MILLER, Justice:
The defendants in this proceeding are the International Union (International), District 17 (District), and Local Union No. 2404 (Local) of the United Mine Workers of America (collectively Unions) and twelve individual union members. The defendants were found in civil contempt for the violation of a temporary injunction order issued in the Circuit Court of Kanawha County. They were held jointly and severally liable for a compensatory fine in the amount of $127,446.85, payable to P.G. & H. Coal Company, Inc. (PG & H). The defendants contend (1) that adequate notice was not given of over thirty alleged acts of contempt, (2) that the jury instructions were erroneous as to the responsibility of the Unions for the actions of its members, (3) that joint and several liability was erroneously imposed on the Unions and the twelve individual members thereof, and (4) that the compensatory damages allegedly sustained by PG & H were not proven to a reasonable certainty.
I. FACTS
This appeal grows out of a strike authorized by the International at the mining operations of PG & H located in Cabin Creek, Kanawha County, West Virginia. PG & H had been a signatory to the 1981 National Bituminous Coal Wage Agreement, which expired in September, 1984. When PG & H did not sign the 1984 national wage agreement and resumed partial operations in early 1985, a strike was begun and picketing ensued.1 On February 8, 1985, PG & H filed a complaint in the Circuit Court of Kanawha County against the Unions and twelve officers and members of the local union, alleging that the defendants had engaged in mass picketing, unlawful acts of violence, and other unlawful activities interfering with PG & H’s right to conduct business. The complaint sought compensatory damages and injunc-tive relief.2
PG & H continued to experience problems at its mining operations and on April 25, 1985, petitioned the circuit court for a temporary injunction order prohibiting the International, the District, the Local, and twelve named individuals from, among other things: blocking ingress and egress to the company’s operation; making, assaulting, or threatening its employees or others seeking to enter their property in order to [571]*571do business; and engaging in mass picketing, limiting the number of pickets to six. The trial court granted a temporary injunction the same day.3
Four days later, on April 29, 1985, PG & H filed a petition for a rule to show cause why the defendants should not be found in civil contempt for violation of the temporary injunction order. The petition was accompanied by an affidavit from PG & H’s vice president, John S. Griffin. This petition alleged that the defendants had knowingly violated the temporary injunction by engaging in prohibited activities, such as: (1) damaging and destroying company property and the personal property of its employees; (2) obstructing ingress to and egress from the company's mine and related facilities; and, (3) mass picketing in and around the mine entrance and roads leading thereto for the purpose of threatening and discouraging the plaintiff's employees from reporting to work. A rule to show cause was promptly issued and, thereafter, the defendants filed various pretrial motions.
The proceedings were bifurcated as to the issues of liability and damages. The liability aspect of the contempt proceeding began on May 15, 1985. PG & H introduced evidence to demonstrate that picketing in excessive numbers had occurred on some eleven occasions in violation of the temporary injunction, that company property and motor vehicles had been damaged, and that abusive language and isolated personal injuries had been sustained by security guards. At the close of its case, PG & H filed an addendum to its bill of particulars, enumerating the factual details of other alleged contemptuous acts which had been shown at trial, but not alleged in its pleadings. It then moved the court to conform the pleadings to the evidence.
The defendants moved for a directed verdict. The International and District stressed the lack of evidence of its involvement either in the picketing or in any of the incidents shown in the contempt proceedings. These motions for a directed verdict were denied. The individuals and the Unions introduced testimony by union officials as to the steps taken to control the picket line. The circuit court, at the close of all the evidence, directed verdicts against five of the individual defendants for violation of the temporary injunction.
The circuit court left the liability of the Unions and the remaining seven individual defendants to the jury. The court, over objection, instructed the jury in accordance with the company’s proffered instructions. The jury returned a verdict with special interrogatories against the Unions and the remaining seven individual defendants on May 24, 1985. The trial court subsequent[572]*572ly denied the defendants’ post-verdict motions and entered a broadened injunction order on June 4, 1985.
On June 7, 1985, a hearing on the damage issue was held before the circuit court. Based on the evidence introduced by PG & H, the trial court awarded damages as follows: (1) vandalism and related damages-$6,709.46; (2) financial damage to PG & H’s business (lost contribution to fixed cost)-$59,157.05; (3) security costs-$30,-748.34; and (4) attorney’s fees and litigation costs-$30,832.00.
On July 15, 1985, the circuit court entered a final judgment order holding the defendants jointly and severally liable for the compensatory fine. This appeal followed.
II. NOTICE OF CONTEMPT CHARGES
The threshold issue in this proceeding concerns the adequacy of the notice given the defendants. The affidavit by the vice president of PG & H alleged that beginning on the evening of April 25, 1985, the date when the temporary injunction order was issued, and continuing until April 29, 1985, certain named and unnamed individual defendants in the civil action had violated the injunction by committing the following acts:
“a. Discharging, on at least three occasions, a weapon thought to be a small caliber rifle which, on one such occasion, destroyed a large halogen light around the watchman’s trailer;
“b. Bombardment of said watchman’s trailer, company vehicles, and personal vehicles owned by plaintiff’s employees, with steel balls propelled from slingshots, and rocks of varying sizes. Certain of plaintiff’s employees have had their personal vehicles substantially damaged as a result of this conduct and have expressed to me their extreme concern for their own personal safety and that of their families.
“c. Picketing in numbers far in excess of six in and around the mine entrance and along the access roads thereto;
“d. Using mirrors to blind plaintiff’s employees traveling to and from the mine site while on the roadways leading thereto;
“e. Placing ‘jack rocks’ and related items in and around the roadways leading to and from plaintiff’s mine, as a result of which several tires have been punctured and otherwise damaged;
“e. [sic] Propelling smoke bombs at the watchman’s trailer;
“f.
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MILLER, Justice:
The defendants in this proceeding are the International Union (International), District 17 (District), and Local Union No. 2404 (Local) of the United Mine Workers of America (collectively Unions) and twelve individual union members. The defendants were found in civil contempt for the violation of a temporary injunction order issued in the Circuit Court of Kanawha County. They were held jointly and severally liable for a compensatory fine in the amount of $127,446.85, payable to P.G. & H. Coal Company, Inc. (PG & H). The defendants contend (1) that adequate notice was not given of over thirty alleged acts of contempt, (2) that the jury instructions were erroneous as to the responsibility of the Unions for the actions of its members, (3) that joint and several liability was erroneously imposed on the Unions and the twelve individual members thereof, and (4) that the compensatory damages allegedly sustained by PG & H were not proven to a reasonable certainty.
I. FACTS
This appeal grows out of a strike authorized by the International at the mining operations of PG & H located in Cabin Creek, Kanawha County, West Virginia. PG & H had been a signatory to the 1981 National Bituminous Coal Wage Agreement, which expired in September, 1984. When PG & H did not sign the 1984 national wage agreement and resumed partial operations in early 1985, a strike was begun and picketing ensued.1 On February 8, 1985, PG & H filed a complaint in the Circuit Court of Kanawha County against the Unions and twelve officers and members of the local union, alleging that the defendants had engaged in mass picketing, unlawful acts of violence, and other unlawful activities interfering with PG & H’s right to conduct business. The complaint sought compensatory damages and injunc-tive relief.2
PG & H continued to experience problems at its mining operations and on April 25, 1985, petitioned the circuit court for a temporary injunction order prohibiting the International, the District, the Local, and twelve named individuals from, among other things: blocking ingress and egress to the company’s operation; making, assaulting, or threatening its employees or others seeking to enter their property in order to [571]*571do business; and engaging in mass picketing, limiting the number of pickets to six. The trial court granted a temporary injunction the same day.3
Four days later, on April 29, 1985, PG & H filed a petition for a rule to show cause why the defendants should not be found in civil contempt for violation of the temporary injunction order. The petition was accompanied by an affidavit from PG & H’s vice president, John S. Griffin. This petition alleged that the defendants had knowingly violated the temporary injunction by engaging in prohibited activities, such as: (1) damaging and destroying company property and the personal property of its employees; (2) obstructing ingress to and egress from the company's mine and related facilities; and, (3) mass picketing in and around the mine entrance and roads leading thereto for the purpose of threatening and discouraging the plaintiff's employees from reporting to work. A rule to show cause was promptly issued and, thereafter, the defendants filed various pretrial motions.
The proceedings were bifurcated as to the issues of liability and damages. The liability aspect of the contempt proceeding began on May 15, 1985. PG & H introduced evidence to demonstrate that picketing in excessive numbers had occurred on some eleven occasions in violation of the temporary injunction, that company property and motor vehicles had been damaged, and that abusive language and isolated personal injuries had been sustained by security guards. At the close of its case, PG & H filed an addendum to its bill of particulars, enumerating the factual details of other alleged contemptuous acts which had been shown at trial, but not alleged in its pleadings. It then moved the court to conform the pleadings to the evidence.
The defendants moved for a directed verdict. The International and District stressed the lack of evidence of its involvement either in the picketing or in any of the incidents shown in the contempt proceedings. These motions for a directed verdict were denied. The individuals and the Unions introduced testimony by union officials as to the steps taken to control the picket line. The circuit court, at the close of all the evidence, directed verdicts against five of the individual defendants for violation of the temporary injunction.
The circuit court left the liability of the Unions and the remaining seven individual defendants to the jury. The court, over objection, instructed the jury in accordance with the company’s proffered instructions. The jury returned a verdict with special interrogatories against the Unions and the remaining seven individual defendants on May 24, 1985. The trial court subsequent[572]*572ly denied the defendants’ post-verdict motions and entered a broadened injunction order on June 4, 1985.
On June 7, 1985, a hearing on the damage issue was held before the circuit court. Based on the evidence introduced by PG & H, the trial court awarded damages as follows: (1) vandalism and related damages-$6,709.46; (2) financial damage to PG & H’s business (lost contribution to fixed cost)-$59,157.05; (3) security costs-$30,-748.34; and (4) attorney’s fees and litigation costs-$30,832.00.
On July 15, 1985, the circuit court entered a final judgment order holding the defendants jointly and severally liable for the compensatory fine. This appeal followed.
II. NOTICE OF CONTEMPT CHARGES
The threshold issue in this proceeding concerns the adequacy of the notice given the defendants. The affidavit by the vice president of PG & H alleged that beginning on the evening of April 25, 1985, the date when the temporary injunction order was issued, and continuing until April 29, 1985, certain named and unnamed individual defendants in the civil action had violated the injunction by committing the following acts:
“a. Discharging, on at least three occasions, a weapon thought to be a small caliber rifle which, on one such occasion, destroyed a large halogen light around the watchman’s trailer;
“b. Bombardment of said watchman’s trailer, company vehicles, and personal vehicles owned by plaintiff’s employees, with steel balls propelled from slingshots, and rocks of varying sizes. Certain of plaintiff’s employees have had their personal vehicles substantially damaged as a result of this conduct and have expressed to me their extreme concern for their own personal safety and that of their families.
“c. Picketing in numbers far in excess of six in and around the mine entrance and along the access roads thereto;
“d. Using mirrors to blind plaintiff’s employees traveling to and from the mine site while on the roadways leading thereto;
“e. Placing ‘jack rocks’ and related items in and around the roadways leading to and from plaintiff’s mine, as a result of which several tires have been punctured and otherwise damaged;
“e. [sic] Propelling smoke bombs at the watchman’s trailer;
“f. Chaining the gate leading to the plaintiff’s mine and related facilities shut under circumstances requiring the plaintiff to cut the chain off of its gate with a torch prior to gaining access to its own property; and
“g. Engaging in certain other conduct related to the foregoing, the details of which are not set forth herein.” 4
On May 9, 1985, six days before the liability phase of the proceeding commenced, PG & H submitted a summary of the incidents about which it intended to introduce evidence at trial. This summary provided some specifics concerning the charge of mass picketing and the acts of violence to company-owned and employee-owned property. Some names and dates were given, and the paragraphs of the temporary injunction allegedly violated were identified.
[573]*573PG & H, in response to the defendants’ request for a bill of particulars, filed an affidavit by its vice president which appears to be based on information and belief, rather than personal knowledge. It charged the individual defendants with eight new incidents occurring between April 25 and April 29, 1985. It also charged that five violations of the temporary injunction had occurred after the petition for contempt was filed on April 29, 1985. At trial, PG & H introduced evidence of some forty-five violations of the temporary injunction, thirty-two of which occurred after the contempt petition was filed, and the show cause order was issued.5
The defendants rely heavily on State ex rel. United Mine Workers of Am. v. Maynard, 176 W.Va. 131, 133-134 n. 2, 342 S.E.2d 96, 98-99 n. 2 (1985), also a contempt proceeding, where we stated:
“The motion or affidavit for contempt filed by the respondent employers ... listed only February 12,1985, as the date the UMWA violated the court’s order. Despite the fact that the UMWA was given notice of only this one day of violation, it is clear from the court’s subsequent order that all of the violations for which the UMWA was charged occurred after February 12, 1985, with the first day of violation occurring on February 18, 1985.
“This Court has consistently held that in any contempt case, whether it be civil or criminal, the parties charged with contempt must be given notice of the particular acts that allegedly were in violation of a court’s order. In re Yoho, 171 W.Va. 625, 630, 301 S.E.2d 581, 586 (1983); State ex rel. Koppers Co. v. International Union of Oil, Chemical & Atomic Workers, 171 W.Va. 290, 292, 298 S.E.2d 827, 829 (1982); Syllabus, Doctors Memorial Hospital, Inc. v. Woodruff, 165 W.Va. 324, 267 S.E.2d 620 (1980); Syllabus Point 2, State ex rel. Hoosier Eng’g Co. v. Thornton, 137 W.Va. 230, 72 S.E.2d 203 (1952). Since the UMWA was only given notice of a violation occurring on February 12,1985, it should only have been tried for contempt for its activities on that date. Any acts occurring after the filing of the respondent employers’ motion were not properly the subject of a contempt action based upon the initial motion for contempt.”
Here, the problem was that the majority of the alleged contemptuous acts committed by the defendants occurred after the date the contempt petition was filed. We have stressed in our prior cases that a contemnor cannot be convicted of contempt for an incident on which he was never charged. See Doctors Memorial Hosp., Inc. v. Woodruff, 165 W.Va. 324, 326, 267 S.E.2d 620, 621 (1980) (“[O]ne cannot be convicted of violating something of which he has not been adequately charged.”). We spoke to the inappropriateness of this sort of procedure in State ex rel. Hoosier Eng’g Co. v. Thornton, 137 W.Va. 230, 239, 72 S.E.2d 203, 208 (1952):
“To hold that any violation of an injunction decree can be proved if it occurred after service of notice of the issuance of the injunction, whether or not charged in any pleading, would be tantamount to holding that a defendant could be convicted upon proof without having had any notice of the charge against which he was entitled to defend himself.”
PG & H argues that the contemnor could have discovered these additional acts of contempt by way of information turned over under their request for a bill of particulars. It appears this is a reference to photographs and incident reports filed by [574]*574the security agency hired by PG & H to protect the premises during the strike. We are not cited nor are we aware of any law that would support this proposition. Such a rule would require the defendant to anticipate what charges of contempt the con-temnee had in mind.
Nor are we persuaded by PG & H’s argument that after the evidence was developed at trial on the uncharged incidents, it could then move to amend its pleading under Rule 15(b) of the Rules of Civil Procedure.6 Because of our historic rule regarding the quasi-criminal nature of contempt, and its companion corollary of notice in advance of trial,7 we do not believe that Rule 15(b) is applicable to a contempt trial on a preliminary injunction.
It is, of course, possible for a contemnee to file additional contempt charges after the original filing, and these may be consolidated with or tried separately from the original charges. This was the procedure followed in Cross Co. v. United Auto., Aircraft, Agric., Implement Workers, 377 Mich. 202, 139 N.W.2d 694 (1966), in which the Michigan Supreme Court upheld a finding of contempt against a local union and eight of its members for violation of a temporary injunction prohibiting mass picketing and related activities.8 See also L & J Equip. Co. v. United Mine Workers of Am., 339 Pa.Super. 51, 488 A.2d 303 (1985); Charles Mfg. Co. v. United Furniture Workers, 361 So.2d 1033 (Ala.1978).
The trial court should not have permitted any evidence to be admitted concerning subsequent acts that were not covered in the original contempt petition. Much of the evidence introduced at the jury trial on the contempt issue related to events which occurred after the filing of the contempt petition. This evidence was erroneously admitted and undoubtedly considered by the jury in finding the defendants guilty of contempt. This evidence was also further considered by the trial court in fixing the amount of damages. The failure to follow proper contempt procedure is reversible error, as we clearly indicated in Maynard and our other cases.
III. IMPUTATION OF LIABILITY TO THE UNIONS
The Unions contend the trial court improperly instructed the jury that they had an affirmative duty to take steps to stop their members from violating the court’s order.9 They argue that neither our com[575]*575mon law nor the labor relations statutory law of this country justified the trial court’s instructions. We begin by noting that the injunction and the subsequent contempt charges arose out of a claim that the union members had engaged in mass picketing and a further claim that violence and intimidation had occurred. Following United States Supreme Court precedent, we recognized in United Maintenance and Mfg. Co., Inc. v. United Steelworkers of Am., 157 W.Va. 788, 204 S.E.2d 76 (1974), that state courts retain jurisdiction to enjoin nonpeaceful picketing, stating in Syllabus Point 1:
“Where jurisdiction over a labor dispute has not been preempted by National Labor Relations Board jurisdiction, a state may regulate picketing by injunction if the injunction has a reasonable basis in prevention of disorder, protection of life or property, or promotion of the general welfare as defined by state [576]*576law; however, such injunction must be specifically directed to acts or conduct which are designed to accomplish an illegal purpose, and not include those which keep within the protected area of free speech.”
Because we are involved with a state-created right, the contempt power, we are not necessarily bound by federal labor law in determining the question of the Unions’ liability for the actions of their members in violating the court order. However, it is clear under federal law, independently of any labor statute, that the Unions’ liability rests upon the common law doctrine of respondeat superior, which was first expressed in United Mine Workers of Am. v. Coronado Coal Co., 259 U.S. 344, 395, 42 S.Ct. 570, 577-78, 66 L.Ed. 975, 982 (1922):
“The argument of counsel for the plaintiffs is that because the National body had authority to discipline District organizations, to make local strikes its own and to pay their cost, if it deemed it wise, the duty was thrust on it when it knew a local strike was on, to superintend it and prevent its becoming lawless at its peril. We do not conceive that such responsibility is imposed on the National body. A corporation is responsible for the wrongs committed by its agents in the course of its business, and this principle is enforced against the contention that torts are ultra vires of corporation. But it must be shown that it is in the business of the corporation. Surely no stricter rule can be enforced against an unincorporated organization like this.” 10
Furthermore, as Justice Brennan pointed out for a unanimous court in Carbon Fuel Co. v. United Mine Workers of Am., 444 U.S. 212, 216-17, 100 S.Ct. 410, 414, 62 L.Ed.2d 394, 399 (1979), Congress in the Labor Management Relations Act, 29 U.S.C. § 185 (1947) (Taft-Hartley Act),
“provided in § 301(b) that a union ‘shall be bound by the acts of its agents’ and in § 301(e) provided that the common law of agency shall govern ‘in determining whether any person is acting as an agent of another person.’ ... Congress’ reason for adopting the common-law agency test, and applying to unions the common-law doctrine of respondeat superior, follows the lead of Mr. Chief Justice Taft in Colorado Coal Co. v. Mine Workers. ...”11
While the federal rule set out above applies to suits for damages against a union, there is accorded a different standard to situations which fall within the Norris-La-Guardia Act, 29 U.S.C. § 106 (1931). As pointed out in note 6 of Carbon Fuel, 444 U.S. at 216, 100 S.Ct. at 414, 62 L.Ed.2d at 399, Congress has set a higher standard of proof to affix union responsibility in cases where damages are sought for violation of a contempt order: “[T]he Norris-LaGuar-dia Act ... requires ‘clear proof of actual participation in, or actual authorization of, such acts, or of ratification of such acts after actual knowledge thereof.’ 29 USC § 106 [29 USCA § 106] (emphasis supplied).”
Several state courts, in the absence of any state statutory standards, have adopted this standard of clear proof in order to harmonize their law with the federal law. The Kansas Supreme Court in Hiestand v. Amalgamated Meatcutters and Butcher Workman of N. Am., 233 Kan. 759, 763-64, 666 P.2d 671, 675 (1983), made this analysis:
“Consistency between our state and federal courts would be obtained by [577]*577adopting the clear proof standard of § 6. The United States Supreme Court in Mine Workers v. Gibbs, 383 U.S. at 737, 86 S.Ct. at 1144, held 29 U.S.C. § 106 applied to federal court adjudications of state tort claims arising out of labor disputes. Forum shopping would not loom as a possibility. Plaintiffs would have no reason to commence actions in state courts attempting to avoid the clear proof standard of federal courts thereby bypassing Congressional intent. Defendant unions would have no reason to attempt removal to federal courts in an effort to obtain the added protection of the clear proof standard. In addition, consistency in the state and federal courts regarding the burden of proof would eliminate the injustice to those litigants having no right to federal jurisdiction. One may prevail in the state system but fail in the federal system under the same factual situation due to the different burdens of proof required.”
We have not had occasion to establish a specific standard for determining a union’s liability for damages resulting from the violation of a preliminary injunction order. We need not make such determination in this case as the trial court’s instructions were erroneous even under the common agency theory of liability. Both Carbon Fuel and the earlier Coronado Coal cases demonstrate there is no affirmative duty placed on the union to take action to prevent the misconduct of members. Courts since Carbon Fuel have uniformly concluded that a union cannot be held liable on the theory that it did not take all reasonable efforts to prevent or terminate a strike or to control illegal picketing. For liability to attach against a union, it must be shown that through its officials, the union participated in, encouraged, or ratified the misconduct. E.g., Yellow Bus Lines, Inc. v. Drivers’ Chauffeurs & Helpers Local Union 639, 839 F.2d 782 (D.C.Cir.1988); Consolidation Coal Co. v. Local 2216, United Mine Workers of Am., 779 F.2d 1274 (7th Cir.1985); Hardline Elect., Inc. v. Int’l Bhd. of Elect. Workers, Local 1547, 680 F.2d 622 (9th Cir.1982); California Trucking Ass’n v. Bhd. of Teamsters & Auto Truck Drivers, Local 70, 679 F.2d 1275 (9th Cir.1981); Consolidation Coal Co. v. United Mine Workers of Am., Local 1261, 725 F.2d 1258, 1261 (10th Cir.1984); Prater v. United Mine Workers of Am., Districts 20 and 23, 793 F.2d 1201 (11th Cir.1986); American Bridge Div., United States Steel Corp. v. Int’l Union of Operating Engineers, Local 487, 772 F.2d 1547 (11th Cir.1985); Alabama Power Co. v. Local Union No. 1333, Laborer’s Int’l Union of N. Am., 734 F.2d 1464 (11th Cir.1984); Old Ben Coal Co. v. Local Union No. 1487 of United Mine Workers of Am., 601 F.Supp. 1061 (S.D.Ill.1984).12
The evidence does not clearly and convincingly establish agency such that the International, District, or local union can be held in contempt. It is undisputed that no officer or official representative of the International or District committed any of the contumacious acts or was present when any such proven acts were committed. While the International did authorize the selective strike and pay strike benefits, the uncontroverted evidence shows that the picketers were given written instructions [578]*578telling them to engage in only peaceful picketing. The International also conducted formal instructional classes and gave follow-up instructions not to engage in violent picketing.
International officials went to the picket line periodically and not only repeated those instructions on nonviolence, but also removed persons who should not have been there or who had been accused of violating the Unions’ picketing rules. The International specifically prohibited drinking of alcoholic beverages and threatened suspension of strike benefits for noncompliance. In addition, shortly after the temporary injunction order was entered, International officials informed the strikers that the court order had to be obeyed. There was no showing that the District officials or local union officials were in any manner advising, encouraging, or ratifying any of the unlawful acts.
PG & H places a great deal of reliance on Consolidation Coal Co. v. Local 1702, United Mine Workers of Am., 709 F.2d 882 (4th Cir.1983), but we believe it inapplicable to the facts of this case. The principal issue discussed was whether a local union could be found liable under a “mass action” theory because all of its members, including the local union officials, had engaged in a “wildcat strike” over the suspension of a union member. Generally, the mass action theory fixes liability on the union itself where all of its members take the same action in concert.
The question in Consolidation Coal was whether Carbon Fuel had eliminated this theory of union liability by virtue of this language: “Congress limited the responsibility of unions for strike in breach of contract to cases when the union may be found responsible according to the common law rule of agency.” 444 U.S. at 216, 100 S.Ct. at 413, 62 L.Ed.2d at 399. The Fourth Circuit in Consolidation Coal found that the mass action theory was still available as a means of affixing liability against a local union in addition to the traditional agency theory.13 However, PG & H admits in its brief that “[t]he mass action theory is not pertinent to this appeal.”
To the extent that Consolidation Coal holds that the failure of local union officials to use reasonable efforts to return striking miners to work is evidence of the union’s ratification of the strike, we find it to be completely at odds with Carbon Fuel and decline to follow it. We have not encountered a single court since Carbon Fuel, except Consolidation Coal, which has imposed liability upon a union under common law agency principles for its failure to take reasonable action to get its members back to work.
The jury instructions under the foregoing law were erroneous and should not have been given. Furthermore, under the evidence, we find that the unions were not shown to be liable under a common law agency theory since they did not authorize or ratify the misconduct. Had it not been for the misconception, as shown by the jury instructions, that the unions could be held liable for failing to take all reasonable precautions to stop the misconduct, the case should not have been submitted to the jury.14
For the foregoing reasons, the judgment of the Circuit Court of Kanawha County is reversed.
Reversed.
McHUGH, C.J., concurs and reserves the right to file a concurring opinion.
BROTHERTON and NEELY, JJ., dissent and reserve the right to file dissenting opinions.