TONYA LYN SLAGER V KID'S KOURT LLC
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STATE OF MICHIGAN
COURT OF APPEALS
TONYA LYN SLAGER, as Next Friend of
CHADWICK VANDONKELAAR, a Minor,
FOR PUBLICATION
September 30, 2010
9:00 a.m.
Plaintiff-Appellee,
v
No. 292856
Ottawa Circuit Court
LC No. 08-063033-NO
KID’S KOURT, L.L.C., and MARYANNE
BARRINGER,
Defendants-Appellants.
Before: MURPHY, C.J., and SAWYER and MURRAY, JJ.
MURPHY, C.J.
Defendants appeal by leave granted the trial court’s order denying their motions to file a
notice of nonparties at fault and to amend their affirmative defenses, along with the court’s order
denying defendants’ motion for reconsideration. This premises liability case arises from finger
injuries suffered by a child, Chadwick Vandonkelaar (“Chad”), at defendants’ daycare center.
And defendants, while admitting liability, contend that some fault should be allocated to Chad’s
parents because they were negligent in failing to follow a prescribed course of medical treatment
after surgical repair of the finger. The trial court, relying on Romain v Frankenmuth Mut Ins Co,
483 Mich 18; 762 NW2d 911 (2009), held that there could be no allocation of fault in regard to
the parents because they were immune from suit, which necessarily meant that they had no “legal
duty” to obtain proper medical care, a prerequisite, under Romain, before any fault could be
attributed to them under the comparative fault statutes.1 We affirm, although for reasons
different than those offered by the trial court. We conclude that the comparative fault statutes
have no application in this case because, as a matter of law and indisputably, defendants were the
only parties at fault and there were no other tortfeasors with respect to conduct that was the
factual and proximate cause of Chad’s finger injuries by way of the occurrence at the daycare
center. Any presumed negligence by the parents in regard to Chad’s medical treatment after the
injuries occurred at the daycare center did not trigger the need to assess their fault for purposes
1
When we speak of the comparative fault statutes our reference is to MCL 600.2956, 600.2957,
and 600.6304.
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of the comparative fault statutes, given that such negligence was not part of the causal chain in
regard to Chad’s finger becoming crushed and lacerated in the first place. Rather, any negligent
conduct by the parents constituted a subsequent, separate tort that initiated a new causal chain
leading to its own set of damages, which, we note, would not be recoverable by Chad due to
parental immunity. See Plumley v Klein, 388 Mich 1, 8; 199 NW2d 169 (1972).
I. BACKGROUND
Chad, six years old at the time, sustained an injury while at defendants’ daycare center in
May of 2007. Chad placed his right middle finger into the end of a metal pipe that held a large
role of paper, and the pipe dislodged from the paper roller frame, crushing and lacerating Chad’s
finger. The preoperative diagnosis indicated that Chad suffered a “middle finger extensor tendon
injury” and an “[o]pen distal interphalangeal joint injury.” Surgery on the finger was performed
by Dr. Donald Condit, and the surgical procedure entailed repair of the extensor tendon, along
with “middle finger debridement and repair with pinning of distal interphalangeal joint injury.”
Defendants admitted their liability relative to a premises liability claim pursued by
plaintiff,2 Chad’s mother who commenced the case as his next friend in October of 2008, but
defendants contested the extent of the damages. The trial court limited discovery “to the
question of the mechanics of the injury” and to Chad’s “reaction, pain, and other damages.”
In April of 2009, after the suit was filed, defense counsel had the opportunity to meet
with Dr. Condit, and they discussed the doctor’s findings and opinions concerning Chad’s injury,
treatment, and prognosis. Defense counsel averred, based on the conversation at this meeting,
that Dr. Condit had prescribed physical therapy once a week for four weeks following the
surgery, but Chad only attended an initial evaluation and one therapy session. Defense counsel
further averred that Dr. Condit indicated that it was his intent to have Chad attend at least 8 to 12
physical therapy sessions over a three-month period in order to improve the finger’s range of
motion as well as to alleviate stiffness and swelling in the fingertip. According to the affidavit
filed by defense counsel, Dr. Condit informed counsel that the failure to continue with the
therapy had a “very significant” impact on Chad’s recovery.
On the basis of this information, defendants moved for leave to file a notice of nonparties
at fault and to amend their affirmative defenses. Defendants sought to designate Chad’s parents
as nonparties at fault for their failure to follow Dr. Condit’s advice and failure to ensure Chad’s
attendance at follow-up physician appointments and physical therapy. Defendants also sought to
add affirmative defenses, alleging that Chad’s damages were caused by acts or omissions by his
2
The trial court dismissed the claims of gross negligence and nuisance on defendants’ motion for
summary disposition.
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parents that were beyond the control of defendants, and reserving the right to have the trier of
fact allocate fault under MCR 2.112(K).3
At the hearing, the parties agreed that Chad’s parents were immune from civil liability,
considering that their alleged inaction and failures pertained to Chad’s medical care. Indeed, in
Plumley, 388 Mich at 8, our Supreme Court abolished general intrafamily tort immunity, but
with some exceptions, holding:
A child may maintain a lawsuit against his parent for injuries suffered as a
result of the alleged ordinary negligence of the parent. Like our sister states,
however, we note two exceptions to this new rule of law: (1) where the alleged
negligent act involves an exercise of reasonable parental authority over the child;
and (2) where the alleged negligent act involves an exercise of reasonable parental
discretion with respect to the provision of food, clothing, housing, medical and
dental services, and other care. [See also Spikes v Banks, 231 Mich App 341,
348; 586 NW2d 106 (1998).4]
Even though there was agreement that Chad’s parents were protected by immunity, the
parties vigorously disagreed as to the impact of that immunity on the question whether fault
could be allocated to the parents as nonparties, thereby potentially minimizing the extent of the
damages that could be incurred by defendants. More specifically, the crux of the question below
focused on whether a person or entity protected by immunity could nonetheless be named as a
nonparty at fault. In answering that question, our Supreme Court’s holding in Romain made it
necessary to determine whether the nonparty owed a “legal duty” to the injured person. In
Romain, 483 Mich at 20-22, the Michigan Supreme Court ruled as follows concerning the
comparative fault statutes:
We write briefly to eliminate a conflict between two published Court of
Appeals opinions. Specifically, we overrule the statement in Kopp v Zigich[, 268
Mich App 258, 260; 707 NW2d 601 (2005),] that “a plain reading of the
comparative fault statutes does not require proof of a duty before fault can be
3
MCR 2.112(K) incorporates the comparative fault statutes and addresses procedural and notice
requirements with respect to fault allocation.
4
In determining whether a defendant was exercising reasonable parental authority, the question
to be answered is not whether the defendant acted negligently, but instead whether the alleged
act reasonably fell within one of the Plumley exceptions. Spikes, 231 Mich App at 348-349;
Phillips v Deihm, 213 Mich App 389, 395; 541 NW2d 566 (1995). Here, the inaction at issue
reasonably fell within one of the Plumley exceptions, where Chad’s parents were clearly
exercising their discretion with respect to the provision of medical services and care. Again,
there was and is no dispute on this matter.
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apportioned and liability allocated.” That is an incorrect statement of Michigan
law. In Jones v Enertel, Inc., [254 Mich App 432, 437; 656 NW2d 870 (2002),]
the Court of Appeals held that “a duty must first be proved before the issue of
fault or proximate cause can be considered.” Under the “first out” rule of MCR
7.215(J)(1), the Kopp panel should have followed Jones or declared a conflict
under MCR 7.215(J)(2). Because the Kopp panel did not declare a conflict, Jones
is the controlling precedent and proof of a duty is required “before fault can be
apportioned and liability allocated” under the comparative fault statutes, MCL
600.2957 and MCL 600.6304.
In addition to being the controlling precedent under the court rules, Jones
correctly stated Michigan negligence law; Kopp did not. As noted by this Court in
Riddle v McLouth Steel Products Corp[, 440 Mich 85, 99; 485 NW2d 676
(1992),]:
“In a common law negligence action, before a plaintiff's fault can be
compared with that of the defendant, it obviously must first be determined that the
defendant was negligent. It is fundamental tort law that before a defendant can be
found to have been negligent, it must first be determined that the defendant owed
a legal duty to the plaintiff.”
The same calculus applies to negligent actors under the comparative fault
statutes. A common-law negligence claim requires proof of (1) duty; (2) breach of
that duty; (3) causation, both cause in fact and proximate causation; and (4)
damages. Therefore, under Michigan law, a legal duty is a threshold requirement
before there can be any consideration of whether a person was negligent by
breaching that duty and causing injury to another. Thus, when the Legislature
refers to the common-law term “proximate cause” in the comparative fault
statutes, it is clear that for claims based on negligence “‘it must first be
determined that the [person] owed a legal duty to the plaintiff.’” Additionally,
MCL 600.6304(8) includes in the definition of fault “a breach of a legal duty . . .
that is a proximate cause of damage sustained by a party.” Before there can be “a
breach of a legal duty,” there must be a legal duty. Without owing a duty to the
injured party, the “negligent” actor could not have proximately caused the injury
and could not be at “fault” for purposes of the comparative fault statutes.
[Citations omitted; alteration in original.]
Here, the trial court concluded that the immunity enjoyed by Chad’s parents precluded
defendants from naming them as nonparties at fault because their immunity exempted them from
having any legal duty to obtain medical care for Chad. Accordingly, the trial court denied
defendants’ motion and the subsequent motion for reconsideration. This Court then granted
defendants’ application for leave to appeal. Slager v Kids Kourt, LLC, unpublished order of the
Court of Appeals, entered July 14, 2009 (Docket No. 292856).
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II. ANALYSIS
For the reasons set forth below, we find it unnecessary to determine whether Chad’s
parents had a legal duty to obtain medical care for him despite their immunity from liability,
where we conclude that the comparative fault statutes are simply not implicated regardless of any
parental duty.
A. STANDARD OF REVIEW
The issue upon which we base our holding concerns interpretation of the comparative
fault statutes. Statutory construction is a question of law subject to de novo review. Detroit v
Ambassador Bridge Co, 481 Mich 29, 35; 748 NW2d 221 (2008).
B. Joint and Several Liability Prior to Enactment of the Comparative Fault Statutes
In Kaiser v Allen, 480 Mich 31, 37; 746 NW2d 92 (2008), our Supreme Court, examining
MCL 600.2957 and 600.6304, stated:
The tort-reform statutes have abolished joint and several liability in cases
in which there is more than one tortfeasor actively at fault. Traditionally, before
tort reform, under established principles of joint and several liability, when the
negligence of multiple tortfeasors produced a single indivisible injury, the
tortfeasors were held jointly and severally liable. Watts v Smith, 375 Mich 120,
125; 134 NW2d 194 (1965); Maddux v Donaldson, 362 Mich 425, 433; 108
NW2d 33 (1961).
In Watts, 375 Mich at 125, the Michigan Supreme Court, quoting Meier v Holt, 347 Mich
430, 438-439; 134 NW2d 194 (1965), observed:
“ ‘Although it is not always definitely so stated the rule seems to have
become generally established that, although there is no concert of action between
tort feasors, if the cumulative effect of their acts is a single, indivisible injury,
which it cannot certainly be said would have resulted but for the concurrence of
such acts, the actors are to be held liable as joint tort feasors; whereas, if the
results, as well as the acts, are separable, in theory at least, so that it can be said
that the act of each would have resulted in some injury, however difficult it may
be as a practical matter to establish the exact proportion of injury caused thereby,
each can be held liable only for so much of the injury as was caused by his act.' 1
Cooley on Torts, [4th ed], § 86, pp 279, 280).” [Alteration in original.]
Under the principles of joint and several liability, tortfeasors could be held jointly and
severally liable despite there being no common duty, common design, or concert of action, as
long as their negligence produced a single, indivisible injury. Markley v Oak Health Care
Investors of Coldwater, Inc, 255 Mich App 245, 252; 660 NW2d 344 (2003).
Here, it cannot be concluded that defendants’ negligence and the parents’ presumed
negligence produced a single, indivisible injury; the injuries being a “middle finger extensor
tendon injury” and an “[o]pen distal interphalangeal joint injury.” Any negligence by the parents
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was not a cause of the tendon and joint injuries as brought about by the daycare occurrence.
Rather, the acts of defendants, as well as the results of their tortious conduct, are separable from
the acts of the parents, as well as the results of the parents’ assumed tortious conduct, such that
“‘it can be said that the act[s] of each would have resulted in some injury, however difficult it
may be as a practical matter to establish the exact proportion of injury caused thereby.’” Watts,
375 Mich at 125 (citation omitted). Therefore, under principles of joint and several liability
existing prior to the enactment of the comparative fault statutes, defendants and the parents5 in
the instant case could only have been held severally liable, i.e., liable “‘only for so much of the
injury as was caused by his act.’” Id. (citation omitted). A court could not have imposed joint
and several liability.
C. THE COMPARATIVE FAULT STATUTES
As indicated in Kaiser, 480 Mich at 37, the “tort-reform statutes . . . abolished joint and
several liability in cases in which there is more than one tortfeasor actively at fault.” Indeed, the
Legislature expressed that sentiment in MCL 600.2956, wherein it is provided:
Except as provided in section 6304 [exception not applicable here], in an
action based on tort or another legal theory seeking damages for personal injury,
property damage, or wrongful death, the liability of each defendant for damages is
several only and is not joint. However, this section does not abolish an employer's
vicarious liability for an act or omission of the employer's employee.
Accordingly, because the purpose of enacting the comparative fault statutes was to
eliminate joint and several liability in situations where such liability existed, and because the
case at bar is not one in which there would have been joint and several liability before enactment
of the statutes, the comparative fault statutes are not applicable here. There was no need for the
legislation to address situations in which there would solely be several liability based on existing
common law, considering that simple causation-damage principles would effectively result in a
tortfeasor only being held responsible for damages caused by his or her tortious conduct.
However, it is necessary to examine the language in MCL 600.2957 and 600.6304 to see if they
are consistent with our conclusion. MCL 600.2957 provides in relevant part:
(1) In an action based on tort or another legal theory seeking damages for
personal injury, property damage, or wrongful death, the liability of each person
shall be allocated under this section by the trier of fact and, subject to section
6304, in direct proportion to the person's percentage of fault. In assessing
percentages of fault under this subsection, the trier of fact shall consider the fault
of each person, regardless of whether the person is, or could have been, named as
a party to the action.
5
For purposes of this opinion and our analysis, we are effectively treating the two defendants as
a single unit and the two parents as a single unit.
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* * *
(3) Sections 2956 to 2960 do not eliminate or diminish a defense or
immunity that currently exists, except as expressly provided in those sections.
Assessments of percentages of fault for nonparties are used only to accurately
determine the fault of named parties. If fault is assessed against a nonparty, a
finding of fault does not subject the nonparty to liability in that action and shall
not be introduced as evidence of liability in another action.
We find nothing in MCL 600.2957 that conflicts with our assessment that the
comparative fault statutes are inapplicable with respect to fact patterns entailing multiple torts
separated in time, multiple torts separated by individual causal chains, and multiple torts which
did not produce a single, indivisible injury.
MCL 600.6304 provides in pertinent part:
(1) In an action based on tort or another legal theory seeking damages for
personal injury, property damage, or wrongful death involving fault of more than
1 person, including third-party defendants and nonparties, the court, unless
otherwise agreed by all parties to the action, shall instruct the jury to answer
special interrogatories or, if there is no jury, shall make findings indicating both
of the following:
(a) The total amount of each plaintiff's damages.
(b) The percentage of the total fault of all persons that contributed to the
death or injury, including each plaintiff and each person released from liability
under section 2925d, regardless of whether the person was or could have been
named as a party to the action.
(2) In determining the percentages of fault under subsection (1)(b), the
trier of fact shall consider both the nature of the conduct of each person at fault
and the extent of the causal relation between the conduct and the damages
claimed.
(3) The court shall determine the award of damages to each plaintiff in
accordance with the findings under subsection (1), . . . and shall enter judgment
against each party, including a third-party defendant[.]
(4) Liability in an action to which this section applies is several only and
not joint. Except as otherwise provided in subsection (6) [medical malpractice
cases], a person shall not be required to pay damages in an amount greater than
his or her percentage of fault as found under subsection (1). . . .
* * *
(8) As used in this section, “fault” includes an act, an omission, conduct,
including intentional conduct, a breach of warranty, or a breach of a legal duty, or
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any conduct that could give rise to the imposition of strict liability, that is a
proximate cause of damage sustained by a party.
As indicated above, § 6304(1)(b) requires the trier of fact to allocate the “percentage of
the total fault of all persons that contributed to the death or injury.”6 (Emphasis added.) Again,
there is no dispute that Chad’s parents did not contribute to the cause of Chad’s injuries, i.e., the
tendon and joint injuries as produced by the underlying daycare occurrence, although their
inaction may have caused Chad to later suffer separate, more extensive, and divisible damages.
At this point, it is appropriate to note, for purposes of the comparative fault statutes, that the
concepts of “injury” and “damage,” while interrelated, are two distinct concepts. In Shinholster
v Annapolis Hosp, 471 Mich 540, 552 n 6; 685 NW2d 275 (2004), the Court, construing MCL
600.6304, indicated that “damage cannot arise on its own, but must flow from an injury” and that
“[d]amage can only be the result of an injury.” The Shinholster Court continued, stating, “first
an injury to plaintiff must exist and the trier of fact must then determine whether plaintiff[7]
constituted a proximate cause of such injury before there is any need for the trier of fact to focus
on plaintiff’s damages.” Id. (emphasis added).
As indicated above, § 6304(2) requires the trier of fact, in “determining the percentages
of fault under subsection (1)(b),” to “consider both the nature of the conduct of each person at
fault and the extent of the causal relation between the conduct and the damages claimed.”
(Emphasis added.) This language is simply to be incorporated into and made a part of the
assessment that must be undertaken in regard to § 6304(1)(b), which, again, focuses on
contribution to the “injury.” Accordingly, when § 6304(1)(b) and (2) are read together,
consideration of the causal relation between the conduct and the claimed damages means
consideration of conduct that jointly contributed to the injury and the damages flowing from that
particular conduct and resulting injury. Those statutory subsections, when read together, do not
direct a trier of fact to consider damages unrelated to conduct that produced or caused the
underlying injury. Once again, the conduct or inaction of Chad’s parents played no role in
causing the tendon and joint injuries and the incident producing those injuries. Therefore, MCL
600.6304 would not even permit the trier of fact to consider any damages that the parents may
have caused Chad to suffer. The parents’ conduct constituted a possible subsequent, separate
tort, which was not part of the causal chain with respect to the finger injuries and the occurrence
at the daycare center.
Finally, we examine § 6304(8), which defines “fault” as conduct “that is a proximate
cause of damage sustained by a party.” This provision must also be read in the context of the
“fault” allocation that the trier of fact must make under § 6304(1)(b). Accordingly, the
6
Because the instant case involves an injury and not a death, we shall solely reference the term
“injury” for the remainder of this opinion when discussing the statutory language.
7
Shinholster concerned the issue of whether any fault could be allocated to the plaintiff’s
decedent for causing her own death; however, the quoted language would be equally applicable
to any other party or nonparty alleged to be at fault for causing an injury or death.
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examination of whether a person’s conduct was a “proximate cause of damage sustained by a
party,” § 6304(8), necessarily means conduct that contributed to the injury and the damages
flowing from that particular conduct and resulting injury. The conduct or inaction of Chad’s
parents was not the factual or proximate cause of Chad’s tendon and joint injuries that he
suffered at the daycare center. Accordingly, their conduct could not constitute “fault” for
purposes of the statutory definition of fault as found in § 6304(8).
In sum, the comparative fault statutes are not implicated under the circumstances of this
case.8 However, on remand, and under general principles of tort law, plaintiff will have to prove
by a preponderance of the evidence that any claimed damages were the factual and proximate
cause of defendants’ negligence, and defendants’ negligence alone, which will potentially afford
defendants some protection from being assessed damages that they did not cause. See
Wischmeyer v Schanz, 449 Mich 469, 484; 536 NW2d 760 (1995); Moning v Alfono, 400 Mich
425, 437; 254 NW2d 759 (1977).
III. CONCLUSION
We hold that the comparative fault statutes have no application in this case because, as a
matter of law and indisputably, defendants were the only parties at fault and there were no other
tortfeasors with respect to conduct that was the factual and proximate cause of Chad’s finger
injuries by way of the occurrence at the daycare center. Any presumed negligence by the parents
8
The dissent takes us to task for deciding this case on a theory that was neither raised below, nor
raised or briefed on appeal. We do note that the broad issue raised on appeal and addressed by
us concerns whether the comparative fault statutes are applicable, although we acknowledge that
our analysis and approach with respect to that issue differs entirely from the arguments presented
by the parties. In Mack v Detroit, 467 Mich 186, 206; 649 NW2d 47 (2002), our Supreme Court
addressed and analyzed a governmental immunity issue that was neither raised, nor briefed by
the parties, but the issue was a topic of discussion at oral argument. The Mack Court adamantly
opposed the “position that although a controlling legal issue is squarely before this Court, . . . the
parties’ failure . . . to offer correct solutions to the issue limits this Court’s ability to probe for
and provide the correct solution.” Id. at 207. The Court continued by noting that “[s]uch an
approach would seriously curtail the ability of this Court to function effectively and . . . actually
make oral argument a moot practice.” Id. At oral argument here, counsel for both parties were
questioned as to whether it could be argued that the comparative fault statutes were not
implicated because there was clearly no fault on the part of Chad’s parents in connection with the
injury-producing incident. Were we to decide this case on the duty-versus-immunity arguments
under the facts presented, we would implicitly be conveying to the bench and bar that the
comparative fault statutes are indeed generally implicated in circumstances where a party or
nonparty was not the proximate cause of a plaintiff’s injury or the injury-producing incident. In
our estimation, however, this is not a correct legal conclusion for the reasons stated above.
Consistent with Mack, we find that a controlling legal issue is squarely before us and must be
analyzed regardless of the lack of briefing and the failure to raise the issue.
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in regard to Chad’s medical treatment after the injuries occurred at the daycare center did not
trigger the need to assess their fault for purposes of the comparative fault statutes, given that
such negligence was not part of the causal chain in regard to Chad’s finger becoming crushed
and lacerated in the first place. Rather, any negligent conduct by the parents constituted a
subsequent, separate tort that initiated a new causal chain leading to its own set of damages.
However, on remand, and under general principles of tort law, plaintiff will have to prove by a
preponderance of the evidence that any claimed damages were caused solely by defendants’
negligence.
Affirmed. Given our resolution of this appeal on grounds not addressed by the parties,
we decline to award any party taxable costs. MCR 7.219(A).
/s/ William B. Murphy
/s/ David H. Sawyer
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