Van Biene v. ERA Helicopters, Inc.

779 P.2d 315, 1989 Alas. LEXIS 103, 1989 WL 96955
CourtAlaska Supreme Court
DecidedAugust 18, 1989
DocketS-2571
StatusPublished
Cited by15 cases

This text of 779 P.2d 315 (Van Biene v. ERA Helicopters, Inc.) 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
Van Biene v. ERA Helicopters, Inc., 779 P.2d 315, 1989 Alas. LEXIS 103, 1989 WL 96955 (Ala. 1989).

Opinion

OPINION

MOORE, Justice.

I. INTRODUCTION

This appeal arises out of litigation by the estates of two airline pilots who died in an airplane crash while employed by ERA Helicopters, Inc. (ERA). The estates seek recovery against ERA for the intentional tort of “overworking” the two deceased pilots and against Employers Insurance of WAU-SAU (WAUSAU), ERA’s workers’ compensation carrier, for its negligence in the inspection, certification, authorization, and approval of ERA’s working conditions.

For the reasons set forth below, we affirm the trial court’s dismissal of the claims against ERA and the claims against the “Doe defendants.” We reverse the trial court’s dismissal of the claims against WAUSAU.

II. FACTS AND PROCEEDINGS

Stanley Thomson and Michael Van Biene were pilots employed by ERA. At 2:00 a.m. on August 20, 1985, ERA dispatched them to fly a Learjet to Gulkana, Alaska. By completing this mission, Thomson and Van Biene would necessarily violate the Federal Aviation Administration’s (FAA) flight time and duty regulations. The Learjet crashed on approach to the Gulkana airport, killing both pilots. WAUSAU paid compensation for the pilots’ deaths.

In the investigation of the accident, other ERA pilots told the National Transportation Safety Board (NTSB) of lengthy on-duty periods and exhausting flight sched *317 ules. Three captains reported ERA’s disapproval of pilots’ refusals to fly because they were fatigued. One captain believed that ERA intentionally overworked its pilots to increase its profits.

On September 14, 1987, the estates filed their Second Amended Complaint alleging negligence against WAUSAU in their inspection, certification, authorization, and approval of ERA’s working conditions. The complaint made the following allegations against ERA:

On or about August 20, 1985, at 0205 AKDT, Stanley Thomson and Michael Van Biene were Captain and First Officer of Learjet N455JA which was dispatched by defendants ERA, Jet Alaska, and ROWAN for a night flight to Gulka-na, Alaska. The mission dispatch was accomplished without obtaining current weather information and would necessarily exceed the flight time and duty requirements of Plaintiffs, and the aircraft was overweight for appropriate landing. The dispatch of the aircraft under the conditions described and given the preceding flying time of Plaintiffs without rest or sleep, constitutes negligence and gross negligence.

The estates contended at oral argument before the trial judge, and on appeal, that this language alleges an “intentional tort of dispatching [the deceased pilots] for a night flight ... without adequate rest or sleep.” ERA argues that the complaint only alleges negligence against it as an employer, and that therefore, the claim is barred by the exclusivity provision of the Alaska Workers’ Compensation Act, AS 23.30.055.

The estates argue that WAUSAU is a separate legal entity from the employer and thus may be sued for its own negligence as a third party pursuant to AS 23.30.015(a). In response, WAUSAU argues that the exclusivity doctrine also protects it from such a negligence claim and that regardless of any immunity protection, WAUSAU did not owe a duty to the decedents to inspect, certify, authorize or approve ERA’s working conditions.

The superior court granted ERA and WAUSAU’s motions to dismiss under Civil Rule 12(b)(6) on the ground that the Alaska Workers’ Compensation Act provides the workers’ exclusive remedy against an employer or its compensation insurer. The estates appeal.

III. DISCUSSION

A. Did the Court Err in Dismissing the Estates’ Claims Against ERA under Civil Rule 12(b)(6) Instead of Treating It as One for Summary Judgment Under Civil Rule 56?

The estates argue that the trial judge should have treated ERA’s motion to dismiss as one for summary judgment because ERA submitted affidavits and the court did not expressly or affirmatively rule that it was not considering this evidence outside the pleadings.

Civil Rule 12(b) states that when “matters outside the pleading are presented to and not excluded by the court, the motion shall be treated as one for summary judgment and disposed of as provided by Rule 56.” When material outside the pleadings is presented to the trial court, a motion to dismiss “is automatically converted into one for summary judgment unless the court ‘affirmatively’ and ‘expressly’ rules that it is not considering evidence outside of the pleadings.” Adkins v. Nabors Alaska Drilling, Inc., 609 P.2d 15, 21 n. 11 (Alaska 1980).

From our review of the remarks of the judge and counsel during oral argument, we conclude that Judge Ripley expressed his intention not to rely on the affidavits when granting, the motion to dismiss. Consequently, the court correctly dismissed the claims under Rule 12(b)(6) rather than Rule 56.

B. Did the Court Err in Holding that the Estates’ Claim Against ERA Was Barred by the Exclusivity Doctrine of AS 23.30.055?

1) Standard of Review

“A motion to dismiss for failure to state a claim is viewed with disfavor and should *318 rarely be granted.” Mattingly v. Sheldon Jackson College, 743 P.2d 356, 359 (Alaska 1987) (citing Knight v. American Guard & Alert, Inc., 714 P.2d 788, 791 (Alaska 1986)). “In determining the sufficiency of the stated claim it is enough that the complaint set forth allegations of fact consistent with and appropriate to some enforceable cause of action.” Linck v. Barokas & Martin, 667 P.2d 171, 173 (Alaska 1983). The court “is under a duty to examine the complaint to determine if the allegations provide for relief on any possible theory.” Mattingly, 743 P.2d at 359 (emphasis deleted).

2) Application of Exclusivity Doctrine to Intentional Torts of the Employer

Under AS 23.30.055, the liability of an employer under the Workers’ Compensation Act “is exclusive and in place of all other liability of the employer and any fellow employee to the employee, the employee’s legal representative, husband or wife, parents, dependents, next of kin, and anyone otherwise entitled to recover damages from the employer or fellow employee.” See Wright v. Action Vending Co., Inc., 544 P.2d 82, 85 (Alaska 1975).

In Elliott v. Brown, 569 P.2d 1323 (Alaska 1977), we recognized an exception to the exclusivity doctrine in cases of intentional torts committed by a fellow employee or employer. We found that the socially beneficial purposes of the workers’ compensation law “would not be furthered by allowing a person who commits an intentional tort to use the compensation law as a shield against liability.”

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Bluebook (online)
779 P.2d 315, 1989 Alas. LEXIS 103, 1989 WL 96955, Counsel Stack Legal Research, https://law.counselstack.com/opinion/van-biene-v-era-helicopters-inc-alaska-1989.