OPINION
BRYNER, Justice.
I. INTRODUCTION
The superior court held that & third-party defendant sued for apportionment of fault under AS 09.17.080 after the statute of limitations on the plaintiff's underlying personal injury claim had run may nonetheless be liable to the plaintiff for money damages. Because we find that the statute of limitations for tort actions does not apply to claims for equitable apportionment, we affirm.
II. FACTS AND PROCEEDINGS
On June 4, 1998, Cheryl MeIntire, Yvonne Dann, and Morgan Coggswell (hereinafter "Meclntire") were allegedly injured when halon was discharged from a fire protection system in the Boney Courthouse in Anthor-age. At the time, technicians from Grinnell Corporation and Alaska General Alarm, Inc., were examining the system to detect the cause of recent false alarms.
Mclntire sued Grinnell on December 2, 1994. Grinnell answered the complaint on January 19, 1996, and, on August 13, 1996, filed a third-party complaint against Alaska General Alarm, claiming that it was responsible in whole or part for any injuries sustained by Melntire. Alaska General Alarm answered and filed a motion for partial sum
mary judgment, asserting the defense of statute of limitations because the third-party complaint was filed more than two years after the halon incident.
The superior court denied the motion, holding that the statute of limitations did not bar a third-party complaint for apportionment of damages. Alaska General Alarm petitioned for review, and we granted the petition.
III. DISCUSSION
A. Standard of Review
The sole issue presented is whether the superior court erred in holding that a third-party defendant sued for apportionment of fault under AS 09.17.080 after the statute of limitations on the underlying claim had run may still be liable to the plaintiff for money damages. In resolving questions of statutory construction, this court applies its independent judgment
and adopts "the rule of law that is most persuasive in light of precedent, reason, and policy."
B. Background of AS 09.17.080
Before 1986, Alaska followed the rule of joint and several liability, which allowed a plaintiff to recover all damages from one named defendant; that defendant could then seek reimbursement from other at-fault parties by filing an action for contribution within one year of judgment.
The statute at issue in this case repealed that joint and several liability scheme; enacted by voter initiative,
AS 09.17.080 provided that a plaintiff can recover from each party only in accordance with that party's percentage of fault.
In striking down the existing scheme of joint and several liability, the voter initiative repealed AS 09.16, which had set out a contribution procedure that allowed defendants, after entry of judgment against them, to seek pro rata reimbursement from culpable third parties.
But the newly enacted statute providing for apportioned liability established no comparable procedure to allow named defendants to allocate fault to potentially responsible parties that the plaintiff had not sued.
We addressed this omission in Benner v. Wichman.
The defendant in Benner argued that the superior court erred by not instructing the jury that it could apportion lability for a construction accident among all those responsible for the plaintiff's injuries, including the plaintiff's employer and the general contractor, who were not parties to the lawsuit.
We rejected this broad reading of the statute, holding that "party" within the meaning of AS 09.17.080 was restricted to "parties to the action, including third party defendants and settling parties."
We also concluded-in the absence of any explicit statutory procedure-that equity demanded that defendants be allowed to mitigate their damages by filing third-party claims against other potentially responsible persons.
The following year, we adopted Alaska Civil Rule 14(c) to establish the procedure that defendants could use for equitable apportionment of damages to third parties who had no direct liability to the defendant but were potentially responsible to the plaintiff. Rule 14(c) provides that a defendant, as a third-party plaintiff, may join any party whose fault may have been a cause of the damages claimed by the plaintiff.
The rule specifies that a judgment may be entered against the third-party defendant in favor of the plaintiff even in the absence of a direct claim.
C. The Superior Court Did Not Err in - Holding that the Statute of Limitations for Tort Actions Is No Bar to Equitable Apportionment.
Alaska General Alarm argues that the superior court's ruling allowing Grinnell to im-
plead it as a third-party defendant with potential liability to Melntire even though the statute of limitations had run was based on a misreading of Benner and a misapplication of Civil Rule 14(c). The company contends that it should not be liable to the plaintiff as a third-party defendant if the plaintiff cannot sue it directly.
The superior court's ruling was based on two premises: (1) our holding in Benner mandates that fault only be apportioned among parties to an action; and (2) under Civil Rule 14(c), a party joined for apportionment of fault is also liable to the plaintiff for damages. The superior court concluded on the basis of these authorities that a third party cannot be joined solely to reduce the percentage of fault attributable to a named defendant. Thus, the superior court held that equity demanded that lable defendants be permitted to sue third parties for apportionment of fault after the statute of limitations on the underlying claim has expired.
We agree that it was implicit in our holding in Benner that fault can only be apportioned under AS 09.17.080 to parties who may be liable to the plaintiff for money damages, including third-party defendants and settling parties."
Civil Rule 14(c) effectuates this purpose by allowing defendants to implead third-party defendants who then may become liable to the primary plaintiff.
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OPINION
BRYNER, Justice.
I. INTRODUCTION
The superior court held that & third-party defendant sued for apportionment of fault under AS 09.17.080 after the statute of limitations on the plaintiff's underlying personal injury claim had run may nonetheless be liable to the plaintiff for money damages. Because we find that the statute of limitations for tort actions does not apply to claims for equitable apportionment, we affirm.
II. FACTS AND PROCEEDINGS
On June 4, 1998, Cheryl MeIntire, Yvonne Dann, and Morgan Coggswell (hereinafter "Meclntire") were allegedly injured when halon was discharged from a fire protection system in the Boney Courthouse in Anthor-age. At the time, technicians from Grinnell Corporation and Alaska General Alarm, Inc., were examining the system to detect the cause of recent false alarms.
Mclntire sued Grinnell on December 2, 1994. Grinnell answered the complaint on January 19, 1996, and, on August 13, 1996, filed a third-party complaint against Alaska General Alarm, claiming that it was responsible in whole or part for any injuries sustained by Melntire. Alaska General Alarm answered and filed a motion for partial sum
mary judgment, asserting the defense of statute of limitations because the third-party complaint was filed more than two years after the halon incident.
The superior court denied the motion, holding that the statute of limitations did not bar a third-party complaint for apportionment of damages. Alaska General Alarm petitioned for review, and we granted the petition.
III. DISCUSSION
A. Standard of Review
The sole issue presented is whether the superior court erred in holding that a third-party defendant sued for apportionment of fault under AS 09.17.080 after the statute of limitations on the underlying claim had run may still be liable to the plaintiff for money damages. In resolving questions of statutory construction, this court applies its independent judgment
and adopts "the rule of law that is most persuasive in light of precedent, reason, and policy."
B. Background of AS 09.17.080
Before 1986, Alaska followed the rule of joint and several liability, which allowed a plaintiff to recover all damages from one named defendant; that defendant could then seek reimbursement from other at-fault parties by filing an action for contribution within one year of judgment.
The statute at issue in this case repealed that joint and several liability scheme; enacted by voter initiative,
AS 09.17.080 provided that a plaintiff can recover from each party only in accordance with that party's percentage of fault.
In striking down the existing scheme of joint and several liability, the voter initiative repealed AS 09.16, which had set out a contribution procedure that allowed defendants, after entry of judgment against them, to seek pro rata reimbursement from culpable third parties.
But the newly enacted statute providing for apportioned liability established no comparable procedure to allow named defendants to allocate fault to potentially responsible parties that the plaintiff had not sued.
We addressed this omission in Benner v. Wichman.
The defendant in Benner argued that the superior court erred by not instructing the jury that it could apportion lability for a construction accident among all those responsible for the plaintiff's injuries, including the plaintiff's employer and the general contractor, who were not parties to the lawsuit.
We rejected this broad reading of the statute, holding that "party" within the meaning of AS 09.17.080 was restricted to "parties to the action, including third party defendants and settling parties."
We also concluded-in the absence of any explicit statutory procedure-that equity demanded that defendants be allowed to mitigate their damages by filing third-party claims against other potentially responsible persons.
The following year, we adopted Alaska Civil Rule 14(c) to establish the procedure that defendants could use for equitable apportionment of damages to third parties who had no direct liability to the defendant but were potentially responsible to the plaintiff. Rule 14(c) provides that a defendant, as a third-party plaintiff, may join any party whose fault may have been a cause of the damages claimed by the plaintiff.
The rule specifies that a judgment may be entered against the third-party defendant in favor of the plaintiff even in the absence of a direct claim.
C. The Superior Court Did Not Err in - Holding that the Statute of Limitations for Tort Actions Is No Bar to Equitable Apportionment.
Alaska General Alarm argues that the superior court's ruling allowing Grinnell to im-
plead it as a third-party defendant with potential liability to Melntire even though the statute of limitations had run was based on a misreading of Benner and a misapplication of Civil Rule 14(c). The company contends that it should not be liable to the plaintiff as a third-party defendant if the plaintiff cannot sue it directly.
The superior court's ruling was based on two premises: (1) our holding in Benner mandates that fault only be apportioned among parties to an action; and (2) under Civil Rule 14(c), a party joined for apportionment of fault is also liable to the plaintiff for damages. The superior court concluded on the basis of these authorities that a third party cannot be joined solely to reduce the percentage of fault attributable to a named defendant. Thus, the superior court held that equity demanded that lable defendants be permitted to sue third parties for apportionment of fault after the statute of limitations on the underlying claim has expired.
We agree that it was implicit in our holding in Benner that fault can only be apportioned under AS 09.17.080 to parties who may be liable to the plaintiff for money damages, including third-party defendants and settling parties."
Civil Rule 14(c) effectuates this purpose by allowing defendants to implead third-party defendants who then may become liable to the primary plaintiff.
Although AS 09.17.080 does not address the limitations period, construing the statute to require that defendants file third-party claims for apportionment within the statute of limitations governing the plaintiff's underlying claim would give plaintiffs exclusive control over which at-fault parties shared liability. This would defeat the initiative's purpose to allocate damages not to one named defendant but to all those at fault.
There is no express statutory language or legislative history supporting this inequitable result.
1. Allowing empty chair defendants would contravene Benner v. Wichman and the purpose of AS 09.17.080.
In Benner we held-after noting that a defendant's right to contribution from other at-fault parties did not survive the Tort Reform Initiative-that "equity requires that defendants have an avenue for bringing in others who may be liable to the plaintiff.
To describe this remedy, we chose the term "equitable apportionment" as opposed to "equitable indemnity" to convey that we were vindicating not just the right of defendants to have damages apportioned in accordance with their fault, but the commensurate duty of responsible third parties to pay plaintiffs.
The purpose of limiting fault allocation to joined parties-more specifically, to parties potentially liable to the plaintiff, rather than "empty chair" defendants-was to ensure that fault was accurately litigated.
As explained in the commentary to the Uniform Comparative Fault Act, which we relied on in Benner, a fair apportionment of fault requires adversarial fact-finding:
The limitation to parties to the action means ignoring other persons who may have been at fault with regard to the particular injury but who have not been joined as parties. This is a deliberate decision. It cannot be told with certainty whether that person was actually at fault or what amount of fault should be attributed to him, or whether he will ever be sued, or whether the statute of limitations will run on him, ste. An attempt to settle these matters in a suit to which he is not a party would not be binding on him. Both plaintiff and defendants will have significant incentive for joining available defendants who may be liable. The more parties
Joined whose fault contributed to the injury, the smaller the percentage of fault allocated to each of the other parties, whether plaintiff or defendant.
The risk entailed in shifting blame to an "empty chair" is well-illustrated by the circumstances of this case: if the statute of limitations were a bar to Alaska General Alarm's liability and it were impleaded for purposes of fault allocation alone, Grinnell would have every motivation to blame Alaska General Alarm for MelIntire's injuries. But Alaska General Alarm, facing no liability, would have little incentive to defend itself. The burden thus would fall on Melntire to demonstrate that Grinnell was at fault and that Alaska General Alarm was not. This burden shifting would encourage defense counsel to wait until the statute of limitations expired to join third parties, and would frustrate recovery by plaintiffs.
This result could be avoided by holding that additional defendants cannot be joined for allocation of either fault or liability once the limitations period for the underlying cause of action has expired. But this solution would create its own unfairness. If a complaint is filed on the last day allowed by the statute of limitations, a defendant would as a practical matter have no opportunity to apportion fault to responsible third parties
-a result that we rejected as inequitable in Benner.
Other jurisdictions for the same reason have held that a defendant's right to contribution under joint and several lability should not be limited by the two-year statute of limitations for tort claims.
Amicus curiae State of Alaska suggests that allowing late joinder of third-party defendants for purposes of allocating Hability, rather than merely fault, is barred by language in AS 09.17.080 requiring the court to consider the nature of the conduct of each party at fault, but to award damages and enter judgment only against each party le-ble.
On this point we agree with the Supreme Court of Utah, which looked at similar language in its comparative fault statute and concluded that "the statutory scheme, taken as a whole, allows the court to consider the fault of any person, but to allocate fault only to plaintiffs, defendants, and [under the Utah statute] persons immune from suit."
Moreover, the language distinguishing between findings of fault and judgments based on liability was originally drafted by the legislature as part of a comparative fault statute that retained joint and several liability; consequently, it is unpersuasive evidence of the intent of the Tort Reform Initiative's drafters to allocate fault without Hability.
We thus conclude, as did the superior court, that under the comparative fault scheme at issue here third parties must be joined for purposes of allocating fault and liability, or not at all. Moreover, the limitations period governing the underlying claim should not bar the liability of third-party defendants to the plaintiff for their share of fault.
To hold otherwise would abandon the statute's stated purpose-apportioning liability equitably among at-fault parties
-in favor of a defense to liability that finds no support in the language or history of the statute and is generally disfavored by courts.
2. The history of the Tort Reform Imitia-tive does mot support applying the statute of Hmitations to actions to apportion ability to third parties.
This conclusion does not require us to hold, as Alaska General Alarm and amici curiae suggest, that the Tort Reform Initiative "impliedly repealed" AS 09.10.070, the statute of limitations governing tort actions. In forwarding this argument, Alaska General Alarm and amici curiae assume that, unless impliedly or expressly repealed, this provision would necessarily govern the equitable apportionment remedy that we established in Benner and Rule 14(c). But this assumption is unwarranted.
Before the 1987 Tort Reform Initiative that led to passage of AS 09.17.080, the Alaska Uniform Contribution Among Joint Tort-feasors Act
provided that joint tortfeasors shared equally in their common liability to the plaintiff, rather than according to the comparative fault of each.
Under that system, which was repealed in 1989 by the Tort Reform Initiative, the defendant had one year from judgment or settlement of the plaintiff's claim to sue for reimbursement
from other culpable parties for any payment it made to the plaintiff in exeess of its pro-rata share."
This rule was not peculiar to Alaska, but reflects the generally recognized view, endorsed by the Uniform Comparative Fault Act,"
the Restatement,
and by virtually all jurisdictions, that third-party claims for contribution or indemnity are separate from underlying tort actions from which they arise:
The rule generally recognized in most jurisdictions is that the cause of action for contribution or indemnity based upon tort is distinct from the cause of action for the underlying tort, and the time when the statute of limitations starts to run upon such cause of action is not when the tort is committed, but when the underlying claim, a judgment thereon, or a settlement thereof is paid or discharged.
The traditional reason for applying a separate statute of limitations to actions for contribution or indemnity is that a defendant's cause of action against a potentially responsible third party does not accrue until there is a judgment or settlement on the primary action"
But despite the notion that such actions only accrue upon judgment, some Jurisdictions with third-party contribution statutes allow or require defendants to litigate their contribution claims concurrently with the underlying tort claims, yet continue to apply a separate statute of limitations that is triggered by the date of settlement or judgment.
The equitable apportionment remedy that we adopted in Benner and implemented in Civil Rule 14(c) bears a far closer relationship to these kinds of third-party claims than to the underlying tort actions. Although im-pleading third parties to litigate their pro-rata contribution under a joint and several liability regime and impleading third parties to apportion fault under a scheme of several liability result in different methods of allocating damages, the procedural distinctions between these remedies is largely semantic. In both cases the defendant, not the plaintiff, initiates the third-party claim, and at its root the claim is a mechanism for spreading damages.
And as shown above, Rule 14(c)'s procedure for apportioning damages under AS 09.17.080 cannot be distinguished from more traditional contribution and indemnity actions merely because it allows defendants to serve third-party complaints and litigate these claims before they technically "accrue"-that is, before judgment or settlement.
Moreover, we find no indication in the legislative history that the drafters of the Tort Reform Initiative intended to turn a third-party procedure well established in this state and the common law on its head.
As
Alaska General Alarm points out, the legislative history of AS 09.17.080 contains no mention of the effect of the Tort Reform Initiative on the statute of limitations. The seant legislative history demonstrates that the initiative's supporters were concerned almost exclusively with ensuring that defendants would be Hable only for their share of fault.
The legislative history also reveals no trace of intent to apportion fault without liability. The statement in support reads in relevant part:
If Ballot Measure No. 2 is passed, and you do something wrong, you pay for it. But you would not be forced to pay for something you didn't do-which could happen under present law.
The legislative affairs agency summary also provides:
The new law would tell the court to enter judgment against each person at fault, but only in an amount that represents that person's share of the fault.
Yet, as discussed above and as we recognized in Benner, subjecting third-party apportionment claims to the statute of limitations for torts would virtually compel the apportionment of fault without liability,
Thus, although the ballot initiative undeniably repealed the statute of limitations governing contribution when it repealed the contribution statute itself, AS 09.16, it appears that voters repealed these provisions as superfluous-because a pure comparative fault regime rendered it theoretically unnecessary for defendants to seek postjudgment reimbursement, particularly given existing civil rules that generally permit liberal joinder of third parties.
Because merging distinct causes of action for tort and equitable apportionment of damages under a single statute of limitations would defeat the initiative's goal of allocating damages fairly among named responsible parties, we cannot assume that the voters intended this result.
Accordingly, we find no basis in law, reason, or precedent to conclude that an action commenced by a third-party complaint to apportion damages under AS 09.17.080, filed in accordance with Civil Rule 14(c), should be governed by AS 09.10.070, the statute of limitations governing the underlying tort claim-a distinet cause of action.
In the present case, Grinnell filed its third-party complaint for apportionment of damages prior to judgment. Because third-party actions of this kind are traditionally deemed to accrue upon judgment or settlement, our conclusion that Grinnell's action is distinct from Melntire's underlying action in tort makes it unnecessary to decide what period of limitation might apply to an apportionment action filed after judgment or settlement. Here, the distinct nature of the causes provides a sufficient basis for reject
ing Alaska General Alarm's claim that Rule 14(c) impermissibly created a substantive right by trumping the statute of limitations for torts.
IV. CONCLUSION
The decision of the superior court denying Alaska General Alarm's motion for summary judgment is AFFIRMED.
COMPTON, Justice, not participating.