Blackburn v. Dorta

348 So. 2d 287
CourtSupreme Court of Florida
DecidedMay 5, 1977
Docket46621, 47621 and 48443
StatusPublished
Cited by124 cases

This text of 348 So. 2d 287 (Blackburn v. Dorta) is published on Counsel Stack Legal Research, covering Supreme Court of Florida primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Blackburn v. Dorta, 348 So. 2d 287 (Fla. 1977).

Opinion

348 So.2d 287 (1977)

Kevin BLACKBURN, Jr., a Minor, by and through His Father and Next Friend, Kevin Blackburn, Sr., and Kevin Blackburn, Sr., Individually, Petitioners,
v.
David DORTA, a Minor, by and through His Parent and Natural Guardian, et al., Respondents.
LEADERSHIP HOUSING, INC., Petitioner,
v.
Concetta REA and Frank Rea, Her Husband, Respondents.
MAULE INDUSTRIES, INC., a Florida Corporation, Petitioner,
v.
Raymond C. PARKER, Sr., and Patricia A. Parker, His Wife, Respondents.

Nos. 46621, 47621 and 48443.

Supreme Court of Florida.

May 5, 1977.
Rehearings Denied July 27, 1977.

*288 Ira H. Leesfield, Miami, James D. Little and Larry S. Stewart, Frates, Floyd, Pearson, Stewart, Proenza & Richman, Miami, for petitioners in 46621.

William E. Sadowski, Helliwell, Melrose & DeWolf, Miami, for respondents in 46621.

Frank E. Maloney, Jr., Fleming, O'Bryan & Fleming, Fort Lauderdale, for petitioner in 47621.

James W. Dawson, Fazio, Dawson & Thompson, Fort Lauderdale, for respondents in 47621.

Thomas E. Scott, Jr., Bradford, Williams, McKay, Kimbrell, Hamann & Jennings, Miami, for the Dade County Defense Bar Association, amicus curiae.

Alfred A. Green, Jr., Green, Strasser & Hammond, Daytona Beach, for petitioner in 48443.

Anthony I. Provitola and Michael McDermott, Provitola & McDermott, Deland, for respondents in 48443.

SUNDBERG, Justice.

These three consolidated cases are before the Court under our conflict certiorari jurisdiction as provided by Article V, Section 3(b)(3), Florida Constitution, and Florida Appellate Rule 4.5(b). The District Court of Appeal, Third District, in Dorta v. Blackburn, 302 So.2d 450 (Fla. 3d DCA 1974), found that the doctrine of assumption of risk is still viable as an absolute bar to recovery subsequent to our adoption of the rule of comparative negligence in Hoffman v. Jones, 280 So.2d 431 (Fla. 1973). On the same point of law, the District Court of Appeal, First District, in Parker v. Maule Industries, Inc., 321 So.2d 106 (Fla. 1st DCA 1975); and the Fourth District in Rea v. Leadership Housing, Inc., 312 So.2d 818 (Fla. 4th DCA 1975), reached contrary conclusions. Subsequent to entertaining these consolidated cases, the District Court of Appeal, First District, has decided Smith v. Carter, 338 So.2d 845 (Fla. 1st DCA 1976); Hambrick v. Jackson, 333 So.2d 96 (Fla. 1st DCA 1976), and Manassa v. New Hampshire Insurance Co., 332 So.2d 34 (Fla. 1st DCA 1976). In addition, the District Court of Appeal, Second District, has decided Hall v. *289 Horton, 330 So.2d 81 (Fla. 2d DCA 1976). Each of these last cited decisions rejects the continued viability of assumption of risk as a complete bar to recovery. We have jurisdiction.

Since our decision in Hoffman v. Jones, supra, contributory negligence no longer serves as a complete bar to plaintiff's recovery but is to be considered in apportioning damages according to the principles of comparative negligence. We are now asked to determine the effect of the Hoffman decision on the common law doctrine of assumption of risk. If assumption of risk is equivalent to contributory negligence, then Hoffman mandates that it can no longer operate as a complete bar to recovery. However, if it has a distinct purpose apart from contributory negligence, its continued existence remains unaffected by Hoffman. This question was expressly reserved in Hoffman as being not ripe for decision. 280 So.2d 431, 439.

At the outset, we note that assumption of risk is not a favored defense. There is a puissant drift toward abrogating the defense.[1] The argument is that assumption of risk serves no purpose which is not subsumed by either the doctrine of contributory negligence or the common law concept of duty.[2] It is said that this redundancy results in confusion and, in some cases, denies recovery unjustly. The leading case in Florida dealing with the distinction between the doctrines recognizes that "[a]t times the line of demarcation between contributory negligence and assumption of risk is exceedingly difficult to define." Byers v. Gunn, 81 So.2d 723, 727 (Fla. 1955). The issue is most salient in states which have enacted comparative negligence legislation. Those statutes provide that the common law defense of contributory negligence no longer necessarily acts as a complete bar to recovery. The effect of these statutes upon the doctrine of assumption of risk has proved to be controversial. Joining the intensifying assault upon the doctrine, a number of comparative negligence jurisdictions have abrogated assumption of risk.[3] Those *290 jurisdictions hold that assumption of risk is interchangeable with contributory negligence and should be treated equivalently. Today we are invited to join this trend of dissatisfaction with the doctrine. For the reasons herein expressed, we accept the invitation.

At the commencement of any analysis of the doctrine of assumption of risk, we must recognize that we deal with a potpourri of labels, concepts, definitions, thoughts, and doctrines. The confusion of labels does not end with the indiscriminate and interchangeable use of the terms "contributory negligence" and "assumption of risk." In the case law and among text writers, there have developed categories of assumption of risk. Distinctions exist between express and implied;[4] between primary and secondary;[5] and between reasonable and unreasonable or, as sometimes expressed, strict and qualified.[6] It will be our task to analyze these various labels and to trace the historical basis of the doctrine to unravel what has been in the law an "enigma wrapped in a mystery."

It should be pointed out that we are not here concerned with express assumption of risk which is a contractual concept outside the purview of this inquiry and upon which we express no opinion herein. Meistrich v. Casino Arena Attractions, supra (see footnote 5). Included within the definition of express assumption of risk are express contracts not to sue for injury or loss which may thereafter be occasioned by the covenantee's negligence as well as situations in which actual consent exists such as where one voluntarily participates in a contact sport.

The breed of assumption of risk with which we deal here is that which arises by implication or implied assumption of risk. Initially it may be divided into the categories of primary and secondary. The term primary assumption of risk is simply another means of stating that the defendant was not negligent, either because he owed no duty to the plaintiff in the first instance, or because he did not breach the duty owed. Secondary assumption of risk is an affirmative defense to an established breach of a duty owed by the defendant to the plaintiff. Meistrich v. Casino Arena Attractions, supra.

The concept of primary assumption of risk is the basis for the historical doctrine which arose in the master-servant relationship during the late nineteenth century. See Leavitt v. Gillaspie, supra (see footnote 3). The master was held not to be negligent if he provided a reasonably safe place to work; the servant was said to have assumed the inherent risks that remained. In this context assumption of risk was not an affirmative defense at all.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

R.J. Reynolds Tobacco Company v. Jennifer Rey
District Court of Appeal of Florida, 2025
Soderberg v. Anderson
922 N.W.2d 200 (Supreme Court of Minnesota, 2019)
Petruzzella v. Church on the Rock of Palm Coast, Inc.
219 So. 3d 239 (District Court of Appeal of Florida, 2017)
Tillman v. C.R. Bard, Inc.
96 F. Supp. 3d 1307 (M.D. Florida, 2015)
Machado v. Yacht Haven U.S.V.I., LLC
61 V.I. 373 (Supreme Court of The Virgin Islands, 2014)
In re Standard Jury Instructions in Civil Case—Report No. 12-01
130 So. 3d 596 (Supreme Court of Florida, 2013)
McNichol v. South Florida Trotting Center, Inc.
44 So. 3d 253 (District Court of Appeal of Florida, 2010)
In Re Standard Jury Instructions in Civil Cases—Report No. 09-01
35 So. 3d 666 (Supreme Court of Florida, 2010)
Spar v. Cha
907 N.E.2d 974 (Indiana Supreme Court, 2009)
Carnival Cruise Lines, Inc. v. Levalley
786 So. 2d 18 (District Court of Appeal of Florida, 2001)
Cusick ex rel. Cusick v. City of Neptune Beach
765 So. 2d 175 (District Court of Appeal of Florida, 2000)
Standard Jury Instructions—Civil Cases (No. 98-2)
723 So. 2d 174 (Supreme Court of Florida, 1998)
Davenport v. Cotton Hope Plantation Horizontal Property Regime
482 S.E.2d 569 (Court of Appeals of South Carolina, 1997)
Donaldson v. Cenac
675 So. 2d 228 (District Court of Appeal of Florida, 1996)
Hervey v. Alfonso
650 So. 2d 644 (District Court of Appeal of Florida, 1995)
Worthington v. United States
21 F.3d 399 (Eleventh Circuit, 1994)
Perez v. McConkey
872 S.W.2d 897 (Tennessee Supreme Court, 1994)
Benitez v. Standard Havens Products
7 F.3d 1561 (Third Circuit, 1993)
Benitez v. Standard Havens Products, Inc.
7 F.3d 1561 (Eleventh Circuit, 1993)
Weir v. Krystal Co.
612 So. 2d 665 (District Court of Appeal of Florida, 1993)

Cite This Page — Counsel Stack

Bluebook (online)
348 So. 2d 287, Counsel Stack Legal Research, https://law.counselstack.com/opinion/blackburn-v-dorta-fla-1977.