Leannais v. Cincinnati, Inc.

480 F. Supp. 286, 1979 U.S. Dist. LEXIS 8268
CourtDistrict Court, E.D. Wisconsin
DecidedNovember 30, 1979
Docket76-C-327
StatusPublished
Cited by6 cases

This text of 480 F. Supp. 286 (Leannais v. Cincinnati, Inc.) is published on Counsel Stack Legal Research, covering District Court, E.D. Wisconsin primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Leannais v. Cincinnati, Inc., 480 F. Supp. 286, 1979 U.S. Dist. LEXIS 8268 (E.D. Wis. 1979).

Opinion

MEMORANDUM AND ORDER

WARREN, District Judge.

This is a diversity action brought by the plaintiffs for damages they allegedly sustained when plaintiff Raymond Leannais was injured while operating a coil slitter machine at Fullerton Metal Company in Milwaukee, Wisconsin. The machine was manufactured by Forte Equipment Company (Forte). The defendant Cincinnati, Incorporated (Cincinnati) is the alleged corporate successor of the original manufacturer.

On September 17, 1976, the Court granted Cincinnati’s motion for summary judgment in this matter. Subsequently, the plaintiffs appealed this decision to the Seventh Circuit Court of Appeals. On appeal, the seventh circuit held that the defendant did not come within one of the four exceptions to the general rule “that a corporation *287 which purchases the assets of another corporation does not succeed to the liabilities of the selling corporation.” Leannais v. Cincinnati, Inc., 565 F.2d 437, 439 (7th Cir. 1979). The Court also held that summary judgment was appropriate in regard to the plaintiffs’ allegations based on strict liability and negligent design and manufacture of the machine.

The appellate court, however, reversed this Court’s determination of summary judgment on the plaintiffs’ allegation that Cincinnati breached a legal duty to warn the plaintiff’s employer of the hazards associated with the coil slitter. In reversing and remanding this case, the seventh circuit opined that the question of whether a duty to warn existed and was breached was a factual question not appropriate for summary judgment. The court also set out some of the criteria for this Court to consider in determining whether a duty to warn existed.

The central question is whether Cincinnati derived any actual or potential economic benefit from its relationship with the plaintiff’s employer. In considering this possible economic benefit, the Court stated the salient factors to be considered were “whether the particular machine involved was under a service contract, whether Cincinnati had ever serviced the machine, or whether Cincinnati had information on present or prior ownership of Forte-built machines.” Id. at 442.

On July 17, 1979, this Court conducted a two-day evidentiary hearing to determine whether the defendant had a legal duty to warn the plaintiff's employer. At that time, the plaintiffs took the posture that the hearing was improper and unnecessary because the seventh circuit had determined that the existence of a duty and its breach were questions of fact for the jury and not a legal determination for the Court. Furthermore, the plaintiffs asserted that any decision to limit liability in this case for public policy reasons should be made after a jury trial in accordance with what they perceived.to be Wisconsin practice.

The defendants contended that the Court should determine whether a duty to warn exists before the case proceeded any further. Essentially, the conflict between these two approaches revolves around two famous opinions in Palsgraf v. Long Island Railroad, 248 N.Y. 339, 162 N.E. 99 (1928). As all students of the law are aware, that case involved the question of whether the defendant should be held liable for an injury sustained by the plaintiff when a scale on the railroad. platform fell over as the result of a package exploding when it was dropped by a boarding passenger. Id. 162 N.E. at 99. In determining the basic issue of public policy, the majority and dissenting opinions of Justices Cardozo and Andrews respectively took very divergent views of the method of analysis.

Justice Cardozo concluded that the defendant was not negligent in the action because it owed no duty to the plaintiff. Justice Cardozo opined that negligence could not be viewed or considered in the abstract and that for a person to be liable for a negligent act, he must have owed a duty to the person injured. Furthermore, Justice Cardozo found that the plaintiff was not a foreseeable person within the zone of danger of the defendant’s action. In making this determination on a motion to dismiss, Justice Cardozo established the precedent of limiting liability in the first instance on a finding of no duty owing to the plaintiff before the case proceeds to trial.

Justice Andrews’ dissent took a very different approach to the issue of limiting liability for public policy reasons. Justice Andrews opined that, rather than arbitrarily draw a distinction between possible plaintiffs whom a defendant may owe a duty to, the proper analysis is to consider whether the injury was proximately caused by the defendant’s action. Justice Andrews' opinion was premised on his belief that:

[Ejvery one owes to the world at large the duty of refraining from those acts that may unreasonably threaten the safety of others. . . . Not only is he wronged to whom harm might reasonably *288 be expected to result, but he also who is in fact injured even if he be outside what would generally be thought the danger zone. There needs be duty due the one complaining, but this is not a duty to a particular individual because as to him harm might be expected. Harm to some one being the natural result of the act, not only that one alone, but all those in fact injured may complain. Id. 162 N.E. at 103.

Under Justice Andrews’ theory, a person is liable for any injury to any person, foreseeable or not, that is proximately caused by the person’s negligence. Justice Andrews’ focus on the question of proximate cause as opposed to duty and foreseeability necessitated that the public policy determination regarding liability be made after a jury had considered the issue. Only then would Justice Andrews have the court determine ■ whether liability should be imposed as a matter of public policy. Although Justice Andrews’ method appears to allow a court to second-guess a jury determination of proximate cause, it really does nothing more than draw a line cutting off liability when it is too attenuated, not as a matter of fact, but as a matter of public policy.

Although the majority of courts have chosen to follow the majority opinion in Palsgraf, a few have adopted Justice Andrews’ approach. In Wisconsin, the supreme court in Waube v. Warrington, 216 Wis. 603, 258 N.W. 497 (1935) appeared to adopt the Cardozo theory of foreseeability. In Waube, supra, the court held that a mother who viewed her daughter being hit by an automobile was not entitled to recovery from the defendant because she was not a foreseeable plaintiff and there was no impact. Id. at 613, 258 N.W. 497.

In subsequent decisions beginning with Pfeifer v. Standard Gateway Theater, Inc., 262 Wis. 229, 55 N.W.2d 29 (1952), the supreme court retreated from its position in Waube, supra, and began to adopt the reasoning of Justice Andrews. In Pfeifer, the court cast doubt on the logic of Justice Cardozo’s theory of foreseeability because it might preclude the court from limiting liability in appropriate cases where the injured party was foreseeable.

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Bluebook (online)
480 F. Supp. 286, 1979 U.S. Dist. LEXIS 8268, Counsel Stack Legal Research, https://law.counselstack.com/opinion/leannais-v-cincinnati-inc-wied-1979.