LANGTRY, J.
Plaintiff was injured when an M2 self-propelled anti-aircraft weapon (commonly referred to as a tank) collided with the log truck he was driving. Plaintiff brought this action for personal injuries against the Military Department and the operator of the tank, defendant Strawn. The trial court sustained a demurrer to the complaint by the Military Department and the jury returned a verdict for defendant Strawn. Plaintiff appeals both judgments.
Plaintiff, while in the course of his employment, was driving a log truck in a southerly direction on a two-lane highway. Approaching from the opposite direction was a convoy of three tanks and a jeep returning from a Veterans’ Day parade. "When plaintiff’s truck and defendant’s tank were approximately 300 feet apart, the tank, in its steering, began experiencing a “mechanical lockup.”
Defendant Strawn attempted to correct the difficulty by pulling back and forth on the T-bar (the steering control) while at the same time decreasing speed. The tank gradually drifted about six
feet into the southbound (plaintiff’s) lane. When the steering finally “broke loose” the tank abruptly swung to the right, moving over the northbound lane and into the bank on the right-hand side of the road. The steering then loosened considerably and when defendant attempted to move away from the bank by turning the tank sharply to the left, the two vehicles collided. At the time of the collision the left front corner of the tank was approximately a foot and a half into plaintiff’s lane. Plaintiff was covered under the Workmen’s Compensation Act at the time of the accident.
Plaintiff assigns as error the sustaining of the Military Department’s demurrer to the original complaint. The basis for the demurrer was OES 30.265, which provides:
“(1) Subject to the limitations of OES 30.260 to 30.300, every public body is liable for its torts and those of its officers, employes and agents acting within the scope of their employment or duties, whether arising out of a governmental or proprietary function.
“ (2) Every public body is immune from liability for:
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“(b) Any claim for injury to or death of any person covered by the Workmen’s Compensation Law.
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ft ft ft ft 33
Plaintiff contends the exception of subsection (2)(b) violates the Equal Protection Clause of the Fourteenth Amendment to the United States Constitution and the “equal privileges and immunities” guarantee of the Oregon Constitution, Art I, § 20, because it retains immunity as to workmen injured through the negligence of government employes, while abrogating immunity
as to all others injured through the negligence of public employes, thus creating an unreasonable classification.
Plaintiff correctly asserts that a statutory classification denies equal protection of the laws if its unequal application to members of the same class has no rational basis in terms of the purpose of the act, or if the statute discriminates without any such rational basis between those to whom it applies and others similarly situated whom it excludes.
Bock v. Bend School Dist. No. 1,
252 Or 53, 55, 448 P2d 521 (1968). The question for decision, then, is whether the legislature had any rational basis for excepting from the general abrogation of immunity those under the Workmen’s Compensation Act. We find no Oregon decisions dealing with a constitutional challenge
to Oregon’s governmental tort liability act, OES 30.260-30.300, or any decisions from other jurisdictions with similar statutes.
No citation of authority is necessary to support the proposition that the doctrine of “sovereign immunity” has imposed a hardship upon citizens negligently injured by government employes, forcing them to bear fully the cost of their injuries. Tort liability
acts such as that found in ORS 30.260-30.300, which to a great extent abrogate immunity, provide a means for distributing these losses over a broad group — i.e., the taxpayers.
When an alternate system for distributing the loss already exists, arguably, there is little reason to redistribute the loss by abrogating immunity.
See,
Van Alstyne, Injury, Death, and Taxes: The Decline of Governmental Immunity, 39 State Government 28, 34 (The Council of State Governments 1966) (commenting on the California Government Tort Liability Law);
see generally,
Nellis,
California Governmental Tort Liability and the Collateral Source Rule,
9 Santa Clara Law 227 (1969).
In his article,
Oregon’s Governmental Tort Liability Law from a National Perspective,
48 OLR 95, 119 (1968), Henke states:
“Although liability insurance is generally available to governments, it has been suggested that governmental immunity be preserved for certain exposures covered by other insurance. The preservation of immunity for claims under the Workmen’s Compensation Act is an example of such a policy * # # >?
Plaintiff argues if existence of a collateral source of compensation is the basis for the exception in question, “why does the exception not provide that any person otherwise insured cannot recover.” The short answer to this is that the legislature need not enact laws which operate to solve perfectly every aspect of the problem to which they are directed.
Leech v. Georgia-Pacific Corp.,
259 Or 161, 167, 485 P2d 1195 (1971). The legislature may have concluded it was best to confine this exception to a
compensation system with, which it was familiar — here, one which it had created.
Plaintiff further contends the classification is unreasonable because a workman in some instances would be able to recover more in an action against the government than he would under the Workmen’s Compensation Act. That this may be true does not detract from the overall reasonableness of the classification in question.
“ * * [A] classification having some reasonable basis does not offend against the Federal Constitution or the Constitution of this state merely because it is not made with mathematical nicety or because in practice it results in some inequality’ * *
Nilsen v. Davidson Industries, Inc. et al,
226 Or 164, 169, 360 P2d 307 (1961).
We conclude, therefore, that the classification in question is reasonable and does not offend the equal protection guarantees of the federal or Oregon Constitution.
The remaining assignments of error relate
to instructions given in the jury trial which resulted in a judgment in favor of defendant Strawn.
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LANGTRY, J.
Plaintiff was injured when an M2 self-propelled anti-aircraft weapon (commonly referred to as a tank) collided with the log truck he was driving. Plaintiff brought this action for personal injuries against the Military Department and the operator of the tank, defendant Strawn. The trial court sustained a demurrer to the complaint by the Military Department and the jury returned a verdict for defendant Strawn. Plaintiff appeals both judgments.
Plaintiff, while in the course of his employment, was driving a log truck in a southerly direction on a two-lane highway. Approaching from the opposite direction was a convoy of three tanks and a jeep returning from a Veterans’ Day parade. "When plaintiff’s truck and defendant’s tank were approximately 300 feet apart, the tank, in its steering, began experiencing a “mechanical lockup.”
Defendant Strawn attempted to correct the difficulty by pulling back and forth on the T-bar (the steering control) while at the same time decreasing speed. The tank gradually drifted about six
feet into the southbound (plaintiff’s) lane. When the steering finally “broke loose” the tank abruptly swung to the right, moving over the northbound lane and into the bank on the right-hand side of the road. The steering then loosened considerably and when defendant attempted to move away from the bank by turning the tank sharply to the left, the two vehicles collided. At the time of the collision the left front corner of the tank was approximately a foot and a half into plaintiff’s lane. Plaintiff was covered under the Workmen’s Compensation Act at the time of the accident.
Plaintiff assigns as error the sustaining of the Military Department’s demurrer to the original complaint. The basis for the demurrer was OES 30.265, which provides:
“(1) Subject to the limitations of OES 30.260 to 30.300, every public body is liable for its torts and those of its officers, employes and agents acting within the scope of their employment or duties, whether arising out of a governmental or proprietary function.
“ (2) Every public body is immune from liability for:
¿(ft ft ft ft ft
“(b) Any claim for injury to or death of any person covered by the Workmen’s Compensation Law.
((ft
ft ft ft ft 33
Plaintiff contends the exception of subsection (2)(b) violates the Equal Protection Clause of the Fourteenth Amendment to the United States Constitution and the “equal privileges and immunities” guarantee of the Oregon Constitution, Art I, § 20, because it retains immunity as to workmen injured through the negligence of government employes, while abrogating immunity
as to all others injured through the negligence of public employes, thus creating an unreasonable classification.
Plaintiff correctly asserts that a statutory classification denies equal protection of the laws if its unequal application to members of the same class has no rational basis in terms of the purpose of the act, or if the statute discriminates without any such rational basis between those to whom it applies and others similarly situated whom it excludes.
Bock v. Bend School Dist. No. 1,
252 Or 53, 55, 448 P2d 521 (1968). The question for decision, then, is whether the legislature had any rational basis for excepting from the general abrogation of immunity those under the Workmen’s Compensation Act. We find no Oregon decisions dealing with a constitutional challenge
to Oregon’s governmental tort liability act, OES 30.260-30.300, or any decisions from other jurisdictions with similar statutes.
No citation of authority is necessary to support the proposition that the doctrine of “sovereign immunity” has imposed a hardship upon citizens negligently injured by government employes, forcing them to bear fully the cost of their injuries. Tort liability
acts such as that found in ORS 30.260-30.300, which to a great extent abrogate immunity, provide a means for distributing these losses over a broad group — i.e., the taxpayers.
When an alternate system for distributing the loss already exists, arguably, there is little reason to redistribute the loss by abrogating immunity.
See,
Van Alstyne, Injury, Death, and Taxes: The Decline of Governmental Immunity, 39 State Government 28, 34 (The Council of State Governments 1966) (commenting on the California Government Tort Liability Law);
see generally,
Nellis,
California Governmental Tort Liability and the Collateral Source Rule,
9 Santa Clara Law 227 (1969).
In his article,
Oregon’s Governmental Tort Liability Law from a National Perspective,
48 OLR 95, 119 (1968), Henke states:
“Although liability insurance is generally available to governments, it has been suggested that governmental immunity be preserved for certain exposures covered by other insurance. The preservation of immunity for claims under the Workmen’s Compensation Act is an example of such a policy * # # >?
Plaintiff argues if existence of a collateral source of compensation is the basis for the exception in question, “why does the exception not provide that any person otherwise insured cannot recover.” The short answer to this is that the legislature need not enact laws which operate to solve perfectly every aspect of the problem to which they are directed.
Leech v. Georgia-Pacific Corp.,
259 Or 161, 167, 485 P2d 1195 (1971). The legislature may have concluded it was best to confine this exception to a
compensation system with, which it was familiar — here, one which it had created.
Plaintiff further contends the classification is unreasonable because a workman in some instances would be able to recover more in an action against the government than he would under the Workmen’s Compensation Act. That this may be true does not detract from the overall reasonableness of the classification in question.
“ * * [A] classification having some reasonable basis does not offend against the Federal Constitution or the Constitution of this state merely because it is not made with mathematical nicety or because in practice it results in some inequality’ * *
Nilsen v. Davidson Industries, Inc. et al,
226 Or 164, 169, 360 P2d 307 (1961).
We conclude, therefore, that the classification in question is reasonable and does not offend the equal protection guarantees of the federal or Oregon Constitution.
The remaining assignments of error relate
to instructions given in the jury trial which resulted in a judgment in favor of defendant Strawn. On the issue of contributory negligence, plaintiff objected to instruction on the questions of his speed and control, arguing there was insufficient evidence of causation to create a jury question. As a rule, questions of negligence, especially in automobile accident cases, will not be decided as a matter of law.
Hess v. Larson,
259 Or 282, 286, 486 P2d 533 (1971). The elements of speed, lookout
and control are interrelated and usually it is necessary for the jury to consider them together; independent evidence on each is not necessary.
Hess v. Larson,
259 Or at 289.
In any event, there was evidence on both speed and control. Credible evidence shows plaintiff could have observed the tank’s deviations prior to its final entry into plaintiff’s lane; yet he maintained a constant speed, estimated between 45 and 60 m.p.h.
That plaintiff did not leave his lane or change direction until just prior to the collision does not necessarily preclude his control being a factor in the accident. Keeping a vehicle under control does not always involve traveling in a straight line. When the situation warrants, a driver must stop, swerve, or otherwise maneuver his vehicle to avoid a collision.
Phillips v. Ocker,
250 Or 30, 440 P2d 365 (1968). Failure to do so may evidence lack of control. The trial court properly submitted the questions of speed and control to the jury.
On the issue of plaintiff’s speed, the trial court instructed the jury on the basic speed rule, ORS
483.102(1) and (2).
Plaintiff asserts instruction on subsection (2) enlarged the issue of contributory negligence beyond the scope of the pleadings and evidence. Subsection (2) applies to speed as it affects the control necessary to avoid vehicles “on or entering the highway
in compliance with legal requirements
* * (Emphasis supplied.) It was undisputed that defendant’s tank entered plaintiff’s lane in violation of an operational rule, ORS 483.302. The instruction was proper.
Plaintiff’s final assignment of error is that the trial court erred in submitting the affirmative defense of sudden emergency to the jury. Plaintiff concedes that violation of an operational statute, such as driving on the wrong side of the highway, may be excused by a sudden, unforeseen emergency.
Pozsgai v. Porter,
249 Or 84, 87, 435 P2d 818 (1968);
Raz v. Mills,
231 Or 220, 228, 372 P2d 955 (1962). But he argues this defense was not available here because defendant was aware of the steering problem 100 feet before the point of collision but attempted to maneuver the tank into control rather than braking to a halt (which defendant admitted at trial he could have done). The court in
Possgai
answered a similar contention, saying:
“* # * Despite defendant’s testimony that he
could have stopped his vehicle while going five miles per hour, this court is not prepared to say that defendant was negligent as a matter of law in not so stopping if, in fact, he was faced with such an unexpected situation as a jammed steering mechanism. It was a jury question whether under these circumstances, in the exercise of reasonable care, he should have stopped his vehicle before it entered the opposite side of the highway.” 249 Or at 88.
Plaintiff does not claim, nor does the evidence show, that prior to the accident defendant knew or had reason to know of the steering problem.
Affirmed.