Kodiak Island Borough v. Roe

63 P.3d 1009, 2003 Alas. LEXIS 11, 2003 WL 257495
CourtAlaska Supreme Court
DecidedFebruary 7, 2003
DocketS-10058, S-10137
StatusPublished
Cited by30 cases

This text of 63 P.3d 1009 (Kodiak Island Borough v. Roe) is published on Counsel Stack Legal Research, covering Alaska Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kodiak Island Borough v. Roe, 63 P.3d 1009, 2003 Alas. LEXIS 11, 2003 WL 257495 (Ala. 2003).

Opinion

OPINION

EASTAUGH, Justice.

I. INTRODUCTION

A civil jury found two Kodiak Island Borough employees liable for intentional torts they committed against a resident at a borough-operated facility for developmentally disabled women. The jury also found the borough negligent for failing to prevent the employees’ intentional torts. The trial court declined to permit the jury to allocate fault and apportion damages between the negligent and intentional tortfeasors, interpreting the apportionment statutes then in effect to preclude such an allocation. Because the applicable apportionment statutes were silent on the issue of allocating fault in this situation, and because the common law disallowed such an apportionment, we affirm the trial court’s decision precluding apportionment. *1011 Because we find no reversible error on the other issues the borough appeals, we affirm the judgment.

II. FACTS AND PROCEEDINGS

C.E. is a developmentally disabled woman who suffers from cerebral palsy. 1 C.E. functions intellectually and socially at the level of a ten- to twelve-year-old child with an IQ in the lower-sixties. In 1990 she moved into a semi-independent apartment which was part of a Kodiak Island Borough residential treatment program. 2 C.E.’s apartment was next door to the residential program’s Crisis Respite Unit. The Crisis Respite Unit staff had keys to the semi-independent apartments and administered medication to the women who lived there.

Jacob Simeonoff and Dana McNair were borough residential program employees in 1990. Simeonoff was hired after twice residing in the residential program for mental health and substance abuse problems, and after having been convicted twenty-eight times of criminal offenses, including felony assault. He was hired in 1988 as a Crisis Respite Unit staff member, even though the director of the residential program knew at the time of Simeonoffs history. Previously employed through associated programs in the 1980’s, McNair was hired in 1991 as a skills trainer in charge of securing the residential program residents’ safety, health, and welfare, and periodically filled in for Crisis Respite Unit staff.

C.E. became pregnant in 1991 and gave birth to M.E. In 1995, under pressure from the Alaska Child Support Enforcement Division to establish the paternity of her child, C.E. revealed that she had had intercourse with Simeonoff and McNair. DNA testing determined that Simeonoff was M.E.’s father.

Joan Roe, C.E.’s mother, filed a lawsuit against Simeonoff, McNair, and the borough alleging among other things that the borough negligently hired, retained, promoted, and supervised Simeonoff and McNair. 3 Trial was held in late 2000. The trial jury found that the borough was negligent in hiring, retaining, promoting, or supervising Simeo-noff and McNair, and that the negligence was a substantial factor in causing harm to C.E. It found that Simeonoff and McNair intentionally touched C.E. four times and that the touching was a substantial factor in causing harm to C.E. The jury found that C.E. suffered $350,000 in economic damages and $1 million in non-economic damages. The trial court then entered judgment in the principal amount of $1,350,000 against the borough.

The borough appeals, raising various issues. 4

III. DISCUSSION

A. The Trial Court Properly Declined To Allow the Jury To Allocate Fault and Apportion Damages Between the Negligent and Intentional Tort-feasors.

The borough argues that it was error to prevent the jury from apportioning fault between intentional and negligent tort-feasors. The question whether fault could be allocated and damages apportioned between negligent and intentional tortfeasors turns on *1012 the interpretation of former AS 09.17.080 (1989) and former AS 09.17.900 (1986) and the common law of torts as it existed in Alaska in 1991, when these torts were committed. 5 We discern no error. 6

Roe filed a motion to establish the law of the case, arguing that the borough had a special protective relationship with C.E., and that it negligently failed to prevent a foreseeable harm which it had a duty to prevent. Roe further argued that under Alaska Statutes then in effect, and under the Restatement (Second) of Tokts § 315, the borough should not be able to “escape” liability by shifting liability to an intentional third party tortfeasor. 7

The superior court granted Roe’s motion. It considered AS 09.17.080 and .900 and the history of tort reform in Alaska, and determined that while not currently the law in Alaska, apportionment between negligent and intentional tortfeasors was not permitted prior to 1997, when the legislature specifically redefined “fault” for purposes of the apportionment statute to provide for such allocations. The superior court relied on policy arguments against apportionment discussed by the Tennessee Supreme Court in Turner v. Jordan, 8 and on our decision in Borg-Wanier Corp. v. Avco Corp., 9 in which we stated that section .900 clearly contemplated apportionment between all unintentional tort-feasors.

On appeal the borough advances statutory and policy arguments, and points to the his *1013 tory of joint liability in Alaska to support its claim that the trial court erred by preventing the jury from apportioning damages between the borough and the two intentional tortfea-sors, Simeonoff and McNair. The borough agrees with the trial court that whether allocation was appropriate turns on the interpretation of AS 09.17.080 and .900, but reads the history of joint liability in Alaska and voter intent to favor apportionment.

In characterizing Alaska’s experience with tort reform, the borough observes that at common law, and in Alaska before 1970, joint tortfeasors were jointly and severally liable and did not have a right of contribution against each other. 10 The legislature granted joint tortfeasors the right of contribution in 1970 by enacting the Alaska Uniform Contribution Among Tortfeasors Act. 11 That act explicitly precluded intentional tortfeasors from seeking contribution. 12 Tort reform legislation in 1986 amended the contribution act, and required that the liability of joint tortfeasors be determined by each tortfea-sor’s percentage of fault. 13

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Bluebook (online)
63 P.3d 1009, 2003 Alas. LEXIS 11, 2003 WL 257495, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kodiak-island-borough-v-roe-alaska-2003.