Aubuchon v. Hyland

820 S.W.2d 613, 1991 WL 222257
CourtMissouri Court of Appeals
DecidedNovember 5, 1991
DocketNos. 59317, 59319
StatusPublished
Cited by10 cases

This text of 820 S.W.2d 613 (Aubuchon v. Hyland) is published on Counsel Stack Legal Research, covering Missouri Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Aubuchon v. Hyland, 820 S.W.2d 613, 1991 WL 222257 (Mo. Ct. App. 1991).

Opinion

STEPHAN, Judge.

Pamela Aubuchon (“Pamela”), the widow of Robert Aubuchon (“Robert”), filed a wrongful death action on behalf of: (1) herself; (2) Alexis Christine Aubuchon (“Alexis”), the couple’s minor daughter; and (3) Amy Renee Aubuchon (“Amy”), Robert’s daughter by his first marriage, against Robert Hyland (“Hyland”) and David Wilhelm (“Wilhelm”), d/b/a Riverfront Place, L.P., who are the owners of the MCI Building in downtown St. Louis. Robert fell to his death on April 23, 1986, while working as an ironworker during the construction of this building. After a four-day jury trial, the jury returned a verdict for the plaintiffs. It assessed damages at $1,700,000, apportioning 70% fault to the defendants and 30% fault to Robert, thereby awarding the plaintiffs $1,190,000. All parties currently appeal. We reverse.

Hyland and Wilhelm organized Riverfront Place to: (1) acquire the land located at Fourth and Walnut Streets in the City of St. Louis; and (2) develop the MCI Building upon these premises. Riverfront Place contracted with a general contractor, the C. Rallo Contracting Company, to construct the project. Rallo then subcontracted with Stupp Brothers for completion of the ironwork. Stupp Brothers, in turn, subcontracted the actual erection of the structural steel to Ben Hur Construction Company, Robert’s employer.

On April 23, 1986, Robert worked as part of a “raising gang”. The “raising gang” consisted of five men: two hook-on men, two connectors and one foreman. The hook-on men worked on the ground, attaching steel beams to a crane cable. The crane would then lift the beams to the connectors who would place the beams in position and secure them. That morning, the raising gang set three vertical columns, two high, in the northeast corner of the building. The raising gang then began to connect some of the horizontal cross-members or floor beams. Just before the accident, they had completed the mezzanine and second floor levels. The raising gang then began setting the third floor. The hook-on men attached approximately seven steel beams to the crane boom line. The crane then lifted these beams to Robert and Steve Barnes, who were working as the connectors. Robert and Barnes took the floor beams, one beam at a time, starting with the lowest beam first, and bolted them in place. Robert and Barnes safely set four beams. As they attempted to move the boom line in order to set the fifth beam, a hook from a previous beam got caught under the flange of the beam on which Robert was standing. Robert walked out on the beam to shake the hook loose. As he did this, the tension from the boom line rotated the beam, causing Robert to fall to his death.

Two years later, on May 18, 1988, Pamela filed suit against the defendants, on behalf of herself, Alexis and Amy. The cause was tried before a jury from September 11 through September 14, 1989. Evidence at trial revealed that safety nets were available at the construction site on April 23, 1986. Although nets could have been placed into position in the area where Robert was working, they were not. In fact, the absence of scaffolding or netting [615]*615in this situation, where a worker was more than twenty-five feet over the ground, constituted an Occupational Safety and Health Administration regulation violation. Although the defendants presented evidence that: (1) they surrendered control of the premises to Rallo on January 6, 1986; (2) neither they nor the Forsythe Group had any involvement in the actual construction process; and (3) neither they nor the For-sythe Group attempted to control the day-to-day activities of the job site workers, the jury returned a verdict for the plaintiffs. It is from this verdict that all parties appeal.

The defendants raise eight points on appeal. They argue that the trial court erred in: failing to grant defendants’ motions for directed verdicts, giving certain instructions, and overruling defendants’ objections during plaintiffs’ closing argument. Plaintiffs raise one point on cross-appeal. They argue that the trial court erred in submitting an instruction and in reducing the judgment for fault assessed against Robert.

We begin with the defendants’ contention that argues that the trial court erred in failing to grant their motions for directed verdicts. Where failure to grant a directed verdict for the defendant is the error asserted, we review the evidence presented at trial to determine whether or not the plaintiff introduced substantial evidence that tends to prove the facts essential to plaintiff’s recovery. Schaffer v. Bess, 822 S.W.2d 871, 876 (Mo.App.1991). If the plaintiff has introduced substantial evidence, we will not find that the trial court committed reversible error. Id. In reaching this determination, we review the evidence in the light most favorable to the plaintiff, giving him the benefit of all reasonable inferences, and disregarding the defendant’s evidence except as it aids the plaintiff’s case. Id.

At trial, the plaintiffs argued that: (1) structural steel erection for a twelve-story building is an ultrahazardous activity which involves a substantial risk of injury to workmen if proper and adequate precautions are not taken to prevent workmen from falling from the structure; (2) the defendants had a non-delegable duty to insure that proper and adequate precautions were taken to prevent injury to workmen as a result of falling from the steel structure during construction; (3) the defendants negligently failed to insure that such precautions and preventative measures were taken; and (4) this failure was the proximate cause of Robert’s death.

Since this trial, our Supreme Court decided Zueck v. Oppenheimer Gateway Properties, 809 S.W.2d 384 (Mo. banc 1991). In that case, the Supreme Court noted:

Under the common law, one who contracts with an independent contractor is generally not liable for bodily harm caused by the torts of the contractor or the contractor’s servants. Where, however, the activity undertaken by the independent contractor is inherently dangerous, the common law recognizes an exception and subjects the landowner to liability to innocent third parties for injuries resulting from failure of the independent contractor to take special or reasonable precautions against the inherent risks or dangers. Id.

The Court went on to note that in Mallory v. Louisiana Pure Ice Supply Co., 320 Mo. 95, 6 S.W.2d 617 (Mo. banc 1928), it extended the inherently dangerous exception to an employee of an independent contractor, making the landowner vicariously liable for the employee’s injuries. Id. The Court then noted that although it strayed from Mallory at one time, it later returned to the standard enunciated therein.

Thereafter, the Court took a closer look at Mallory. It noted that the accident suffered by the employee in Mallory occurred in 1924, before the advent of the workers’ compensation law. It further noted that under Mallory, the landowner’s liability was vicarious; it did not flow from the landowner’s own negligence. The landowner thus became the insurer of the employee’s injury, even though the independent contractor’s negligence may have caused the injury. Id. at 387. The Court, then stated that by expanding the common [616]

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Bluebook (online)
820 S.W.2d 613, 1991 WL 222257, Counsel Stack Legal Research, https://law.counselstack.com/opinion/aubuchon-v-hyland-moctapp-1991.