Justice v. Shelby Ice & Fuel Co.

248 N.E.2d 195, 18 Ohio App. 2d 197, 47 Ohio Op. 2d 325, 1969 Ohio App. LEXIS 621
CourtOhio Court of Appeals
DecidedApril 17, 1969
Docket1049
StatusPublished
Cited by5 cases

This text of 248 N.E.2d 195 (Justice v. Shelby Ice & Fuel Co.) is published on Counsel Stack Legal Research, covering Ohio Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Justice v. Shelby Ice & Fuel Co., 248 N.E.2d 195, 18 Ohio App. 2d 197, 47 Ohio Op. 2d 325, 1969 Ohio App. LEXIS 621 (Ohio Ct. App. 1969).

Opinions

Putman, J.

This appeal is on questions of law from a judgment entered upon a jury verdict for the defendant in a personal injury case.

It arises out of injuries sustained by plaintiff, appellant herein, Paul Justice, while dismantling a tank on the premises of the defendant corporation. Plaintiff’s employer had been engaged by the defendant corporation to dismantle the tank and had directed plaintiff to defendant’s plant to do the job.

The tank fell while plaintiff was working on it, and plaintiff suffered injury.

The foregoing was not disputed.

The plaintiff claimed to be a frequenter under Section 4101.01 (E), Revised Code, entitled to the benefit of the protection of certain Ohio statutes setting forth the duty of employers to such persons and providing a criminal penalty for violation. (Sections 4101.11, 4101.01 (K), 4101.12, 4101.15 and 4101.99, Revised Code.)

The facts giving rise to the applicability of these statutes to this plaintiff’s case were admitted in the answer and uncontroverted in the proof.

The answer contained the following paragraph:

“Further answering defendant alleges that plaintiff assumed the risk of injuries when he chose to dismantle the *199 free-standing tank without first securing it to adjoining structures by ropes or cables, and further alleges that any injury and damages suffered by the plaintiff were caused solely and proximately by the negligence of the plaintiff.”

The plaintiff assigns as prejudicial error the following:

1. The giving of a special instruction on assumption of risk.

2. The submission of three interrogatories in writing for the jury to answer.

3. The failure to charge on the so-called “frequenter” statutes.

All three assignments of error are well taken.

Each assignment of error will be discussed in turn.

I.

The doctrine of assumption of risk is not available as a defense in cases where the “safe place” statutes (Section 4101.01 et seq., Revised Code) apply. P., C., C. & St. L. Ry. Co. v. Kinney (1916), 95 Ohio St. 64; Hauer v. French Brothers-Bauer Co. (1931), 43 Ohio App. 333, paragraph three of the syllabus; Ziehr v. Maumee Paper Co. (1905), 7 C. C. (N. S.) 144.

The 1964 edition of Professor William L. Prosser’s handbook entitled “Law of Torts” states at page 468:

“ * * * There have been certain statutes, however, which clearly are intended to protect the plaintiff against his own inability to protect himself, including his own lack of judgment or inability to resist various pressures. Such, for example, are the child labor acts, and various safety statutes for the benefit of employees as to which the courts have recognized the economic inequality in bargaining power which has induced the passage of the legislation. Since the fundamental purpose of such statutes would be defeated if the plaintiff were permitted to assume the risk, it is generally held that he cannot do so, either expressly or by implication. Quite recently Connecticut and California have taken the lead in holding the risk cannot be assumed as to the violation of any safety statute enacted for the protection of the public, on the somewhat ingenious ground that the obligation and the right so created are *200 public ones, which it is not within the power of any private individual to waive. This amounts to saying that the policy of the statute overrides private agreements and understandings. Such decisions are quite likely to appear in other states in the near future.”

The future will tell with respect to Professor Prosser’s ability as a prophet on this point, but historians in Ohio may validly dispute the claim that Connecticut and California have “taken the lead.”

The law in Ohio since 1905 has recognized this doctrine.

In the case of Ziehr v. Maumee Paper Co. (1905), 7 C. C. (N. S.) 144, the Circuit Court quotes a previous federal appellate decision of a Judge Taft in 37 C. C. A. 499, speaking on the same point:

“The only ground for passing such a statute is found in the inequality of terms upon which the railroad company and its servants deal in regard to the dangers of their employment. The manifest legislative purpose was to protect the servant by positive law, because he had not previously shown himself capable of protecting himself by contract; and it would entirely defeat this purpose thus to permit the servant ‘to contract the master out’ of the statute. It would certainly be novel for a court to recognize as valid an agreement between two persons that one should violate a criminal statute; and yet if the assumption of risk is the term of a contract, then the application of it in the case at bar is to do just that.”

The Ohio Circuit Court for Lucas County goes on, in 1905, in the Ziehr case, to say, at page 160 in its opinion in 7 C. C. (N. S.):

“ * * * As stated by Judge Taft in this opinion such legislation is enacted not only for the protection of employees, but also in the interest of the public or commonwealth who are interested in protecting men from personal injuries, and should be maintained rather than overthrown by the courts.”

Professor Prosser says further at page 457 in his “Law of Torts”:

“* * * Thus it is generally held that a contract exempt *201 ing an employer from all liability for negligence toward his employees is void as against public policy. * * *”

Cited is the Supreme Court of Ohio in the 1916 case of P., C., C. & St. L. Ry. Co. v. Kinney, 95 Ohio St. 64, where the Supreme Court of Ohio struck down as void an express written contract whereby a railroad employee agreed to assume all risks of accident or casualty incident to such employment and service. The decision is grounded upon the public policy established by the “safe place statutes,” 95 Ohio St. 64, at page 70.

Thus, if an express written assumption-of-risk contract exempting a person under a duty to provide a safe place to work is void as against public policy in Ohio then, a fortiori, a doctrine of implied assumption of risk is outlawed by the statutes.

Squarely in point is the third paragraph of the syllabus in Hauer v. French Brothers-Bauer Co. (1931), 43 Ohio App. 333:

“3. Under statutes requiring employer to furnish employees safe place of employment and regarding prevention of injuries, doctrine of assumption of risk no longer obtains. * * *”

The opinion in the Hauer case, at page 335, refers expressly to frequenters:

“It is argued that the decedent assumed the risk by going into this place of danger.

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Bluebook (online)
248 N.E.2d 195, 18 Ohio App. 2d 197, 47 Ohio Op. 2d 325, 1969 Ohio App. LEXIS 621, Counsel Stack Legal Research, https://law.counselstack.com/opinion/justice-v-shelby-ice-fuel-co-ohioctapp-1969.