintiff’s consent. It would be a rare thing, indeed, if the election of a professional athlete to participate in a sport at which he makes his living could be said to be involuntary. Plaintiff’s participation certainly was not involuntary in this case and thus we are concerned only with the scope of his consent.
As a general rule, participants properly may be held to have consented, by their participation, to those injury-causing events which are known, apparent or reasonably foreseeable consequences of the participation (see, Maddox v City of New York,
Whether a professional athlete should be held under this standard to have consented to the act or omission of a coparticipant which caused his injury involves consideration of a variety of factors including but not limited to: the ultimate purpose of the game and the method or methods of winning it; the relationship of defendant’s conduct to the game’s ultimate purpose, especially his conduct with respect to rules and customs whose purpose is to enhance the safety of the participants; and the equipment or animals involved in the playing of the game. The question of whether the consent was an informed one includes consideration of the participant’s knowledge and experience in the activity generally. Manifestly a professional athlete is more aware of the dangers of the activity, and presumably more willing to accept them in exchange for a salary, than is an amateur.
In this case plaintiff testified before trial to facts establishing that horse racing is a dangerous activity. A thoroughbred race horse is the result of years of breeding and that breeding, and all the horse’s training, are directed to building speed. A thoroughbred horse weighs about one-half ton and, during the course of the race, will reach speeds of 40 miles per hour or more. Jockeys weighing between 100 and 120 pounds, attempt to control these animals, all the while trying to prevail in a race whose very rules require them to exert a maximum effort to win. Plaintiff testified that every professional jockey had experiences when he was not able to keep a horse running on a straight line, or a horse would veer, or jump up on its hind legs, or go faster or slower than the jockey indicated. He further acknowledged that horses in a race do not run in prescribed lanes and it is lawful, under the rules of racing, for horses to move out of their starting lane to other parts of the track provided that the horse does not interfere with other horses when doing so. Indeed, during the course of a race, speeding horses lawfully and properly come within inches of other horses and frequently bump each other. Turcotte conceded that there is a fine line between what is
Plaintiffs nonetheless contend that Fell’s alleged violation of 9 NYCRR 4035.2, which prohibits foul riding, is sufficient to sustain their complaint. They assert that the rule is a safety rule and that a participant does not accept or consent to the violation of the rules of a game even though the violation is foreseeable. They rely principally on Hackbart v Cincinnati Bengals (601 F2d 516, supra) in which the plaintiff was injured when intentionally struck in the neck from behind by an opposing football player after the play was over and Nabozny v Barnhill (31 Ill App 3d 212,
The rules of the sport, however, do not necessarily limit the scope of the professional’s consent. Although the foul riding rule is a safety measure, it is not by its terms absolute for it establishes a spectrum of conduct and penalties, depending on whether the violation is careless or willful and whether the contact was the result of mutual fault. As the rule recognizes, bumping and jostling are normal incidents of the sport. They are not, as were the blows in Nabozny and Hackbart, flagrant infractions unrelated to the normal method of playing the game and done without any competitive purpose. Plaintiff does not claim that Fell intentionally or recklessly bumped him, he claims only that as a result of carelessness, Fell failed to control his mount as the horses raced for the lead and a preferred position on the track. While a participant’s "consent” to join in a sporting activity is not a waiver of all rules infractions, nonetheless a professional clearly understands the usual incidents of competition resulting from carelessness, particularly those which result from the customarily accepted method of playing the sport, and accepts them. They are within the known, apparent and foreseeable dangers of the sport and not actionable and thus plaintiffs’ complaint against defendant Fell was properly dismissed.
Defendant Reynolds, owner of "Small Raja”, was sued under the doctrine of respondeat superior but the dismissal of the complaint against Fell, his employee, mandates dismissal of the complaint against the employer (see, Brown v Poritzky,
IV
The complaint against NYRA should also be dismissed. As the owner of the racetrack, it owed the same general duty to those using its property as to owners of real property generally, the duty to exercise "reasonable care under the circumstances” (Akins v Glens Falls City School Dist.,
NYRA’s duty to plaintiff is similarly measured by his position and purpose for being on the track on July 13 and the risks he accepted by being there. In deciding whether plaintiff consented to the conditions which existed at the time, the court should consider the nature of professional horseracing and the facilities used for it, the playing conditions under which horseracing is carried out, the frequency of the track’s use and the correlative ability of the owner to repair or refurbish the track, and the standards maintained by other similarly used facilities.
Plaintiffs charge that NYRA was negligent in failing to
Plaintiffs rely on Cole v New York Racing Assn. (
The parties have argued various interpretations of two of our recent decisions and their application to the facts of this case. Both are inapposite. Although the circumstances in the present case are similar to those in Maddox v City of New York (
Plaintiffs also contend that our decision in Arbegast v Board of Educ. (
Accordingly, on appeal by plaintiffs, the order of the Appellate Division should be affirmed, with costs, and the certified question answered in the affirmative. On appeal by defendant NYRA, the order should be reversed, with costs, defendant’s motion for summary judgment granted and the certified question answered in the negative.
Chief Judge Wachtler and Judges Meyer, Kaye, Alexander, Titone and Hancock, Jr., concur.
On the appeal by plaintiffs, order affirmed, etc.
On the appeal by defendant NYRA, order reversed, etc.
Notes
. 9 NYCRR 4035.2 reads, in relevant part:
"Foul riding penalized, (a) When clear, a horse may be taken to any part of the course provided that crossing or weaving in front of contenders may constitute interference or intimidation for which the offender may be disciplined.
"(b) A horse crossing another so as actually to impede him is disqualified, unless the impeded horse was partly in fault or the crossing was wholly caused by the fault of some other horse or jockey.
"(c) If a horse or jockey jostles another horse, the aggressor may be disqualified, unless the impeding horse or his jockey was partly in fault or the jostle was wholly caused by the fault of some other horse or jockey.
"(d) If a jockey willfully strikes another horse or jockey or rides willfully or carelessly so as to injure another horse, which is in no way in fault, or so as to cause other horses to do so, his horse is disqualified.”
. "Cuppiness” is the tendency of wet track surface to stick to the underside of a horse’s hoof within the shoe.
