SUPREME COURT OF MISSOURI en banc D.J., BY AND THROUGH HIS ) Opinion issued February 28, 2025 NEXT FRIEND, R.J., ) ) Respondent, ) ) v. ) No. SC100702 ) FIRST STUDENT, INC., ) ) Appellant. )
APPEAL FROM THE CIRCUIT COURT OF ST. LOUIS The Honorable Rex Burlison, Judge
First Student, Inc., appeals the circuit court's judgment overruling its motion for
judgment notwithstanding the verdict (JNOV). Because the criminal act of a third party
was an intervening and superseding event, D.J. failed to prove any action First Student took
or failed to take was the proximate cause of D.J.'s injuries. The judgment is vacated, and
the case is remanded. 1
Factual and Procedural History
The material facts are undisputed. In 2019, fourth-grader D.J. attended KIPP
Victory Academy. KIPP had contracted with First Student to transport children to and
1 This Court transferred the appeal following an opinion by the court of appeals and has jurisdiction pursuant to article V, section 10 of the Missouri Constitution. from school during 2017. In that role, First Student planned all bus routes, stops, and
schedules. First Student's contract also required it to provide each driver with an updated
route sheet and student list before any run.
At the start of the 2019-2020 school year, First Student's route sheet directed its bus
drivers to drop D.J. off at the northwest corner of the intersection of Goodfellow and Lalite.
On the afternoon of October, 23, 2019, however, substitute bus driver Tomika Richardson
dropped D.J. off at the southeast corner of Goodfellow and Lalite. D.J. safely reached
home after crossing Goodfellow and Lalite.
The next day, Richardson again stopped to drop D.J. off at the southeast corner of
the intersection. She checked her mirrors for traffic, extended the stop arm, and activated
the flashing lights. D.J. exited the bus and began crossing Goodfellow in front of the bus.
As D.J. crossed the street, the vehicle stopped directly behind the bus maneuvered
around the left side of the bus toward D.J. Richardson laid on her horn and yelled at the
driver, but the driver accelerated toward D.J. The driver struck D.J. while he was crossing
Goodfellow, before running through a stop sign and speeding away. The collision fractured
D.J.'s left ankle and sprained his right ankle. The hit-and-run driver was never identified.
D.J., through his mother, sued First Student and Richardson. In relevant part, D.J.
pleaded that First Student, acting through its agent Richardson, negligently dropped D.J.
off at an unreasonably safe location (Count I). In addition, D.J. pleaded that First Student
negligently failed to provide Richardson with a route sheet, had negligently failed to advise
Richardson of what the route sheet said, and had negligently failed to tell Richardson that
D.J.'s grandmother's house was located on Lalite west of Goodfellow (Count II).
2 The case proceeded to a jury trial. At the close of D.J.'s evidence, First Student
moved for a directed verdict, which the circuit court overruled. First Student renewed its
motion at the close of evidence; the circuit court, again, overruled the motion.
The jury returned a verdict in favor of bus driver Richardson on Count I but in favor
of D.J. on Count II and assessed D.J.'s damages at $1.3 million. The circuit court overruled
First Student's motions for JNOV and new trial and entered judgment on the jury's verdict.
First Student appeals, claiming the circuit court erred in overruling its motion for
JNOV because: (1) First Student satisfied any duty it owed by dropping off D.J. in a
reasonably safe location; 2 and (2) the criminal acts of the hit-and-run driver were an
intervening and superseding cause that became the new proximate cause of D.J.'s injuries.
Preservation
"To preserve the issue of submissiblity in a jury-tried case, a party must file a
directed verdict motion and a motion for [JNOV] should there be an adverse verdict."
Rhoden v. Mo. Delta Med. Ctr., 621 S.W.3d 469, 476. A "motion for directed verdict at
the close of [the] plaintiff's case is necessary" if the "defendant seeks to have the case
determined at that point without introduction of additional evidence." Sanders v. Ahmed,
364 S.W.3d 195, 207 (Mo. banc 2012). "If this motion is overruled, the moving party may
elect to rest or present additional evidence." Rhoden, 621 S.W.3d at 476. And if "the
moving party elects to present additional evidence," "there must be another directed verdict
2 This Court need not and does not reach the issue of whether First Student breached any common law or added contractual duty because this case is resolved on the legal determination that D.J. failed to prove the element of proximate cause. 3 motion filed at the close of all of the evidence to challenge the submissibility of the
plaintiff's case." Id. In that case, a "motion for directed verdict at the close of all evidence
becomes the meaningful motion to preserve the issue as it presented itself to the trial court
at that time, prior to submission to the jury." Sanders, 364 S.W.3d at 207. "After verdict,
of course, a motion for JNOV also is required to preserve the issues raised for appeal."
Id. at 207-08.
First Student included its claim that D.J. had failed to make a submissible case in a
motion for a directed verdict at the end of its own evidence and presented this claim in a
timely motion for JNOV after the circuit court entered judgment. As required by Rule
72.01, First Student specifically stated D.J. had failed to make a submissible case because
the criminal acts of the hit-and-run driver were an intervening and superseding cause. First
Student preserved this claim for appellate review.
Standard of Review
When reviewing a circuit court's denial of a judgment notwithstanding the verdict,
"[t]his Court must determine whether the plaintiff presented a submissible case by offering
evidence to support every element necessary for liability." Fleshner v. Pepose Vision Inst.,
P.C., 304 S.W.3d 81, 95 (Mo. banc 2010). "Evidence is viewed in the light most favorable
to the jury's verdict, giving the plaintiff all reasonable inferences and disregarding all
conflicting evidence and inferences." Smith v. Brown & Williamson Tobacco Corp., 410
S.W.3d 623, 630 (Mo. banc 2013) (internal quotation omitted). "Whether the plaintiff
made a submissible case is a question of law that this Court reviews de novo." Newsome
v. Kan. City, Mo. Sch. Dist., 520 S.W.3d 769, 775 (Mo. banc 2017) (internal quotation
4 omitted). A JNOV motion "should be granted if the defendant shows that at least one
element of the plaintiff's case is not supported by the evidence." Id. (internal quotation
omitted).
Analysis
In an action for negligence, the plaintiff must establish the defendant owed a duty
of care to the plaintiff, the defendant breached that duty, and the defendant's breach was
causally connected to the plaintiff's injury. State ex rel. Tyler Techs., Inc. v. Chamberlain,
679 S.W.3d 474, 477 (Mo. banc 2023). "In all tort cases, the plaintiff must prove that each
defendant's conduct was an actual cause, also known as cause-in-fact, of the plaintiff's
injury[.]" City of St. Louis v. Benjamin Moore & Co., 226 S.W.3d 110, 113 (Mo. banc
2007). "Once actual causation has been established, the issue becomes one of legal cause—
also known as proximate cause—that is, whether the defendant should be held liable
because the harm is the reasonable and probable consequence of the defendant's conduct."
Id. at 114. Actual causation is a factual question for the jury "if sufficient evidence is
presented from which the jury could reasonably find that the plaintiff's injury was a direct
result of the defendant's negligence." Payne v. City of St. Joseph, 135 S.W.3d 444, 450
(Mo. App. 2004).
On the other hand, proximate cause is a "legal determination" that presents a
question of law for the circuit court. Poage v. Crane Co., 523 S.W.3d 496, 513 (Mo. App.
2017) (emphasis omitted). This approach fits Missouri's unique jury instructions. "[U]nder
MAI [the courts] do not use the terms 1) 'proximate cause,' 2) 'but for causation,' or
3) 'substantial factor' when instructing the jury. [The court] merely instruct[s] the jury that
5 the defendant's conduct must 'directly cause' or 'directly contribute to cause' plaintiff's
injury." Callahan v. Cardinal Glennon Hosp., 863 S.W.2d 852, 863 (Mo. banc 1993). But
proximate cause is synonymous with the phrase "directly resulted from." State ex rel. Mo.
Highway & Transp. Comm'n v. Dierker, 961 S.W.2d 58, 60 (Mo. banc 1998). So Missouri
jurors are never instructed to consider whether a third party's act was a superseding cause.
See Poage, 523 S.W.3d at 513. "Accordingly, it is the trial court's role—not the jury's
function—to determine if a defendant's conduct is the "proximate cause" of the plaintiff's
injuries[.]" Id.; see also Wagner v. Bondex Int'l, Inc., 368 S.W.3d 340, 350-51 (Mo. App.
2012).
To determine the legal issue of proximate cause, a court must determine whether
the plaintiff presented evidence that their injuries were "a reasonable and probable
consequence of the act or omission of the defendant." Tharp v. St. Luke's Surgicenter-
Lee's Summit, LLC, 587 S.W.3d 647, 657 (Mo. banc 2019) (internal quotation omitted).
Proximate cause looks at "the scope of foreseeable risk created by the defendant's act or
omission." Nail v. Husch Blackwell Sanders, LLP, 436 S.W.3d 556, 563 (Mo. banc 2014).
This analysis "relies upon hindsight to determine whether the precise manner of a particular
injury was a natural and probable consequence of a negligent act." Lopez v. Three Rivers
Elec. Co-op., Inc., 26 S.W.3d 151, 156 (Mo. banc 2000).
When the acts of two or more persons combine to injure a person, "there is a
question as to whether the initial act of negligence was the proximate cause of the injury
or whether there was an efficient, intervening cause." Krause v. U.S. Truck Co., 787
S.W.2d 708, 710 (Mo. banc 1990) (internal quotation omitted). "An intervening cause
6 must be a new and independent force which so interrupts the chain of events that it becomes
the responsible, direct, proximate, and immediate cause of the injury." Gathright v.
Pendegraft, 433 S.W.2d 299, 308 (Mo. banc 1968) (internal quotation omitted).
"If a prior and remote cause does nothing more than give rise to an occasion by which an injury is made possible, and there intervenes between that cause and the injury a distinct and unrelated cause of injury, a negligence action does not lie, even though the 'but for' test is satisfied."
Tompkins v. Cervantes, 917 S.W.2d 186, 191 (Mo. App. 1996). 3 When the intervening
cause becomes the proximate cause of the plaintiff's injury, the defendant is relieved from
liability as a matter of law. See Boese v. Love, 300 S.W.2d 453, 458-59 (Mo. 1957).
The dispositive issue here is whether First Student's failure to provide Richardson
with the route information was the proximate cause of D.J.'s injuries – or whether the
criminal acts of the hit-and-run driver were the proximate cause of D.J.'s injuries. The
criminal act of a third party is "rarely foreseeable." Harner v. Mercy Hosp. Joplin, 679
S.W.3d 480, 484 (Mo. banc 2023). 4 "[E]ach case must be decided on its own facts, and it
is seldom that one decision controls another." Krause, 787 S.W.2d at 710.
3 Dix v. Motor Market, Inc., 540 S.W.2d 927 (Mo. App. 1976), illustrates how a negligent defendant's liability can be superseded by the act of a third party. There, a defendant left his car unlocked, with the keys in the ignition, in a parking garage. Id. at 929. A third party stole the car. Id. The next day, the third party hit and killed the decedent plaintiff with his car. Id. As a matter of law, "the intervening independent act of negligence on the part of the thief who stole the auto was the direct and proximate cause of the fatal injuries suffered by the decedent." Id. at 933. The third party's "negligent driving could not have been reasonably foreseen" because the defendant's act of leaving his keys in his ignition was a "remote cause." Id. Instead, the third party's negligent driving—not the defendant's act of leaving his keys in his car—was the proximate cause of decedent's death. Id. 4 In a separate line of cases, this Court has held businesses have a duty to protect their invitees from "special facts and circumstances" that "render injury foreseeable in a given 7 The hit-and-run driver's criminal actions in this case broke the causal chain. Passing
a stopped school bus violates § 304.050.1, 5 which provides:
the driver of a vehicle upon a highway upon meeting or overtaking from either direction any school bus which has stopped on the highway for the purpose of receiving or discharging any school children and whose driver has in the manner prescribed by law given the signal to stop, shall stop the vehicle before reaching such school bus and shall not proceed until such school bus resumes motion, or until signaled by its driver to proceed.
Further, any person who violates this section in a manner that "results in the injury of a
child shall be guilty of a class E felony." § 304.070. To be clear, the driver's actions after
striking D.J.—which could be charged as leaving the scene of an accident and a stop sign
violation—are not relevant to this analysis. A person's actions after injuring a plaintiff
cannot be a proximate cause of that person's injuries.
In addition to committing a criminal act, the hit-and-run driver also crossed a double
yellow line before striking D.J. This accident also occurred before a stop sign in a
residential neighborhood. The sudden, unexpected decision of the hit-and-run driver to
violate state law by maneuvering past a stopped school bus with its arm out and lights
flashing to strike a child crossing the street is the type of "surprising, unexpected, or
freakish," third party action exceeding "the natural and probable consequences of [the]
defendant's actions." Dierker, 961 S.W.2d at 61.
Public policy reinforces the conclusion that the criminal act of the hit-and-run driver
was a superseding cause. In addition to providing for criminal penalties against drivers
case." Harner, 679 S.W.3d at 484. As these cases involve the question of duty, not proximate cause, these cases are inapplicable. 5 All statutory references are to RSMo 2016, unless otherwise stated. 8 who pass stopped school buses, section 304.050 imposes several obligations on school bus
companies and drivers. First, school buses are required to have several prominent signs –
some of which instruct drivers how to follow state law regarding school buses. Every
school bus must have "a plainly visible sign" on the front and rear identifying the school
bus. § 304.050.2. Each bus "shall have lettered on the rear in plain and distinct type the
following: 'State Law: Stop while bus is loading and unloading.'" Id. Every school bus
"which has a gross vehicle weight rating of more than ten thousand pounds, which has the
engine mounted entirely in front of the windshield and the entrance door behind the front
wheels, and which is used for the transportation of school children shall be equipped no
later than August 1, 1998, with a crossing control arm." § 304.050.3. When activated, the
arm "shall extend a minimum of five feet six inches from the face of the front bumper."
Id.
School bus drivers also have to follow statutory mandates while operating a school
bus. As relevant here, "the driver of a school bus in the process of loading or unloading
students upon a street or highway shall activate the mechanical and electronic signaling
devices." § 304.050.4. These signals "communicate to drivers of other vehicles that
students are loading and unloading." Id. It is undisputed that First Student and its
employee Richardson followed all of these statutory obligations in this case. All of these
provisions exist to drastically reduce the likelihood that a driver will attempt to pass a
school bus and strike a child.
9 Conclusion
The criminal act of a third party was the proximate cause of D.J.'s injuries.
Because D.J. failed to make a submissible case for the element of proximate cause, the
circuit court erred in overruling First Student's motion for JNOV. The judgment is
vacated, and the case is remanded to the circuit court to enter judgment not withstanding
the verdict in First Student's favor.
__________________________ Zel M. Fischer, Judge
Russell, C.J., Ransom, Broniec, and Gooch, JJ., concur; Wilson, J., dissents in separate opinion filed; Powell, J., concurs in opinion of Wilson, J.
10 SUPREME COURT OF MISSOURI en banc D.J., BY AND THROUGH HIS ) NEXT FRIEND, R.J., ) ) Respondent, ) ) v. ) No. SC100702 ) FIRST STUDENT, INC., ) ) Appellant. )
DISSENTING OPINION
The principal opinion vacates the circuit court’s judgment and remands the case
for entry of judgment for First Student notwithstanding the jury’s verdict. The principal
opinion holds the unidentified driver’s actions in passing the school bus and striking
nine-year-old D.J. were an intervening cause sufficient to insulate First Student from
liability for its negligence in failing to provide the route sheet showing where D.J. was to
be dropped off, the specific location of D.J.’s drop, or even the location of D.J.’s home.
For the following reasons, I respectfully dissent.
Background
D.J. attended KIPP Victory Academy. KIPP solicited bids for transportation
services stating, in part, the “safety of our students is our primary priority[.]” KIPP sought a transportation company to implement a “comprehensive safety plan,” including
“continuing on-the-road training and classroom training for all drivers[.]” It hired First
Student to do so.
First Student agreed it would be “primarily responsible for planning all routes,
stops and schedules in coordination with and based on [KIPP’s] specifications.” Among
many other responsibilities, First Student agreed it would “ensure that each driver will
have an updated route and/or student listing prior to making any run.”
In 2019, D.J. lived on the south side of Lalite Avenue (a smaller, two-lane road
running roughly east and west), west of the intersection with Goodfellow Boulevard (a
busier, two-lane road running roughly north and south). The intersection of Goodfellow
and Lalite is a four-way stop. First Student used D.J.’s address and its safety protocols to
create a route sheet showing each student’s pick-up and drop-off locations. For D.J., the
route sheet showed the intersection of Goodfellow and Lalite and, more specifically,
showed D.J. should be dropped off on the “NW CRNR” (or northwest corner) of that
intersection. In other words, the bus would approach the intersection from the north,
driving south on Goodfellow. It would drop D.J. on the northwest corner of that
intersection (i.e., before crossing Lalite) so D.J. would only have to cross Lalite to walk
home. He would not need to walk in front of or behind the bus and would not have to
cross Goodfellow at all. The following picture shows the Goodfellow/Lalite intersection,
approached from the south and heading north on Goodfellow.
2 First Student was well aware that “danger zones are areas outside the bus where
children are in the most danger of being hit, either by another vehicle or by their own
bus.” (Emphasis added). The driver training manual states the most dangerous zones are
in front of and behind the bus. The manual states “the area to the left of the bus is always
considered dangerous because of passing cars” and includes a diagram marking the area
to the left of the bus: “Danger From Passing Cars.” When a vehicle passes a school bus
from the rear (i.e., in the same lane as the bus), the vehicle’s driver cannot see a child
crossing that street in front of the bus until the child emerges from the blind spot the bus
creates. The following illustration is from First Student’s manual:
3 The drop-off location for D.J. on the northwest corner of Lalite and Goodfellow
was chosen so D.J. would not have to enter the “danger zone” on the left side of the bus
and would not have to cross in front of or behind the bus. The route sheet showed the bus
would first approach the Lalite/Goodfellow intersection from the south but indicated that
D.J. should not be dropped off on the southeast corner of that intersection. Doing so
would require D.J. to alight, cross through the blind spot in front of the bus, and emerge
to cross both lanes of Goodfellow to reach his home. Instead, the bus was to turn left on
Lalite, right on Wilborn Drive, right on Garesche Avenue, and then right on Goodfellow
(heading south) so it could approach the Lalite/Goodfellow intersection from the north.
The entire purpose of this circuitous route was to position the bus to drop D.J. off on the
northwest corner of the intersection so he would not have to cross Goodfellow and would
never have to cross into or out of the blind spots in front of or behind the bus, spots the
manual labels “most dangerous.” Instead, he would cross Lalite and never need to enter
4 the area to the left of the bus identified by First Student as a “danger zone” and without
having to face the risk that First Student labeled as “Danger From Passing Cars” as he
crossed Goodfellow.
First Student and its drivers complied with the route sheet for two months,
dropping D.J. off on the northwest corner of Goodfellow/Lalite. On October 23, 2019,
however, a substitute driver (“T.R.”), drove D.J.’s bus. First Student failed to give this
driver the route sheet, did not tell this driver to drop D.J. off on the northwest corner of
Goodfellow and Lalite, and did not tell her D.J. lived west of Goodfellow. Instead, First
Student merely gave the substitute driver a list of intersections where children were to be
dropped off, with no indication as to which corner of each intersection the driver should
use. As a result, D.J. was dropped off on the southeast corner, which was the easiest for
the driver because the bus was generally traveling south to north. D.J. walked in front of
the bus, crossed Goodfellow, and proceeded to his home without incident.
The next day, however, the risk identified by First Student in its manual (i.e., that
a child could be struck by a passing vehicle as the child emerged from the blind spot
created by the bus) materialized. Not knowing where D.J. lived (and plainly not recalling
from the day before that D.J. would need to cross Goodfellow if he was dropped off on
the southeast corner of the intersection), the substitute driver asked: “Anyone for Lalite
and Goodfellow?” Someone said, “D.J.,” and the substitute driver responded, “Oh, D.J.”
The driver activated the caution lights, extended the stop arm, and opened the door at the
southeast corner of the intersection. D.J. stepped down to the pavement, passed in front
of the bus on his way across Goodfellow, stepped out from the blind spot created by the
5 bus, and was immediately struck by a northbound vehicle passing the bus on the bus’s
left side (i.e., the side First Student’s manual identified as a “danger zone” and labeled:
“Danger From Passing Cars”). The driver of the vehicle that struck D.J. left the scene
and has not been identified.
The case was tried on two very different theories of liability. First, D.J. claimed
First Student and the substitute driver were liable for the driver’s negligence in dropping
D.J. on the southeast corner because it was not reasonably safe. Second, D.J. claimed
First Student alone was liable for its negligence in failing to give the substitute driver the
route sheet, or to tell her D.J. was to be dropped off at the northwest corner of
Goodfellow and Lalite, or even to tell her that D.J. lived on Lalite west of Goodfellow.
The two verdict directors read:
Instruction No. 7 Your verdict must be for the Plaintiff [D.J.] and against Defendants [T.R.] and First Student, Inc. if you believe First, Plaintiff [D.J.] was not dropped off at the northwest corner of Goodfellow and Lalite on October 24, 2019; and Second, the southeast corner of Goodfellow and Lalite was not reasonably safe; and Third, Defendants were thereby negligent; and Fourth, such negligence directly caused or directly contributed to cause damage to Plaintiff [D.J.]. The term “negligent” or “negligence” as used in this instruction means the failure to use that degree of care that a very careful person would use under the same or similar circumstances.
6 Instruction No. 8 Your verdict must be for the Plaintiff [D.J.] and against Defendant First Student, Inc. if you believe: First, either: First Student, Inc. did not provide [T.R.] with a copy of The Route Sheet on or prior to October 24, 2019; or First Student, Inc. did not tell [T.R.] that The Route Sheet stated “NW CRNR” next to “GOODFELLOW BLVD & LALITE AVE” on or prior to October 24, 2019; or First Student, Inc. did not tell [T.R.] that [D.J.’s] grandmother’s house was located on Lalite Ave. west of Goodfellow on or prior to October 24, 2019; and; Second, Defendant First Student, Inc. in any one or more of the respects submitted in paragraph First, was thereby negligent, and Third, such negligence directly caused or directly contributed to cause damage to Plaintiff [D.J.]. The term “negligent” or “negligence” as used in this instruction means the failure to use that degree of care that a very careful person would use under the same or similar circumstances.
After deliberation, the jury returned unanimous verdicts in favor of T.R. and First
Student and against D.J. on the theory set forth in Instruction No. 7, but in favor of D.J.
and against First Student on the theory set forth in Instruction No. 8. First Student moved
for judgment non obstante verdicto on the ground that the law and the evidence did not
support the giving of Instruction No. 8. 1 This circuit court overruled this motion and
entered judgment for D.J. First Student appeals.
1 First Student’s appeal concerns only whether Instruction No. 8 was supported by the law and evidence because, as the principal opinion points out, a party may move for JNOV only if it suffers an “adverse verdict.” Slip op. at 3 (quoting Rhoden v. Mo. Delta Med. Ctr., 621 S.W.3d 469, 476 (Mo. banc 2021)). 7 Analysis
First Student raises two claims on appeal. First, the circuit court should have
entered judgment for First Student on the direct liability claim in Instruction No. 8
because First Student claims “the jury found [First Student] and [T.R.] dropped off [D.J.]
at a reasonably safe place, which was the only legal duty owed by First Student in this
case.” Second, the circuit court should have entered judgment for First Student on the
direct liability claim because First Student is not liable for the intervening criminal acts of
a third party in that “it was not foreseeable that the hit-and-run driver would pass on the
left side of a school bus that had its 8-way flashing amber lights activated and the stop
arm extended and strike a passenger who was crossing the street in front of the bus.”
Both arguments are incorrect.
Point One
The principal opinion did not need to address First Student’s first point because it
agreed with the second. It is worth noting the obvious flaw in First Student’s first
argument, however, because it infects so many of First Student’s arguments. First
Student insists, in its first point relied on and many times throughout its brief, that the
jury necessarily “found” First Student and T.R. dropped off D.J. at a reasonably safe
location when it found for them on Instruction No. 7. This is plainly incorrect. The jury
returned only general verdicts, with no specific findings on any issue. Accordingly, there
is no way of knowing on which element or elements D.J. failed to persuade the jury.
Is it possible D.J. failed to persuade the jury that the southeast corner of
Goodfellow and Lalite was not reasonably safe? Yes, but D.J. might just as well have
8 failed to persuade the jury that the substitute driver’s actions were negligent. Instead, the
jury might have believed the substitute driver did all that even a very careful person
would do given that she did not know what the route sheet said, or that she was supposed
to drop D.J. on the northwest corner of Goodfellow and Lalite, or that D.J. lived on Lalite
west of Goodfellow, and therefore, it would be prudent to drop him off on the northwest
corner. Finally, even if the jury was persuaded the southeast corner was not reasonably
safe and the defendants were negligent in dropping D.J. there, D.J. might have failed to
persuade the jury this negligence “directly caused or directly contributed to cause” his
injuries because the jury might have believed the hit-and-run driver’s actions were solely
to blame. All these elements were necessary, and D.J. may have failed to convince the
jury as to any one, two, or all three of them. We simply do not know why the jury was
not persuaded to find for D.J. under Instruction No. 7, and First Student’s repeated
assertions otherwise do not change this fact. Because First Student’s first point relied on
is based entirely on this faulty premise, it should be denied. 2
2 By rejecting the point on this ground, the Court need not reach First Student’s dubious assertion that it was under no duty to drop D.J. on the northwest corner of Goodfellow and Lalite despite it having undertaken to do so as part of its duty to D.J. and the evidence showing it planned the route sheet to keep from dropping D.J. at the southeast corner because it was not safe. See Wolfmeyer v. Otis Elevator Co., 262 S.W.2d 18, 21 (Mo. 1953) (holding the “contract is of interest to us because it shows what defendant undertook to do … [a]nd in doing the things which the defendant knew or should have known [would affect] the safety of third persons, defendant had a duty to such third persons to do carefully what it undertook to do”). 9 Point Two
First Student’s second point relied on asserts that – even if it was negligent in
failing to give the substitute driver the route sheet, the location of D.J.’s drop, or the
location of D.J.’s home, and even if this negligence caused D.J.’s injuries – the actions of
the northbound driver who was illegally attempting to pass the bus when he or she hit
D.J. were an intervening cause insulating First Student from any liability for its actions.
As a result, First Student contends the actions of the vehicle’s driver, and not First
Student, were the “proximate cause” of D.J.’s injuries.
1. First Student’s negligence proximately caused D.J.’s injuries
Proximate cause analysis has bedeviled courts since its inception. First Student’s
argument adds another chapter to the mischief this doctrine creates and the overt
policymaking it often obscures.
“Proximate cause,” in short, has been an extraordinarily changeable concept. Having no integrated meaning of its own, its chameleon quality permits it to be substituted for any one of the elements of a negligence case when decision on that element becomes difficult…. No other formula … so nearly does the work of Aladdin’s lamp.
W. Prosser & W. Keeton, Prosser and Keeton on the Law of Torts, § 42 at 276 (“Prosser
and Keeton”) (5th ed. 1984) (alteration in original) (internal quotations and footnotes
Virtually every question of “proximate cause” can be framed – and perhaps better
framed – in terms of what duty the defendant does (and does not) owe to the plaintiff. Id.
at 274. Unlike “proximate cause,” questions of duty are questions of law to be resolved
solely by the court. Id. But, when a court declares no duty is owed even though (as
10 here) the defendant’s conduct clearly was the but-for cause of the plaintiff’s injuries, the
court is making policy, i.e., whether a defendant in these circumstances should be liable.
Id. (explaining “‘duty’ may serve to direct attention to the policy issues” and “is perhaps
less likely than ‘proximate cause’ to be interpreted as if it were a policy-free
factfinding”); see also Gray v. Russell, 853 S.W.2d 928, 930-31 (Mo. banc 1993) (noting
“the rescue doctrine embodies a policy choice by courts to deem rescue attempts to be
foreseeable for purposes of tort recovery”). Courts, however, are rightly uncomfortable
engaging in such naked policymaking.
Similarly, virtually every question of “proximate cause” can be framed – and
perhaps better framed – in terms of whether the defendant was not negligent, i.e., that the
defendant did all a reasonable (or even very careful) person would do under the facts and
circumstances. Prosser and Keeton, § 42 at 275 (explaining, in a proper case, it is better
to say the defendant’s “standard of reasonable conduct does not require the defendant to
recognize the risk or take precautions against it” because, “[w]hen the courts say that his
conduct is not ‘the proximate cause’ of the harm, they not only obscure the real issue, but
suggest artificial distinctions of causation which have no sound basis”). And, again,
unlike questions of proximate cause, the question of whether a defendant is not negligent
as a matter of law is a question for the court. Like questions of duty, however, these
decisions are openly and obviously based solely on policy, not law.
In the present case, First Student decided not to frame its argument in terms of
duty or absence of negligence, but instead in terms of “proximate cause.” The principal
opinion accepts that framing. Posing the question as one of “proximate cause,” rather
11 than duty or the standard of care, however, merely obscures that the Court is engaged in
policymaking, it does not change it. Fortunately, First Student’s choice to frame this case
in terms of “proximate cause” presents a puzzle this Court solved long ago. Missouri
wisely does not subject its jurors to the tortures of unsnarling the linguistic web of
“but-for cause” or “cause-in-fact” on the one hand and “proximate cause” or “legal
cause” on the other. Instead, our instructions merely ask the jury to decide whether the
defendant’s negligent actions “directly caused or directly contributed to cause” the
plaintiff’s injuries. See MAI 19.01 (8th ed.). Make no mistake, however, MAI 19.01
puts to the jury both questions of “cause-in-fact” and questions of “proximate cause.” As
the principal opinion properly notes, the phrase “directly resulted from” is synonymous
with “proximate cause.” Slip Op. at 6 (citing State ex rel. Mo. Highway & Transp.
Comm’n v. Dierker, 961 S.W.2d 58, 60 (Mo. banc 1998)).
This Court has stated that negligence is the proximate cause of an injury (or the
injury “directly results” from that negligence) when the injury is the “reasonable and
probable consequence” of the defendant’s act or omission. Tharp v. St. Luke’s
Surgicenter-Lee’s Summit, LLC, 587 S.W.3d 647, 657 (Mo. banc 2019) (internal
quotation omitted). In other words, the question is whether the injury was within “the
scope of foreseeable risk created by the defendant’s act or omission.” Nail v. Husch
Blackwell Sanders, LLP, 436 S.W.3d 556, 563 (Mo. banc 2014) (emphasis added). “To
the extent the [injuries] are surprising, unexpected, or freakish, they may not be the
natural and probable consequences of a defendant’s actions.” Dierker, 961 S.W.2d at 61
12 (internal quotation omitted). The principal agrees with each of these statements and
relies on them as the framework for deciding the case.
Having set the table so well, however, the principal opinion reaches the palpably
incorrect answer. Was it foreseeable that, knowing the bus would approach the
intersection of Goodfellow and Lalite from the south, First Student’s failure to tell the
substitute driver that D.J. was to be dropped off on the northwest corner of that
intersection would result in him being dropped off on the southeast corner where he
would have to cross in front of the bus, emerge from that blind spot to cross both lanes of
Goodfellow, and thereby be exposed to the risk that he would be struck by a northbound
vehicle passing along the left side of the bus? To ask the question is to answer it. The
fact that D.J. was struck by a northbound vehicle passing the bus on the left was not a
“surprising, unexpected, or freakish” result. The risk of that occurring was precisely why
D.J. was to be dropped off on the northwest corner and not the southeast corner, i.e., to
keep him out of the school bus’s blind spots, to keep him from needing to cross
Goodfellow, and to allow him to cross Lalite without being exposed to the risk of a driver
passing on the left side of the bus.
The question of foreseeability becomes (or, at least, should become) much easier
when the defendant actually foresees the risk of what happened. First Student foresaw
the risk to D.J. if he was dropped off on the southeast corner and took steps to alleviate
that risk; steps on which KIPP and D.J.’s family reasonably relied. First Student knew a
child stepping out from in front of a bus is at risk of being struck by a vehicle passing the
bus on the left side. The evidence shows First Student knew this because it is in First
13 Student’s driver training manual. In addition, First Student knew the “area to the left of
the bus is always considered dangerous because of passing cars.” (Emphasis added).
The evidence shows First Student knew this because this quote comes from its own
manual, together with an illustration with the left side of the bus labeled “Danger From
Passing Cars.” (Emphasis added). See Prosser and Keeton, § 44 at 303 (“If the
intervening cause is one which in ordinary human experience is reasonably to be
anticipated, or one which the defendant has reason to anticipate under the particular
circumstances, the defendant may be negligent … [for] failing to guard against it”)
(emphasis added) (footnotes omitted).
First Student seeks to obscure this plain and obvious answer by highlighting that
the actions of the vehicle’s driver in passing the bus on the left were illegal and pointing
to premises liability cases in which this Court and others have noted that criminal acts of
third parties are “rarely foreseeable.” See, e.g., Harner v. Mercy Hosp. Joplin, 679
S.W.3d 480, 484 (Mo. banc 2023). The principal opinion should have rejected this bait
but, instead, wound up swallowing it whole.
Premises liability cases such as Harner, and the very few negligence cases
engaging in a similar analysis, concern claims that the defendant should have protected
the plaintiff from the intentional and violent criminal acts of a third party. Here, the
vehicle’s driver was negligent – perhaps even reckless – but no one contends he or she
intended to hit D.J. or acted with that purpose. As Harner makes clear, the question is
one of foreseeability. A violent criminal attack is seldom foreseeable, but the risk that a
vehicle might pass the bus in violation of traffic laws and strike a child emerging from
14 the blind spot in front of the bus to cross the street is not merely a foreseeable risk, it was
exactly the risk First Student foresaw. See Prosser and Keeton, § 44 at 304 (“The risk
created by the defendant may include the intervention of the foreseeable negligence of
others.”). It was the entire reason First Student undertook to design routes and drop-off
lists that removed precisely this risk by dropping a child where such a crossing was not
necessary. It was the entire reason First Student’s route sheet had the bus drive well out
of its way so it could approach Goodfellow/Lalite from the north and drop D.J. on the
northwest corner so he would not have to walk in front of the bus and cross Goodfellow.
Even if it were not so clear that First Student should have foreseen – and, in fact,
did foresee – that D.J. could be hit by a driver passing the bus on the left side, it cannot
be doubted there was sufficient evidence to allow the jurors to decide proximate cause
(along with cause-in-fact) as the question is normally put to them in MAI 19.01, i.e.,
whether First Student’s acts or omissions “directly caused or directly contributed to
cause” D.J.’s injuries. See MAI 19.01 (8th ed). The jury found they did, and there is no
basis to reject that answer.
2. Proximate cause goes to the jury when reasonable people may disagree
Historically, the question of causation – both actual and proximate – has been a
question for the jury. See Prosser and Keeton, § 45 at 320 (“The issue as to whether a
described consequence was ‘foreseeable,’ or was ‘directly’ caused, and the issue as to
whether an intervening force was ‘abnormal’ are to be decided as issues of fact are
decided”). Over the decades, Missouri courts have specifically held this is so. Cade v.
Atchison, T. & S. F. Ry. Co., 265 S.W.2d 366, 269 (Mo. banc 1954); Van Buskirk v. Mo.-
15 Kan.-Tex. R.R. Co., 349 S.W.2d 68, 72 (Mo. 1961); Pollard v. Gen. Elevator Eng’g Co.,
416 S.W.2d 90, 95 (Mo. 1967); Champieux v. Miller, 255 S.W.2d 794, 796 (Mo. 1953);
Cech v. Mallinckrodt Chem. Co., 20 S.W.2d 509, 514 (Mo. 1929); Snyder v. Jensen, 281
S.W.2d 802, 807 (Mo. 1955); Dickerson v. St. Louis Pub. Serv. Co., 286 S.W.2d 820, 825
(Mo. banc 1956); Welch v. Hesston Corp., 540 S.W.2d 127, 130 (Mo. App. 1976);
Reynolds v. Thompson, 215 S.W.2d 452, 456 (Mo. 1948); McCray v. Mo., K. & T. Ry.
Co., 10 S.W.2d 936, 939 (Mo. 1928); State ex rel. City of St. Charles v. Haid, 28 S.W.2d
97, 100-01 (Mo. banc 1930); Payne v. Chi. & A.R. Co., 31 S.W. 885, 888 (Mo. banc
1895); Stollhans v. City of St. Louis, 121 S.W.2d 808, 810 (Mo. 1938); German v. Kan.
City, 512 S.W.2d 135, 147 (Mo. banc 1974).
None of these cases has been overruled by this Court on this ground, and they
remain good law. True, after the adoption of MAI 19.01, this Court rarely needed to
draw a distinction between proximate cause and actual cause in terms of what questions
go to the jury because this MAI incorporates both concepts. It simply asks the jury
whether the defendant’s conduct “directly caused or directly contributed to cause” the
plaintiff’s injuries. See MAI 19.01 (8th ed). But, even after MAI 19.01, this Court has
continued to note that questions of proximate cause should almost always be left to the
jury using the “directly caused or directly contributed to cause” formulation. See
Johnson v. Bi-State Dev. Agency, 793 S.W.2d 864, 868 (Mo. banc 1990); Moore v. Ford
Motor Co., 332 S.W.3d 749, 762 (Mo. banc 2011).
Lower courts have occasionally mistaken MAI 19.01 to mean the question of
proximate cause can never go to the jury and must always and only be decided by the
16 court. See Poage v. Crane Co., 523 S.W.3d 496, 513 (Mo. App. 2017); Wagner v.
Bondex Int’l, Inc., 368 S.W.3d 340, 351 (Mo. App. 2012); Payne v. City of St. Joseph,
135 S.W.3d 444, 450 (Mo. App. 2004). These cases are simply wrong, however, and
ignore the long line of precedent from this Court to the contrary. As explained above, the
language of MAI 19.01 includes both the concept of “but-for cause” and the concept of
“proximate cause.”
But to say – as this Court always has – that the question of proximate cause is one
for the jury (and is now subsumed in the “directly caused or directly contributed to
cause” formulation) is not to say that the circuit court cannot play its usual gatekeeping
role in gauging submissibility. When there is insufficient evidence from which a
reasonable juror could find the defendant’s acts or omissions “directly caused or directly
contributed to cause” plaintiff’s injuries, the circuit court should direct a verdict for the
defendant (or grant the defendant’s JNOV motion). See Prosser and Keeton, § 45 at 320
(explaining proximate cause issues of “foreseeability” and “direct” causation are
“decided by a jury to the same extent, no more and no less, as [other, less evaluative] fact
questions” such that, “if reasonable persons could not differ about the determination on
the evidence before the court, it is decided by the trial judge”). And, in such a case, it
might well be proper to say that proximate cause is lacking as a matter of law.
That said, however, I do not understand the principal opinion to hold that no
reasonable juror could find First Student’s acts and omissions “directly caused or directly
contributed to cause” D.J.’s injuries. That would not even be colorable. Instead, it holds
that the Court is making – and only courts may make – that decision. It holds that only
17 courts may decide what is a “natural and probable” consequence of the defendant’s
actions on the one hand or a “surprising, unexpected, or freakish” result on the other. In
doing so, it compounds the error in Poage, et al., and ignores this Court’s unbroken line
of cases holding proximate cause is a question for the jury so long as (like any other
element) the evidence is such that reasonable people may disagree.
Conclusion
For the foregoing reasons, I respectfully dissent. It may very well be that this
Court believes First Student should not be liable under these circumstances. That is
policymaking, however, not law, and it should be left to the legislature. The legislature
already regulates school bus operations to a great extent and it is in a better position than
this Court to decide whether and how to limit liability when a bus operator complies with
those regulations.
__________________________ Paul C. Wilson, Judge