Wasley v. Kosmatka

184 N.W.2d 821, 50 Wis. 2d 738, 1971 Wisc. LEXIS 1236
CourtWisconsin Supreme Court
DecidedApril 2, 1971
Docket32
StatusPublished
Cited by31 cases

This text of 184 N.W.2d 821 (Wasley v. Kosmatka) is published on Counsel Stack Legal Research, covering Wisconsin Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Wasley v. Kosmatka, 184 N.W.2d 821, 50 Wis. 2d 738, 1971 Wisc. LEXIS 1236 (Wis. 1971).

Opinion

Wilkie, J.

The only issue presented on this appeal is the applicability of the “safe-place statute” to the case. Specifically, the question is whether secs. 101.01 (3) and 101.06, Stats., are applicable. When plaintiff requested Wisconsin civil jury instruction No. 1900 “Safe Place Statute: Injury to Frequenter: Negligence of Employer or Owner,” the trial court ruled that the instruction was not applicable. The court affirmed this ruling in motions after verdict.

Plaintiff’s theory, briefly summarized, is as follows: Although plaintiff has recovered workmen’s compensation for the injuries of her deceased husband, the statutes provide for independent tort actions against a *741 negligent third party. Defendant is an officer of the deceased’s corporate employer; however, at the time of the accident he was acting in the capacity of a co-employee, not in his capacity as president of the corporate employer, and the defendant is therefore subject to a third-party action. 1 In regard to this negligence action, plaintiff’s theory continues, she has a right to hold the defendant not only to the standard of care as to ordinary negligence, but also to the increased standard of care prescribed by sec. 101.06 of the safe-place statute, since defendant comes within the language of see. 101.01 (3) defining “employer.” The defendant by his status of corporate president had the type of supervisory control of the employment and place of employment which is contemplated by sec. 101.01 (3). Plaintiff concludes that the refusal to give the requested safe-place instruction was, therefore, prejudicial error.

The trial court refused to apply sec. 101.06, Stats., and reasoned that the “safe-place” duty was the duty of the employer, not defendant personally. In its decisions on motions after verdict, the court noted:

“The court’s previous rulings in this matter clearly indicate its own disposition in the matter. The logic of the plaintiff’s position is not attacked. It appears to me that it is as much as anything a policy decision; taking the words literally and giving them the full amplitude that the plaintiff would have this court give to the statute, he has spelled out a right under safe place statute; the fact that this is unique, the fact that it has never been presented before, the fact that the supreme court has not ruled upon the question should not necessarily bar the plaintiff from prosecuting this case on that new theory.
*742 “This court is denying it on the grounds that this very substantially expands the theory of tort. . . . [I]f, in fact, it is a sound doctrine of expanding tort liability, then it will have to be appreciated by affirmative action on the part of the supreme court.”

To recognize a third-party action assessing a “safe-place” standard of care against an individual defendant who also is an officer of the corporation (which is the employer for workmen’s compensation benefits) would allow the plaintiff to circumvent the immunity that is granted an employer by the workmen’s compensation statute. 2

True, the workmen’s compensation statute provides that an employee’s right of action against third persons is not abrogated by the workmen’s compensation statute. 3 Although the workmen’s compensation statute contemplates that an employee can bring his third-party-negligence action against a co-employee, the precise question presented here is whether in suing a corporate officer in his capacity as a co-employee, the plaintiff can impose on defendant the increased standard of care that the safe-place law imposes on an “employer” under secs. 101.01 (3) and 101.06, Stats. We think not.

The history and purpose of the safe-place statute must be considered in conjunction with the terms of the Workmen’s Compensation Act, which legislation the safe-place statute was created to complement. While the safe-place statute concerned itself, as pertinent here, with conditions of employment, as distinguished from the Workmen’s Compensation Law, it recognized that violation of the standard of the safe-place law was first necessary in order to apply the increased standard of care imposed by sec. 101.06, Stats. While fault was required in order *743 to gain recovery under the safe-place statute, the rules of fault and causation were dropped out under the workmen’s compensation legislation which allowed an employee to recover from his employer irrespective of whether there was fault and causation. In the early case of Puza v. C. Hennecke Co., 4 this court pointed to the essential relationship of the safe-place statute and Workmen’s Compensation Law by stating:

“. . . These [safe-place] statutes are quite drastic, but there is no mistaking the legislative intention. The remedy of the employer is to bring himself within the Workmen’s Compensation Law. Statutes mentioned were intended to make it uncomfortable for employers who fail to come in under the Compensation Act.” 5

The legislature created an added incentive for the employer to comply with the higher standard imposed by the safe-place statute by providing an additional 15 percent compensation when an employee’s injuries are the result of the employer’s violation of a safety statute. 6 This action further indicates the complementary relationship of the two statutes. Both are designed to hold the employer liable for injuries to his employees which arise from the profit-making business of the employer, with the employer, through insurance and the setting of prices, passing the cost on to the public generally as part of the cost of producing the products they use. The safe-place *744 statute is designed to hold the employer, as distinguished from its agent, liable for a breach of the duties which are imposed by that statute. The employer must provide his employees with a safe place to work, i.e., safe conditions. 7 The working conditions must be as safe as the nature of the place of employment reasonably permits, 8 although the employer does not become an insurer thereby. 9 The duty imposed does not guarantee safety, 10 thereby guaranteeing recovery for injuries; the Workmen’s Compensation Act does that.

The duty to provide safe working conditions is non-delegable, 11 and includes providing reasonably safe equipment 12 for the execution of employment tasks and competent fellow workers. 13 While the employer must be shown to have had knowledge of the unsafe condition, 14

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Bluebook (online)
184 N.W.2d 821, 50 Wis. 2d 738, 1971 Wisc. LEXIS 1236, Counsel Stack Legal Research, https://law.counselstack.com/opinion/wasley-v-kosmatka-wis-1971.