Sauve v. Winfree

907 P.2d 7, 1995 Alas. LEXIS 132, 1995 WL 683205
CourtAlaska Supreme Court
DecidedNovember 17, 1995
DocketS-6478
StatusPublished
Cited by18 cases

This text of 907 P.2d 7 (Sauve v. Winfree) 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
Sauve v. Winfree, 907 P.2d 7, 1995 Alas. LEXIS 132, 1995 WL 683205 (Ala. 1995).

Opinion

OPINION

COMPTON, Justice.

I. INTRODUCTION

Nanette Sauve was injured in a fall down a staircase at her corporate employer’s place of business. Dennis Winfree and Bill Nix are shareholders in and officers of the corporation. Winfree and Nix also own the building that houses the business, but do so through a partnership that they own in its entirety. Although Sauve collected workers’ compensation benefits for her injury, she brought suit in superior court against Nix and Winfree, alleging that they had breached their duty as landlords. Nix and Winfree responded that the exclusive remedy provision of Alaska’s Workers’ Compensation Act made them immune as individuals due to their status as Sauve’s co-employees. Sauve appeals from the court’s ruling that the exclusive remedy provision of the Act bars her suit against Winfree and Nix as individuals based on their co-employee status. We reverse.

II. FACTS AND PROCEEDINGS

Winfree and Nix are shareholders and officers of a corporation. Both also work full-time for the business. Winfree is the corporation’s president; he focuses on marketing and oversight of business operations. Nix is the corporation’s secretary and treasurer; his responsibilities include management of wholesale business operations.

Winfree and Nix also own the building that houses the business, but not through the corporation. Rather, they own the building through a partnership in which they are the only partners.

Sauve, a corporate employee, was injured while working at the building. Sauve damaged her knee in a fall down a staircase that she describes as “steep” and “winding” with “fan-shaped steps.” Due to her fall, Sauve collected workers’ compensation benefits.

Despite collecting these benefits, Sauve filed suit against Winfree and Nix as individuals. She asserted that as owners of the building, Winfree and Nix were negligent in permitting the staircase to be utilized in a condition that she characterizes as “defective.” Specifically, Sauve maintains that the condition of the staircase was a structural flaw that was the responsibility of Winfree and Nix to remedy in their role as landlords.

Winfree and Nix moved for summary judgment, maintaining that the exclusive remedy provision of the Act insulated them from liability since they were Sauve’s co-employees. See AS 23.30.055. The court entered summary judgment in favor of Winfree and Nix. The court decided that the scope of co-employee liability was to be determined by focusing upon whether Sauve’s injury occurred in the scope of her employment. The court observed that this court had rejected the dual-capacity doctrine in the context of an injured worker suing his employer after collecting compensation benefits. It concluded that this rejection applied with equal force to the instant case, where an employee who had received workers’ compensation benefits was suing her co-employees. The court also adopted the reasoning of Justice Burke’s dissent in Elliott v. Brown, 569 P.2d 1323 (Alaska 1977) (Burke, J., dissenting in part), which concluded that the statutory language mandated that workers’ compensation benefits were the exclusive remedy, and that any actions against co-employees were barred. Additionally, the court ordered Sauve to compensate Winfree and Nix for almost $2,500 in attorney’s fees. Sauve appeals.

III.DISCUSSION

A. Standard of Review

The parties agree that the issue before the court is a matter of statutory *9 interpretation. “The interpretation of a statute is a question of law which involves this court’s independent judgment.” Odum v. University of Alaska, Anchorage, 845 P.2d 432, 434 (Alaska 1993). “Our duty is to adopt the rule of law that is most persuasive in light of precedent, reason, and policy.” Guin v. Ha, 591 P.2d 1281, 1284 n. 6 (Alaska 1979).

B. Does the Statute Bar Sauve’s Claim?

Alaska Statute 23.30.055 provides that “[t]he liability of an employer prescribed in AS 23.30.045 is exclusive and in place of all other liability of the employer and any fellow employee to the employee.” (Emphasis added.)

This court has previously employed a narrow reading in interpreting the exclusive remedy provision. In Elliott v. Brown, 569 P.2d 1323 (Alaska 1977), we concluded that despite the statutory language granting co-employees immunity, a fellow employee committing an intentional tort “can be considered to be outside the purview of the statute and can be treated as a third person” subject to liability. Id. at 1327. In reaching this conclusion, the Elliott court considered, inter alia, the “socially beneficial purpose of the workmen’s compensation law” and public policy concerns. Id.

Both the superior court and Winfree and Nix, in adopting the position that the statutory language makes Winfree and Nix immune, rely on Justice Burke’s partial dissent in Elliott. Id. at 1328 (Burke, J., dissenting in part). Justice Burke argued that the statutory language was “too plain to be misunderstood.” Id. He maintained that the legislature had spoken and that the remedy provided by the statute precluded all others. Id.

Justice Burke’s dissent was precisely that: a dissent. Nevertheless, the court relied on the dissent, stating that Elliott was to be limited to intentional tort situations. In Elliott this court rejected the argument that co-employee immunity was absolute: the statutory language alone was not determinative. As in Elliott, policy concerns and the purpose of the legislation indicate that the statutorily-provided immunity should not extend to all acts of persons who happen to be co-employees.

C. Does This Court’s Rejection of the Dual-Capacity Doctrine Bar Sauve’s Claim?

In State v. Purdy, 601 P.2d 258, 260 (Alaska 1979), this court explicitly rejected the dual-capacity doctrine. We held that an employee could not sue her employer for a work-related injury by alleging that the employer was hable in tort as a result of having breached a duty “independent and distinct from his role as an employer.” Id. at 259. In accordance with the superior court’s holding, Winfree and Nix argue that this rejection should also apply to an attempt to sue a co-employee for an injury that is work-related. They rely principally on cases from other jurisdictions that have addressed the issue of a landowner who also is employed in some capacity by the entity that uses the land.

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Cite This Page — Counsel Stack

Bluebook (online)
907 P.2d 7, 1995 Alas. LEXIS 132, 1995 WL 683205, Counsel Stack Legal Research, https://law.counselstack.com/opinion/sauve-v-winfree-alaska-1995.