Morrison v. Grand Forks Housing Authority

436 N.W.2d 221, 1989 N.D. LEXIS 23, 1989 WL 9791
CourtNorth Dakota Supreme Court
DecidedFebruary 10, 1989
DocketCiv. 880150
StatusPublished
Cited by18 cases

This text of 436 N.W.2d 221 (Morrison v. Grand Forks Housing Authority) is published on Counsel Stack Legal Research, covering North Dakota Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Morrison v. Grand Forks Housing Authority, 436 N.W.2d 221, 1989 N.D. LEXIS 23, 1989 WL 9791 (N.D. 1989).

Opinion

ERICKSTAD, Chief Justice.

Brenda and Trisha Morrison (Morrisons) were injured in a fire in their apartment on February 29, 1984. As a result, Morrisons commenced an action against the Grand Forks Housing Authority and the Honeywell Corporation. A settlement was concluded involving the defendant, Grand Forks Housing Authority, and the matter was dismissed with prejudice against the Housing Authority. Honeywell made a motion for summary judgment which the trial court granted. Morrisons bring this appeal. We affirm.

At the time of the fire, one battery-operated smoke detector, manufactured by Honeywell, was installed in the apartment. On the morning of the fire, the smoke detector failed to sound because there was no battery in it. Brenda had removed the battery, either to use in a transistor radio or because of the “chirping” the low battery signal emitted, but had forgotten to replace it. 1

Brenda and her daughter Trisha were severely burned in the fire. As a result of their injuries, they brought suit against Honeywell, claiming that Honeywell is liable for failing to provide a warning that the smoke detector would not operate without a battery and for manufacturing a battery-operated smoke detector without an alternating current backup. The district court granted Honeywell's motion for summary judgment on December 11, 1987.

On appeal, Morrisons allege that Honeywell is liable on the basis of both products (strict) liability and negligence theories. Morrisons apparently argue that the smoke detector was defective because it failed to sound at the time of the fire, notwithstanding the fact that there was no battery in the detector.

In order to recover under the doctrine of strict liability in tort, the plaintiff must prove that there was a “defect” in the defendant’s product. 2 What constitutes a defect has generally not been susceptible of any general definition and is defined on a case-by-case basis. Jagmin v. Simonds Abrasive Co., 61 Wis.2d 60, 211 N.W.2d 810 (1973); Products Liability, 63 AmJur. 2d § 544 (1984). Courts have used various language to describe what makes a product defective, generally incorporating comments g 3 , h 4 , and i 5 of section 402A, Restatement (Second) Torts (1965), in the definition. See Kleve v. General Motors Corp., 210 N.W.2d 568, 571 (Iowa 1973) (phrase “defective condition unreasonably dangerous to the user or consumer” means the defect in a product not contemplated by user or consumer which would be unreasonably dangerous to him in the normal and innocent use or consumption thereof); Fredericks v. General Motors Corp., 411 Mich. 712, 311 N.W.2d 725 (1981) (product is defective if it is not reasonably safe for *224 its foreseeable uses); Hudson v. Snyder Body, Inc., 326 N.W.2d 149 (Minn.1982) (product is defective if it fails to perform reasonably, adequately and safely, the normal, anticipated or specified use to which the manufacturer intends that it be put, and it is unreasonably dangerous to the plaintiff); Farr v. Armstrong Rubber Co., 288 Minn. 83, 179 N.W.2d 64 (1970) (“defect” is any condition not contemplated by the user which makes the product unreasonably dangerous to him; a product is not defective when it is safe for normal handling and consumption).

The smoke detector at issue was a battery-operated detector. Morrisons acceded that the detector had gone off three or four times, usually when toast was being made. Every time the detector went off, Brenda opened the cover and took the battery out long enough for the smoke to clear out of the room. She then replaced the battery. When the battery wore out, and the detector began chirping, Brenda took the battery out of the detector and failed to replace it with a new battery.

It is apparent from our review of the record that the smoke detector in Morri-sons’ apartment did work properly, at least prior to the fire, because it alerted Morri-sons to the burning toast on several occasions. It is also apparent that Brenda knew that this particular detector was powered by a battery, as indicated by the fact that, in order to stop the detector alarm, she removed the battery. Testimony from a third party indicated that Brenda had also used the detector battery to power a transistor radio, further indicating that Brenda had knowledge that a battery provided the power source for the detector.

The battery-powered smoke detector performed adequately and posed no unreasonable danger beyond the contemplation of the ordinary user, or that of Brenda. Under these circumstances, we conclude that reasonable persons could not find the detector to be defective. Therefore, the trial court did not err in granting summary judgment.

Notwithstanding the above conclusion, we will also consider whether or not Honeywell was negligent because negligence and strict liability theories of recovery are intertwined in a failure-to-wam case.

Morrisons claim that the lack of a more explicit warning renders this detector defective. They argue that Honeywell is liable on the basis of both strict liability and negligence theories; that under either doctrine, Honeywell had a duty to warn Morri-sons that the detector would not operate without a battery.

We have said that recovery sought under a negligent failure-to-warn theory and recovery sought under a strict liability theory of marketing a product which is defective and unreasonably dangerous because it is not accompanied by adequate warnings are two separate and distinct theories of recovery. Mauch v. Manufacturers Sales & Service, Inc., 345 N.W.2d 338, 345 (N.D.1984). Under a negligence theory, the question is whether or not the conduct of the manufacturer or seller in providing a certain warning with its product, or in providing no warning at all, falls above or below the standard of reasonable care. Id. at 346. Under a strict liability theory, the question is whether or not. the warnings, if any, which accompany a product are adequate to render the product not unreasonably dangerous to the ordinary user of it. Id.

Under either theory of recovery, negligence or strict liability, other courts have held that the duty to warn does not attach when the danger or potentiality of danger is obvious or is known to the injured person. 6 See Fanning v. LeMay, 38 Ill.2d 209, 230 N.E.2d 182 (1967) (no duty to warn that soles of shoes became slippery when wet because it is a matter of common knowledge that shoes are more likely to slip when wet than when dry); Fisher v. Johnson Milk Co., 383 Mich. 158, 174 N.W.2d *225

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Bluebook (online)
436 N.W.2d 221, 1989 N.D. LEXIS 23, 1989 WL 9791, Counsel Stack Legal Research, https://law.counselstack.com/opinion/morrison-v-grand-forks-housing-authority-nd-1989.