Hicks v. Southeastern Pennsylvania Transportation Authority

590 A.2d 31, 139 Pa. Commw. 54, 1991 Pa. Commw. LEXIS 191
CourtCommonwealth Court of Pennsylvania
DecidedApril 9, 1991
DocketNo. 613 C.D. 1990
StatusPublished
Cited by1 cases

This text of 590 A.2d 31 (Hicks v. Southeastern Pennsylvania Transportation Authority) is published on Counsel Stack Legal Research, covering Commonwealth Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Hicks v. Southeastern Pennsylvania Transportation Authority, 590 A.2d 31, 139 Pa. Commw. 54, 1991 Pa. Commw. LEXIS 191 (Pa. Ct. App. 1991).

Opinion

PALLADINO, Judge.

The Southeastern Pennsylvania Transportation Authority (SEPTA) appeals from an order of the Court of Common Pleas of Philadelphia County (trial court) sustaining the preliminary objection of the Commonwealth of Pennsylvania, Department of Transportation (DOT) and dismissing all claims and crossclaims against DOT. We reverse.

The underlying action is a claim for damages resulting from personal injuries suffered by Geraldine Hicks (Hicks) on October 9,1987, when “she was caused to fall because of an unsafe and defective condition; to wit, a depression below a trolley track between the two rails ...” in the 5500 block of Wayne Avenue in Philadelphia, Pennsylvania. Paragraph 5 of Complaint. Hicks alleged that the defendants, SEPTA, DOT, and the City of Philadelphia (City) individually and/or jointly owned, possessed, controlled, and maintained the area where her accident occurred. SEPTA filed an answer and new matter denying that it was responsible for the maintenance of the pavement between the rails and raising the defense of immunity. SEPTA also alleged that the City was responsible for the maintenance of the pavement under an agreement between the City and SEPTA, under City ordinances, and by the City’s conduct between 1968 and 1984. SEPTA joined DOT and the City as additional defendants, alleging they alone were jointly and severally liable to Hicks.

DOT filed a preliminary objection in the nature of a demurrer, to the Hicks’ complaint, asserting that DOT was not responsible for the maintenance or repair of street trolley track rails at the site of the accident, nor the roadway between the rails or within 18 inches of the outermost rail. DOT filed no response to SEPTA’s new matter adding DOT as an additional defendant. SEPTA filed an answer to the preliminary objection. Following a hearing, the trial court sustained the preliminary objection and dismissed DOT from the case. This appeal followed.

On appeal to this court SEPTA raises the following issues: (1) did the trial court err in concluding that DOT [58]*58had no legal responsibility for maintaining the pavement between the trolley tracks and the area within 18 inches of the outermost trolley rail; (2) did the trial court err by not considering SEPTA’s status as a commonwealth agency; and (3) did the trial court err in sustaining the preliminary objection because there are material unresolved factual questions.

Before we address the issues raised by SEPTA, we need to determine the effect of the trial court’s order on the status of DOT in this action. DOT only filed a preliminary objection to the complaint filed by Hicks, and technically, DOT could only be dismissed as a defendant in the primary action, and not as an additional defendant in the action by SEPTA against DOT. Pa.R.C.P. No. 2255(a) states that:

The procedure, including pleadings, between the party joining an additional defendant and the additional defendant shall be the same as though the party joining the additional defendant were a plaintiff and the additional defendant were a defendant.

Under this rule, in order for DOT to be dismissed completely from this action DOT would have been required to file preliminary objections to SEPTA’s new matter adding DOT as an additional defendant. . However, it is clear from the pleadings, legal memoranda, and the trial court’s order,1 that the understanding of all parties was that DOT was objecting to its status as a party, both as a defendant and as an additional defendant, and that the trial court treated DOT’s preliminary objection as such by its order dismissing DOT as a party. Accordingly, in the interests of judicial [59]*59economy, we shall address the issues raised by SEPTA in the same procedural posture.

In determining whether to sustain a preliminary objection in the nature of a demurrer, all well-pleaded facts and all inferences that may be deduced therefrom, but not conclusions of law, must be accepted as true. County of Allegheny v. Dominijanni, 109 Pa.Commonwealth Ct. 484, 531 A.2d 562 (1987). A demurrer will not be sustained unless it is clear on the face of the pleading that the law will not permit recovery. Hawkins v. City of Harrisburg, 120 Pa.Commonwealth Ct. 369, 548 A.2d 399 (1988).

On the first issue, SEPTA argues that because DOT has the statutory duty “[t]o mark, build, rebuild, relocate, fix the width of, construct, repair, and maintain State designated highways and transportation facilities and rights of way”2 and “[t]o superintend, supervise and control the work of construction, reconstructing, maintaining and repairing State designated highways, and other transportation facilities and rights of way,” 3 DOT is liable for maintaining and repairing the site of the accident in this action.

DOT does not dispute that Wayne Avenue is a state designated highway, but rather argues that the statute which designated Wayne Avenue as a state highway contained limitations which preclude it from liability in this case. DOT argues further that the common law of this commonwealth also protects it from liability.

Sections 203 and 204 of what is commonly known as the State Highway Act of 1961 (Highway Act), Act of September 18, 1961, P.L. 1389, as amended, 36 P.S. §§ 1758-203 to 1758-204, set forth the obligations and duties of DOT with respect to streets which the Highway Act added to the state highway system, including the street in question in this action. These sections read as follows:

[60]*60§ 1758-203. Duties, Obligations, authority of state, cities
This act is not intended and shall not be construed:
(1) To place upon the Commonwealth any duty to regulate traffic or police the streets herein taken over by the Commonwealth but such duty shall be and remain the obligation of the cities.
(2) To place upon the Commonwealth any obligation for the maintenance, construction, reconstruction or resurfacing of said streets other than the base or surface courses.
(3) To place upon the Commonwealth any obligation under any franchise or franchises heretofore or hereafter granted by the city to any public utility company nor to transfer to the Commonwealth from the city any rights under any such franchise or franchises heretofore granted.
(4) To place upon the Department of Highways any authority to regulate traffic, parking or the general use by the traveling public of the streets or sections thereof taken over by this Commonwealth for maintenance or improvement under the provisions of this act. However, the Department of Highways shall be and is hereby authorized to close to traffic all of the streets or sections thereof described in section 202 of this act during such time as improvements are being made thereon and in such case the city shall establish and maintain a suitable detour in accordance with the provisions of section 209 of this act.
§ 1758-204. Maintenance and construction; costs, sharing

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Bluebook (online)
590 A.2d 31, 139 Pa. Commw. 54, 1991 Pa. Commw. LEXIS 191, Counsel Stack Legal Research, https://law.counselstack.com/opinion/hicks-v-southeastern-pennsylvania-transportation-authority-pacommwct-1991.