Banet v. City of Philadelphia

313 A.2d 253, 226 Pa. Super. 452, 1973 Pa. Super. LEXIS 1381
CourtSuperior Court of Pennsylvania
DecidedNovember 21, 1973
DocketAppeals, 1130 to 1132, inclusive
StatusPublished
Cited by4 cases

This text of 313 A.2d 253 (Banet v. City of Philadelphia) is published on Counsel Stack Legal Research, covering Superior Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Banet v. City of Philadelphia, 313 A.2d 253, 226 Pa. Super. 452, 1973 Pa. Super. LEXIS 1381 (Pa. Ct. App. 1973).

Opinion

Opinion

per Curiam,

The six judges who heard this appeal being equally divided, the judgments are affirmed.

by Hoffman, J.,

In Support of Reversal :

Appellants contend that the trial court erred in refusing to charge the jury on the doctrine of exclusive control.

On April 14, 1965, a 48" water main broke at the intersection of Frankford and Torresdale Avenues in Northeast Philadelphia. The water pipe was manufactured of cast iron and laid in the ground about 1908. Appellants, who maintained business establishments in the general area, suffered extensive water damage from the resultant flood which reached a height of 8 feet. For two months prior to the break, the City had been conducting valve replacements in the main chambers. To gain access to the valves, the street surface and chamber roof were removed by the use of pneumatic tools, cranes and other heavy equipment.

Appellants produced testimony at trial establishing the fact that the damage was caused by the flooding from the broken water main. They offered proof that during the 60 years since the pipe had been installed, no inspections had been conducted in the area for corrosion or metal failure. Au employee of the City confirmed that excavation and repairs were conducted at the intersection where the main broke. A consulting chemist and chemical engineer testified that a cast iron pipe manufactured some 60 years ago would necessarily have corroded to a great extent. He stated that inexpensive and simple testing procedures could measure the extent of corrosion. He further said that road traffic and the heavy repair work in the area could cause a fracture of the pipe in its corroded state.

The City denied the possibility of corrosion, and took the position that the break could not have occurred *454 as a result of any of the hypothesized theories offered by the appellants. The pipe was not available at the time of trial, and appellee had run no tests to determine the cause of the break. The City reported that shortly after the accident, and before appellants could examine it, the broken pipe had been discarded in the water department’s scrap yard. In short, the City could offer no explanation of the cause of the break, except that it was due to no fault on its part and was merely an unforeseen accident.

At the close of testimony, appellants submitted points for charge, asking the Court to instruct the jury that an inference of negligence could be made from the circumstances of the accident under the exclusive control doctrine. The trial court refused to do so, saying in its charge: “The plaintiffs here had an almost impossible burden and perhaps an unfair burden in attempting to establish just what occurred. There is one other theory of law which I refused to apply which may be of some significance. I don’t know that it is, but it is the doctrine of exclusive control.” The trial judge concluded that a Avater main case was not the kind of case to which the doctrine applied, as the issues involved the question of “latent and hidden defect”, not necessarily caused by any negligent act of the defendant, and governed by strict requirements of proof of negligence.

It has been said that the doctrine of exclusive control is “widely misunderstood”. Izzi v. Philadelphia Transportation Co., 412 Pa. 559, 564, 195 A. 2d 784 (1963). Examination of the case law in this jurisdiction demonstrates that that evaluation is somewhat of an understatement. Pennsylvania, unlike other jurisdictions, recognizes the existence of two separate doctrines — res ipsa loquitur and exclusive control.

The former, bearing the namesake of doctrines existing in other states, has been applied only in limited *455 circumstances, primarily involving common, carriers or utility companies. As we said in Gilbert v. Korvette’s, Inc., et al., 223 Pa. Superior Ct. 359, 299 A. 2d 356 (1972), “three factors must coexist in order to invoke the doctrine of res ipsa loquitur: (a) the defendant must owe to the plaintiff a duty of the highest degree of care; (b) the instrumentality which caused the accident was in the exclusive control of the defendant; (JMd, (c) that which happened was something that ordinarily would not have occurred if the defendant had exercised the high degree of care which the law imposes upon him.” Gilbert, at 362-363. The invocation of this doctrine creates a presumption of negligence, which if not rebutted, entitles the plaintiff to a verdict.

The doctrine of exclusive control, which “raises an inference of negligence and shifts to the defendant the burden of going forward with the evidence, and thus takes ail such cases to the jury”, has been said to apply only when all of the following elements are found to exist: “(a) where the tiling which caused the accident is under the exclusive control of or was made or manufactured by the defendant; and (b) the accident or injury would ordinarily not happen if the defendant exercised due care, or made or manufactured the article with due care; and (c) where the evidence of the cause of the injury or accident is not equally available to both parties, but is exclusively accessible to and within the possession of the defendant; and (d) the accident itself is very unusual or exceptional and the likelihood of harm to plaintiff or one of his class could reasonably have been foreseen and prevented by the exercise of due care; and (e) the general principles of negligence have not heretofore been applied to such facts.” Izzi, supra at 566.

The requirements set out in the Izzi case generally reflect the law of res ipsa loquitur as it is applied by other jurisdictions, except with regard to the last re *456 quirement. That last requirement, denying the utiliza? tion of this doctrine to any plaintiff who presents a factual situation to which negligence principles had “heretofore been applied”, predicates the application of exclusive control entirely on the basis of historical accident. Had a plaintiff once established precedent by the utilization of common law negligence principles in a particular type of case, a plaintiff today meeting the first four requirements of Issi could not invoke this well-accepted and equitable doctrine.

I have searched the case law in this and other jurisdictions and have failed to find one single source imposing this historical bar. As late as 1962, one year prior to Izzi, our Supreme Court, per Chief Justice Horace Stern, accepted the requirements set forth in Mack v. Reading Company, 377 Pa. 135, 138-139, 103 A. 2d 749 (1954): ". . .[A]s early as almost a century ago, Chief Justice Erle, in the Court of Exchequer, in Scott v. The London and St. Katherine Docks Company, 3 Huristone & Coleman 596, enunciated the rule of ‘exclusive control’ in the exact language which we have since quoted and followed in a multitude of cases in our own reports, namely, that ‘. . .

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Related

Hollywood Shop, Inc. v. Pennsylvania Gas & Water Co.
411 A.2d 509 (Superior Court of Pennsylvania, 1979)
Todman v. Government of the Virgin Islands
14 V.I. 593 (Supreme Court of The Virgin Islands, 1978)
Gilbert v. Korvette's Inc.
327 A.2d 94 (Supreme Court of Pennsylvania, 1974)

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313 A.2d 253, 226 Pa. Super. 452, 1973 Pa. Super. LEXIS 1381, Counsel Stack Legal Research, https://law.counselstack.com/opinion/banet-v-city-of-philadelphia-pasuperct-1973.