John R. BROWN, Circuit Judge.
Wright, an employee of Zephyr Drilling Corporation, an independent contractor drilling an oil well for Gulf Oil Corporation in the West Texas area, was asphyxiated on the morning of May 9, 1953, while he and Simpson, Driller on Tour 2, were jetting out one of the pits. By verdict on a general charge, the jury found Gulf negligent on one or more of these grounds: failure to furnish safe place to work, to make tests of gaseous water flowing from the well, to warn Wright, to mud off the gas formation and ordering the continuing of drilling in the face of the known presence of gas. And, in doing so, the jury impliedly made findings favorable to the plaintiff that Wright was not con-tributorily negligent, did not voluntarily work in hazards known to him, that Wright was not acting as an employee of Gulf, that the defects and dangers were not those known or which should have been known to invitees and death was not caused by the sole negligence of Zephyr, his employer, or as the result of transitory conditions incident to the progress of the work.
. Raised in several ways is Gulf’s principal contention that there is no evidence showing that fatal injuries resulted from a violation of any duty owing by Gulf to the employees of its Contractor, especially since the danger must have been well known and of a nature which the Contractor should have guarded against, and arose during performance and long after. G.ulf• had admittedly, turned over, as lessee, a safe well site.
[47]*47During1 Tour 1 on May 8, while drilling at a depth of about 3400 feet, a heavy water flow was encountered about 3:00 or 4:00 a.m. The Driller shut down, notified the Contractor’s Tool Pusher, but apparently allowed the water to continue flowing. The water had a strong sulphur odor like rotten eggs and had a tendency to make the men gag and to burn their eyes. On instructions of the Tool Pusher, drilling was resumed but between 5:30 and 7:00 a.m. when Gulf’s superintendent was notified for the first time, drilling was stopped on Gulf’s orders2 to close the well in. During Tour 2, May 8, the well was tested by connecting flow lines to a test tank permitting the water to flow into the tank to determine its rate of flow. In the meantime the crew of Tour 2, under supervision of Gulf’s mud engineer, began conditioning the mild to obtain a desired weight sufficient to seal off or “mud off” the water flow and fumes. The mud was not used nor was any drilling done on this Tour.
On Tour 3, May 8, water testing had been completed and the flow shut off by the blowout preventer. On instructions 3 of Gulf, drilling was resumed about 7:00 p.m. using the water flow as drilling fluid without any mud. The gaseous water was, therefore, flowing from the well through pipes into the pits. Gulf’s decision to use the water flow as drilling fluid and not seal off or “mud off” this water flow and fumes was based on its desire to save the water sand for possible future testing and development as an artesian water well for water flooding recovery procedures on old oil wells in that area.
[48]*48About 7:30 to 8:00 o’clock one of Oliver’s drilling crew went out to the shale shaker where the fluid was returning back out of the well and reported that there was a strong gas odor there. Oliver passed the word to his crewmen to be careful about the gas. Drilling continued until the end of Tour 3 and when relieved by Hightower, Oliver told him that one of the men had had some trouble with the gas and warned Hightower to be careful with his crew to see that none of them got into the gas.
Tour 1, May 9, continued drilling until about 6:30 a.m. when drilling was shut down because of loss cones. In the interim the obnoxious smell continued, and one member of the crew vomited from it. While awaiting fishing tools, the men went about cleaning the pits. When Tour 2 relieved him some time prior to 8:00 a.m., Hightower warned Simpson about the men being affected by the gas and told Simpson that he had had orders not to let one man go around the pit by himself.
As Tour 2 started its work, Simpson and Wright went to take care of the pits, Simpson showing Wright what he wanted done. Although the well was shut down, the water was still flowing into the pits and had the strong odor of sulphur. Apparently they were completing the jetting of the fluid into the shale pit. Shortly, an outcry was heard, Wright and Simpson were found at the edge of the reserve pit, Simpson was revived but not Wright. It is uncon-tradicted that it was the Contractor’s duty to build, care for, and clean out the pits, and this was one of Wright’s regular duties.
Undercutting all other contentions by Gulf is the basic one that on this evidence a directed verdict ought to have been granted. We have concluded that this point is well taken, although, because it rests in large part on the unusual presentation of the case on causal relationship, justice would best be served by a remand for a new trial for full development under the applicable principles. Associates Discount Corp v. United States, 5 Cir., 200 F.2d 537; City of Ft. Worth v. United States, 5 Cir., 188 F.2d 217; M. M. Landy, Inc., v. Nicholas, 5 Cir., 221 F.2d 923.
There was no proof of any kind on the cause of death. It was, of course, stipulated that death was due to asphyxiation. Assuming that, in the light of testimony of adverse medical effect of the gases on two of the employees and the sudden collapse of Wright and Simpson on short exposure near the pit, there was enough evidence from which to infer that the gas produced the death, there was yet no proof as to its nature, that is, the kind of gas or the kind of poison it contained. To be sure, there was much assumption that from the odors smelled, the gas generally was hydrogen sulphide, but the plaintiff’s theory4 seemed to be that it [49]*49was not this well-known gas, but some special, new or different poisons in the gas which brought on these injurious consequences.
On this interpretation nothing but the asphyxiation appeared to establish its fatally toxic character. The poisonous gas which appellee claimed caused the death not even being identified, how can Gulf’s duty to foresee its presence and toxicity be tested? How can we say that Gulf should have anticipated that it would encounter this particular gas and that, once encountered, Gulf knew that it had fatally poisonous characteristics and that others would not know this? Since this involves us in the ascertaining whether “ * * * reasonable men could not possibly come to a contrary conclusion”, 5 Moore’s Federal Practice, § 50.02, page 2314; Banks v. Associated Indemnity Corp., 5 Cir., 161 F.2d 305, 310; Ryan Distributing Corp. v. Caley, 3 Cir., 147 F.2d 138, 140; we must, of course, consider the record in the light of the general state of knowledge which “reasonable minds” would possess.
Testing it in this approach convinces us that, on this record, there is no basis for a conclusion that this was a unique, or unknown gas, but that, on the contrary, the conclusion is inescapable that the fatal gas was the common, frequently encountered and well-known hydrogen sulphide. In this process it is evident that we must draw on general knowledge, including scientific and technical information, not to arrive at a fact conclusion that it was hydrogen sulphide, but to determine whether a contrary conclusion on this record can have reasonable support. Once that is determined, the consideration of this factual issue of cause, forseeability and prudence becomes a matter for jury decision on the new trial on the basis of evidence, factual and scientific, there presented.
This analysis starts with the uncon-tradicted evidence of the “sulphur” odor, the smell of rotten eggs, and the location of this well in West Texas. The presence of hydrogen sulphide in West Texas oil operations (drilling, transportation, refinery) has long been known as has been the acute hazard to health and life resulting from it.5
Its extreme hazard arises in part from the fact that while, in lower concentrations, it has the characteristic odor of rotten eggs6 (the gas is a by-product of decomposition, putrefaction of organic matter), this is lost7 as concentration increases and, in the meantime, continued exposure adversely affects the function of the sense 8 of smell, increases respiration and consequent inhalation of the gases producing, in turn, paralysis of the respiratory system9 and rapid death. The gas is heavier than air, [50]*50readily settles in low and damp places,10 is highly soluble in water with gas being released on agitation,11 and is so toxic that even minute concentrations are deadly.12 The usual telltale warning of its presence, besides the rotten egg odor, is burning of eyes (conjunctivitis), irritation of the nose, throat and lungs, dizziness, gagging, shortness of breath, vomiting, and similar effects,13 all of which were present here.
This gas in oil operations has been a killer. It has long been the object of study and investigation on a wide front with recognition by the industry14 of its hazards15 in Texas16 and elsewhere and the precautions17 necessary to avoid its awful toll. This includes drilling operations and, particularly, drilling contractors.18
All of this is important for the widespread knowledge of this industrial [51]*51hazard has, or may have, a marked effect on the standard of care under Texas law. At the outset, Gulf’s obligation is to be measured under the conditions of May 8 and 9 for once the well was shut down by Gulf’s order early on May 8, it was its decision thereafter to proceed. Whether to drill on, to use mud, or the water flow for drilling fluid, was a decision it reserved to itself by the contract. The act was thus Gulf’s, Sun Oil Co. v. Pierce, 5 Cir. (Texas), 224 F.2d 580; United Production Corp. v. Chesser, 5 Cir. (Texas), 107 F.2d 850, prior opinions 95 F.2d 521, 94 F.2d 790; Amacker v. Skelly Oil Co., 5 Cir. (Texas), 132 F.2d 431, not the contractor’s, Holt v. Texas-New Mexico Pipeline Co., 5 Cir. (Texas), 145 F.2d 862; Carroll v. Magnolia Petroleum Co., 5 Cir. (Texas), 223 F.2d 657, or a casual transitory condition from the normal progress of the work, Wood v. Kane Boiler Works, 150 Tex. 191, 238 S.W.2d 172, 177; Amacker v. Skelly Oil Co., supra.
But control and responsibility for the decision did not, of itself, make operations thereafter Gulf’s with Zephyr’s employees becoming the momentary borrowed servants of Gulf, Gipson v. Skelly Oil Co., 5 Cir. (Texas), 152 F.2d 588, 590, second appeal, 140 F.2d 21, first appeal Amacker v. Skelly Oil Co., supra, for Gulf’s act was confined to the order to proceed with drilling using the water flow as drilling fluid. It did not have or claim the right to control Zephyr in how that drilling was to be conducted, Standard Insurance Co. v. McKee, 146 Tex. 183, 205 S.W.2d 362, and, in any event, at the time of injury and death no drilling was in fact in progress. What was being done was routine contractor’s work in cleaning out pits. Consequently, the Texas Workmen’s Compensation Act, Vernon’s Ann. Civ.St. art. 8306 et seq., did not apply to cut off common law liability, Dennis v. Mabee, 5 Cir. (Texas), 139 F.2d 941, certiorari denied 322 U.S. 750, 64 S.Ct. 1261, 88 L.Ed. 1581; nor did Zephyr’s agreement19 to maintain compensation insurance for its own employees operate20 to make them thus the employees of Gulf or deprive them (or their beneficiaries) of their actual status ms-chvis Gulf.
But responsibility for initiating the act does not of itself impose a legal liability on Gulf for its consequences any more than for an injury to a Contractor’s employee during routine operations, all of which are, of course, pursuant to its general contractual direction and for which the Contractor is normally alone liable. Texas Electric Service Co. v. Holt, Tex.Civ.App., 249 S.W.2d 662, NRE; Humble Oil & Refining Co. v. Bell, Tex. Civ.App., 180 S.W.2d 970, error refused on other grounds, 142 Tex. 645, 181 S.W. 2d 569. And liability under the guise of negligence cannot be saddled on Gulf for its decision not to mud off the water flow. This was Gulf’s property. Neither the Contractor nor its employees could forbid development of the property as Gulf saw fit. It may be that, having determined to preserve the water sand for oil well recovery use, Gulf had to take special or extraordinary precautions. But neither such decision nor the act standing alone can be a violation of duty, i. e., negligence.
This reduces it to the nature of the duties owed, if any, once its decision was reached and communicated to proceed
[52]*52with the drilling. The relationship under Texas law between an occupier of land and his invitees (including employees of an independent contractor) and between a general contractor and- employees of subcontractors is the same, Roosth & Genecov Production Co. v. White, 152 Tex. 619, 262 S.W.2d 99; Smith v. Henger, 148 Tex. 456, 226 S.W.2d 425, 20 A.L.R.2d 853, and gives rise to a like duty, “Accepting * * * the status of the plaintiff * * * as that of business invitee, the defendant owed him a duty to use reasonable care to make and keep the premises reasonably safe for his use * * Triangle Motors of Dallas v. Richmond, 152 Tex. 354, 258 S.W.2d 60, 62; Hall v. Medical Building of Houston, 151 Tex. 425, 251 S.W.2d 497; Smith v. Henger, supra; Renfro Drug Co. v. Lewis, 149 Tex. 507, 235 S.W. 2d 609; Weingarten, Inc., v. Brockman, 134 Tex. 451, 135 S.W.2d 698; McKee v. Patterson, 153 Tex. 517, 271 S.W.2d 391, 393; and which, whether it involves primarily the condition of premises, or a chattel supplied for use, or, more comparable here, for work in or around dangerous things, the manufacture, sale or supplying of dangerous articles, brings into application the underlying standard of the Restatement of Law 21 that a duty arises if, but only if, the occupier,22 supplier,23 or manufacturer 24 has reason to expect that those likely to come in contact with it will not know of the danger.
This measures it upon the objective standard of what the defendant could reasonably expect25 others to know. The duty is “ * * * to warn such persons of the existence of dangers which could not reasonably be expected to be apparent or obvious * * * , Restatement, Torts, § 343”, Smith v. Henger, supra at 226 S.W.2d 425, 431. Liability does not exist for defects “ ‘ * * * which are not of [53]*53such a character that danger is reasonably to be anticipated from them to persons exercising ordinary care’ ”, A. C. Burton Co. v. Stasny, Tex.Civ.App., 223 S.W .2d 310, 313, error refused; but it may exist where invitees “ * * * would not be expected to be fully aware of its use or dangers * * * ”, Walgreen-Texas Co. v. Shivers, 137 Tex. 493, 154 S.W.2d 625, 629; Houston National Bank v. Adair, supra. It is, or may be, akin to dangers which are (or ought to be) open and obvious and as to which no duty is owed, McKee v. Patterson, supra; Fain v. Goodyear Tire & Rubber Co., Inc., 5 Cir. (Texas), 228 F.2d 508; Phillips Petroleum Co. v. Gibson, 5 Cir. (Texas), 232 F.2d 13, but in many situations it is, or may be, much different. For example, a can of gasoline, properly labeled may not be an open and obvious hazard from its general appearance and yet, despite its destructive capacity, a supplier has no liability for misuse by a user since, at this late date, it is expected that the dangers will be known, i. e., understood, appreciated. Cf. Waters-Pierce Oil Co. v. Davis, 24 Tex.Civ.App. 508, 60 S.W. 453; Texas Drug Company v. Cadwell, Tex. Civ.App., 237 S.W. 968, writ refused; Liggett & Meyers Tobacco Co. v. Wallace, Tex.Civ.App., 69 S.W.2d 857, writ dismissed.
This emphasizes the necessity for the proof identifying to some reasonable degree the nature of the toxic gas. For only by identification can there be a rational test of what the defendant ought reasonably to have expected others to know. This was a part of the plaintiff’s affirmative case, McKee v. Patterson, supra. And since, on the record so far presented, reasonable minds could only conclude that this was hydrogen sulphide gas, it is evident that a substantial issue was presented but on which no proof was offered. More specifically, it was (and will be): in view of the indicated widespread knowledge of the nature of hydrogen sulphide, its occurrence in drilling operations, the warning signs of its presence, and its toxic qualities, would a reasonably prudent mineral lessee reasonably expect26 that drilling contractors and their employees working around a drilling well in the West Texas area would know of its dangers and hazards ? If so, no duty exists to warn or protect. If not, then a duty might exist unless, as to the particular plaintiff, he knew or ought to have known of the risk and imprudently or voluntarily exposed himself to .it. McKee v. Patterson, supra. Naturally, if it is some other gas, these same inquiries must be made as to it.
Obviously we express no views on what the evidence if any, will be on the retrial. Whether, and to what extent, it then presents a case for jury action under the principles here discussed is a matter for the trial judge upon that trial and its full development of all of the issues anew. Reversed and remanded.
HUTCHESON, Chief Judge, specially concurring.
RIVES, Circuit Judge, dissenting.
Appendix
1. American Petroleum Institute [API] draft of revision of Accident Prevention Manual No. 10, Rotary Drilling, December 1951.
2. Air Pollution by Hydrogen Sulphide in Poza Rica, Mexico, an evaluation of the instant of November 24, 1950, by Lewis C. McCabe, Chief, Fuels & Explo[54]*54sives Division, Bureau of Mines, United States Department of Interior, and George D. Clayton, Chief, Atmospheric Pollution Unit Division of Occupational Health, United States Public Health Service, Federal Security Agency, Bureau of Mines, United States Department of Interior and United States Public Health Service, Federal Security Agency, 1951.
3. Atmospheric Pollution Control in Petroleum Refineries, Lewis J. Cralley, Senior Scientist, United States Public Health Service, American Industrial Hygiene Association Quarterly Volume 11, page 1, May 1950.
4. Hydrogen Sulphide Poisoning as a Hazard in the Production of Oil by Sara Davenport, United States Bureau of Mines Information Circular 7329, July 1945.
5. Method of Handling Hydrogen Sulphide Gas in the Elk Basin Oil Field of Wyoming, Bureau of Mines Information Circular 7334, October 1945, by J. H. East, Jr., and Ralph H. Espach.
6. Rotary Drilling Handbook on Accident Prevention and Safe Operating Practices, American Association of Oil Well Drilling Contractors, June 1950;
7. Safety Manual, Production Department, Humble Oil & Refining Company, May 1953.
8. Safety Instruction Card No. 540, Hydrogen Sulphide, National Safety Council.
9. Petroleum Safety Data, American Petroleum Institute, No. 7, July 1951, Handling Crude Oils containing Hydrogen Sulphide (H2S) Gas.
10. API Toxicological Review, Hydrogen Sulphide, 1948; American Petroleum Institute.
11. Hydrogen Sulphide Poisoning in the Texas Panhandle; Big Lake, Texas, and McCamey, Texas Oil Fields, by W. P. Yant and H. C. Fowler, Bureau of Mines Report of Investigations No. 2776, October 1926.
12. Occupation Hazards and Diagnostic Signs, Bulletin No. 41, Division, of Labor Standards, Department of Labor, 194
13. Hydrogen Sulphide Poisoning in Texas by C. M. Aves, M. D., reprinted from Texas State Journal of Medicine, March 1929.
14. The Causes and Prevention of Hydrogen Sulphide Poisoning, Industrial Health Series No. 19, U. S. Department of Labor, Division of Labor Standards, 1940.
15. Industrial Safety and Health Handbook, Manufacturers Directory Company, 1952.
16. Hydrogen Sulphide: Its Toxicity and Potential Dangers, Division of Industrial Hygiene, U. S. Public Health Service, Public Health Reports Volume 56, page 684, April 4, 1941.
17. The Determination of Low Concentrations of Hydrogen Sulphide in Gas by the Methylene Blue Method, Bureau of Mines, Report of Investigations 4547, September 1949.
18. Removal of Hydrogen Sulphide and Carbon Dioxide from Synthesis Gas Using DI and TRI-Ethanolamine, Bureau of Mines, Report of Investigations 4891, October 1952.
19. Industrial Toxicology by Lawrence Fairhall, Scientist Director Public Health Service, Federal Security Agency, Williams and Wilkins Company, 1949.
20. Legal Medicine Pathology and Toxicology by Gonzales, Vance, Helpern, all MD’s, and Umgerger, PHD, Appleton-Century-Crofts, New York, 1954.
21. Occupational Medicine & Industrial Hygiene, Rutherford Johnstone, MD, Consultant in Industrial Health; Lecturer at University of California, Los Angeles, C. V. Mosby Company, 1948.
22. Legal Medicine & Toxicology by Ralph Webster, MD, PHD, Professor of Medicine, University of Chicago, W. B. Saunders Company, 1930.
23. Safety in Petroleum Refining and Related Industries by George Armistead, Jr., 1949, John G. Simmonds & Co., Inc., Oil Insurance Underwriters, New York.
24. Mine Safety Appliances Company, Catalogue of Industrial Safety Equipment, Catalogue 7B, 1953.
[55]*5525. An Apparatus for the Determination of Hydrogen Sulphide in Gases, Horne & Shirey, Bureau of Mines, Report of Investigations 3135, October 1931.
26. A Detector for Quantitative Estimation of Low Concentrations of Hydrogen Sulphide by Littlefield, Yant and Berger, Bureau of Mines, Report of Investigations 3276, June 1935.
27. Comparison of Gas Masks, Hose Masks, and Oxygen Breathing Apparatus by S. H. Katz and J. J. Bourquin, Bureau of Mines, Report of Investigations No. 2489, June 1923.
28. Investigation of Toxic Gases from Mexican and Other High-Sulphur Petroleums And Products, Report by the Bureau of Mines, Department of Interior, to the American Petroleum Institute by Sayers, Smith, Fieldner, Mitchell, Jones, Yant, Stark, Katz, Bloomfield, and Jacobs, Bureau of Mines Bulletin 231,1925.
29. Hydrogen Sulphide Content of the Gas in Some Producing Oil Fields by Devine & Wilhelm, Bureau of Mines Report of Investigations No. 3128, September 1931.
30. Hydrogen Sulphide Gas Peril in Panhandle and Permian Basin by V. H. Hayslip, Humble Oil & Refining Company, Oil & Gas Journal Volume 27, No. 40, at page 152, February 21, 1929.
31. Safe Practices in Drilling Operations, American Petroleum Institute, Accident Prevention Manual No. 10, 2nd Edition, 1953.
32. Hazards of Hydrogen Sulphide, Safety Information, August 1942, page 22, published by Humble Oil & Refining Co.
33. The Use of Lime in a Salt Solution for Removing Hydrogen Sulphide from Natural Gas, Bureau of Mines, Report of Investigations 3178, June 1932.
HUTCHESON, Chief Judge (specially concurring).
This is another of the ever increasing confused and confusing suits for damages brought, by a covered and fully compensated employee of an independent contractor, against a compensation carrying employer of the contractor. It was brought on allegations1 *which if proven would, under the principles laid down in the controlling Texas decision,2 make the decedent, as to the work or a part of it, not an employee of an independent contractor but of the defendant itself, and would, therefore, under the Texas Workmen’s Compensation Act, prevent the recovery sought.3 It was, however, tried and submitted below and presented and argued here, on the theory: that plaintiff’s employer was an independent contractor of a third party, an oil company, which had invited plaintiff and his employer to come upon its premises for the purpose of drilling an oil well; that it had retained control of the premises and the work being done there; and that under Sunray Oil Corp. v. Allbritton, 5 Cir., 187 F.2d 475, 476,4 where the defendant [56]*56had furnished a derrick for use by the contractor, and the cases on which it rests, it owed plaintiff, as an invitee, the duty to exercise reasonable care not only to deliver the premises in safe condition for use but to maintain them in that condition.
As I see it, the case was tried below, without developing a single contradiction in the evidence or furnishing a single shred of evidence that Gulf had retained or exercised any control over the premises or the work, and upon undisputed facts .showing: that the work was contracted to and performed by Zephyr as an independent contractor under a contract containing no reservation by defendant of any control over the premises or the work; and that the defendant did not exercise or attempt to exercise any, Standard Insurance Co. v. McKee, note 2 supra. At its ending, it presented the simple single question of law, whether, in violation of a duty owed by it to plaintiff’s decedent, the breach of which would support a verdict and judgment for plaintiff, the defendant had done anything it ought not to have done or left undone anything it ought to have done.
The defendant, of the view that as matter of law no duty and, therefore, no breach of duty was shown, moved for an instructed verdict, and, the motion denied, requested charges, some of which were given and some refused.
To the refusal of its motion for a directed verdict and to the giving of excepted to instructions and the refusal of those it requested, defendant duly excepted, and a verdict having been returned against it, and the judgment entered thereon, it came here presenting many grounds of error. The principal and most argued of these is its contention: that defendant was entitled to a directed verdict; and that, because of the district judge’s refusal to direct such a verdict, the judgment should be reversed and here rendered.
In the alternative, it insists that if wrong in this, the judgment should be reversed and the cause remanded for trial anew because of the errors in the giving and refusal of charges.
I am of the opinion that, as to some of the charges given and refused, the court committed error, as claimed by the appellant. Because, however, I am of the further opinion that as matter of law no basis for a judgment against defendant was, or can be shown, I will not discuss these errors, but will devote what I have to say to stating with all possible brevity my reasons for believing with Judge Brown that the motion for a directed verdict should have been granted.
I agree with his view that an instructed verdict should have been given and' that the judgment must be reversed for failure to give it, and, though I believe that the cause has been fully developed and nothing can be accomplished thereby,. I am willing to join with him in remanding for retrial instead of here rendering. As to his opinion, therefore, I will content myself with saying that I agree in general with its statement of the facts and with so much of what is said arguendo as is not in conflict with the-views I herein espouse.
Before proceeding to a discussion of the conclusions in Judge Rives’ dissent,. I think it proper to point to and correct two misapprehensions of fact under which he appears to be laboring.
One of these has to do with the testimony of N. W. Eaton, Zephyr’s drilling-superintendent, set out in note 8 of the-opinion in support of the statement “Zephyr relied on Gulf for any chemical' tests of the gas.” [236 F.2d 59] As-will be seen by reference to the question' just preceding the one with which note 8 begins, the testimony quoted in the note-had no reference to testing gases of the-kind involved in this suit. The question' referred entirely to “oil bearing strata, or gas bearing strata, formations that, contained gas or oil”. They had to do-not with testing for dangerous gases but for the testing of producing horizons for the presence of gas and oil.
[57]*57The second misapprehension appears in the statement of the dissent [236 F.2d 61]:
“Wright was a young man, only 22 years of age. His youth and inexperience must have been observable by Gulf’s men on the job, and they must have known that, like most other young men in these days, the early part of his manhood had been spent in military service, in his case in the Navy.”
That this is a misapprehension of the record is shown by the fact that instead of pleading and proving that Wright was inexperienced, the petition alleged that Wright “was a young man 23 years of age, strong and healthy, and was trained and being trained in the occupation <of an oilfield roughneck as well as other duties in connection with the drilling and exploration of oil wells”; (emphasis supplied) and the testimony of his mother that he spent one year, the fall of 1948 to the fall of 1949, in the Navy and shortly after his discharge and the death ■of his father, he got a job in the oil field and worked steadily first as a roughneck and later as a derrick man, working there altogether three and one-half years.
As to the conclusion reached in the dissent, it seems to me, with deference, to be based upon an approach which the record does not bear out, which indeed appellees do not espouse, and which, if maintained, would defeat plaintiff’s recovery completely on the ground that at the time of the injury the work was not being done under an independent contract, Standard Insurance Co. v. McKee, supra, and the cases cited in note 3, and the defendant was not a third person under the compensation laws of Texas.
At the beginning of his opinion, Judge Rives stating, “Gulf exercised a large measure of control over the drilling of its well”, quotes from Alford, Gulf’s superintendent, “ T had charge of the drilling.’ ” By contrast the appellees correctly state in their brief, “Pursuant to a contract with Gulf, as an independent contractor, Zephyr began drilling a well”, etc. Of course, if Judge Rives is right that Gulf had control over the drilling of the well, then, as settled by the authorities, note 3 supra, plaintiff’s suit against it as a third party must fail.
Beginning with the statement above which, if correct, would put Gulf in the attitude of an employer, the dissenting opinion then, as I think, dealing with the matter incorrectly as though this were a suit against an employer, and, on the incorrect assumption that Gulf was in control of the premises and the drilling of the well, decides the case upon assumptions: (1) that Gulf owed plaintiff the duty to exercise due care in furnishing him a safe place to work; and (2) that it did not discharge this duty, which I think it clear the record, as a matter of fact and law, does not support. Gulf was not the employer, Zephyr was, and Zephyr’s liability as an employer was absolute, established and satisfied under the Texas Workmen’s Compensation Law. Neither, since Gulf did not retain control over the premises or the work, was it under any duty of care to maintain the premises in a safe condition, that duty was Zephyr’s.
In my opinion, the case for our decision is a very simple one under the rule laid down and applied without varying in the cases.5 This rule is that, in order for an owner which has entered into an independent drilling contract for the drilling of an oil well to be held liable for conditions arising after the work is entered upon and as a result of its being done, it must be shown that the owner retained control over the premises and the operations and therefore owed a duty of due care as to maintaining a safe [58]*58place, or that, by positively negligent action, it caused the injury.
The undisputed facts in this case aré: (1) that Gulf employed Zephyr to drill a well under an independent contract; (2) that it required Zephyr to take out workmen’s compensation insurance to cover men employed by it; (3) that it retained no control over the premises or the drilling of the well, or safety precautions to be taken in connection with its drilling; (4) that it did no positive act or thing which proximately contributed to the injury; and (5) that it did nothing to put itself in a position under settled Texas law which would make it liable as employer as to any part of the work that was being done by the independent contractor. Standard Insurance Co. v. McKee and cases, supra.
The matter standing thus, there was no basis for a finding that the defendant breached any duty it owed plaintiff, none for a judgment against it.
In addition, if I am mistaken in this view and there is proof that the Gulf Company did take over control of the work, it seems clear to me, under the doctrine that one entrusting work to an independent contractor may retain such control over the doing of a part of the work as to create the relation of master and servant respecting such part, that under settled law plaintiff would have been an employee of defendant, and under the Texas Workmen’s Compensation Act would not be entitled to recover. This is flatly held in the cases cited in note 1, supra, and no cases are cited to the contrary.
In conclusion, it seems clear to me that out of a simple case, which on undisputed evidence, presented these three questions: (1) Was Zephyr an independent contractor? (2) Did Gulf retain control over the premises and the work? and (3) If it did, did it become'plaintiff’s employer?; a case of great difficulty and confusion has been confected. As I see it, the evidence leaves in no doubt that Zephyr was an independent contractor, indeed nobody contends to the contrary. There is no evidence, direct or indirect, that Gulf retained such control over the premises as, under Sunray Oil Corp. v. Allbritton, supra, and similar cases, would put a duty upon it to exercise reasonable care in regard to the conduct of the drilling which it had independently contracted out. If I am wrong in this, it is because, and only because, the evidence established facts showing that, as pleaded by plaintiff, Gulf Company was plaintiff's employer, and this, if shown, would defeat plaintiff’s suit.
Of the clear opinion that the judgment should be reversed and rendered, I nevertheless concur in a judgment of reversal and remand.