Jackson v. Dackman Co.

30 A.3d 854, 422 Md. 357, 2011 Md. LEXIS 639
CourtCourt of Appeals of Maryland
DecidedOctober 24, 2011
Docket131, September Term, 2008
StatusPublished
Cited by23 cases

This text of 30 A.3d 854 (Jackson v. Dackman Co.) is published on Counsel Stack Legal Research, covering Court of Appeals of Maryland primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Jackson v. Dackman Co., 30 A.3d 854, 422 Md. 357, 2011 Md. LEXIS 639 (Md. 2011).

Opinion

*361 ELDRIDGE, J.

The principal issues in this case concern the constitutionality of the provisions in the Reduction of Lead Risk in Housing Act which grant to the owners of certain rental properties, under specified conditions, immunity from personal injury suits based upon a child’s or a pregnant woman’s ingestion of lead. We shall hold that the statute’s provisions granting immunity violate Article 19 of the Maryland Declaration of Rights and are, therefore, invalid.

I.

The Reduction of Lead Risk in Housing Act was enacted by Ch. 114 of the Acts of 1994 and is, for the most part, codified in Maryland Code (1982, 2007 Repl.Vol., 2011 Supp.), subtitle 8, §§ 6-801 through 6-852 of the Environment Article. As stated in § 6-802 of the Act, “[t]he purpose of this subtitle is to reduce the incidence of childhood lead poisoning, while maintaining the stock of available affordable rental housing.” The Act was generally based upon the recommendations of a study commission, the “Lead Paint Poisoning Commission,” which reported to the General Assembly in December 1993 and which issued a final report in May 1994.

The Act was divided into several parts, with Part I, consisting of §§ 6-801 through 6-804, containing definitions and coverage provisions. Among the definitions, the phrase “affected property” is primarily defined as “property constructed before 1950 that contains at least one rental dwelling unit” (§ 6-801(b)). Part II of the Act, in §§ 6-807 through 6-810, creates and delineates the duties of an advisory and study commission. Part III is titled “Registration of Affected Property,” and it requires that “the owner of an affected property shall register the affected property with the Department [of the Environment]” on “or before December 31, 1995” (§ 6-811(a)). The registration involves filling out a form giving the Department various items of information about the affected property (§ 6-811(b)). The statute also requires that the registration be renewed “on or before December 31 of each *362 year,” updating the information about the affected property (§. 6-812(a)(l)). If an owner first acquires affected property after December 1, 1995, the owner “shall register the affected property ... within 80 days after the acquisition” (§ 6-812(b)). Section 6-813(a) provides that, if an owner “fails to register” or “fails to renew the registration of an affected property,” the owner “is not in compliance with respect to that affected property ... for purposes of § 6-836,” which is one of the sections granting immunity from suit.

Sections 6-815 through 6-824 comprise Part IV of the Act, titled “Risk Reduction Standard for Affected Property.” These sections establish detailed and mandatory risk reduction standards for affected property, 1 set forth a schedule for *363 bringing affected property into compliance with the risk reduction standards, and provide that the owner of affected property may lose liability protection for non-compliance. 2 *364 Section 6-818 provides for inspections of affected property by independent inspectors who are accredited by the Department of the Environment, and § 6-819 contains a “modified risk reduction standard.” Section 6-820 requires that owners of affected property give to tenants a “notice of tenant’s rights,” and § 6-823 requires that the owners give to each tenant a “lead poisoning information packet.”

Part V of the Act, titled “Qualified Offer,” consists of §§ 6-826 through 6-842.. In addition to the provisions concerning “qualified offers,” this part contains the limitations on judicial actions.

A “qualified offer” is an offer of money by an owner, the owner’s agent, or an insurer of the owner, made to a person at risk or to a parent or legal guardian of a person at risk who is a minor (§§ 6-831 through 6-834). A “person at risk” is defined as “a child or a pregnant woman who resides or regularly spends at least 24 hours per week in an affected property” (§ 6-801(p)). “Child” is defined as “an individual under the age of 6 years” (§ 6-801(d)). A “qualified offer” is *365 designed to cover some expenses which are incurred on behalf of an affected person at risk. 3 Nevertheless, the maximum *366 amount payable under a qualified offer is only $17,000, and most of this is payable to the provider of medical or other services and not to the person at risk. 4

The Act, in § 6-835, provides that “[acceptance of a qualified offer by a person at risk, or by a parent [or] legal guardian” of a person at risk, “releases all potential liability of the offeror, the offeror’s insured or principal.” 5 Section 6- *367 836, on the other hand, provides that if a qualified offer is rejected, “[a]n owner of an affected property is not liable, for alleged injury or loss caused by ingestion of lead by a person at risk in the affected property.” 6 Section 6-836.1 purports to direct a trial court to proceed in a particular manner if an owner’s claim of immunity from liability under §§ 6-835 or 6-836 is challenged by any party. 7

*368 Although certain sections of the Act are written as if §§ 6-835 and 6-836 were the only provisions granting immunity to the owners (see, e.g., §§ 6-813(a) or 6-836.1), §§ 6-827 and 6-828 also deal with liability and immunity from personal injury suits. Section 6-827 indicates that Part V of the statute, relating to qualified offers and owners’ immunity from suit, is intended to be very broad. Section 6-827 states:

“§ 6-827. Applicability.

This part applies to all potential bases of liability for alleged injury or loss to a person caused by the ingestion of lead by a person at risk in an affected property.”

Section 6-828 appears to grant immunity from personal injury suits to an owner, if that owner has complied with the statute, unless certain notice is given to the owner and the owner has been given the opportunity to make a qualified offer. Section 6-828 provides as follows:

“§ 6-828. Failure to give notice to owner in compliance.

(a) Applicability.—This section applies to an owner of an affected property who has, with respect to the affected property, complied with the applicable requirements of §§ 6-811, 6-812, 6-815, 6-817, and 6-819 of this subtitle, and has sent to the tenant the notices required by §§ 6-820 and 6-823 of this subtitle.
(b) In

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Cite This Page — Counsel Stack

Bluebook (online)
30 A.3d 854, 422 Md. 357, 2011 Md. LEXIS 639, Counsel Stack Legal Research, https://law.counselstack.com/opinion/jackson-v-dackman-co-md-2011.