Weaver v. Bennett

129 S.E.2d 610, 259 N.C. 16, 1963 N.C. LEXIS 483
CourtSupreme Court of North Carolina
DecidedMarch 6, 1963
Docket387
StatusPublished
Cited by28 cases

This text of 129 S.E.2d 610 (Weaver v. Bennett) is published on Counsel Stack Legal Research, covering Supreme Court of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Weaver v. Bennett, 129 S.E.2d 610, 259 N.C. 16, 1963 N.C. LEXIS 483 (N.C. 1963).

Opinion

Bobbitt, J.

Careful consideration impels the conclusion that the evidence, when considered in the light most favorable to plaintiff, is sufficient to require submission for jury determination of issues as to the alleged negligence of Parrish and as to the alleged contributory negligence of Weaver. Having reached this conclusion, we deem it appropriate to refrain from further discussion of the evidence (relevant to said issues) presently before us. Tucker v. Moorefield, 250 N.C. 340, 342, 108 S.E. 2d 637, and oases cited.

Even so, defendants contend that, under the provisions of G.S. 97-9 and G.S. 97-10, plaintiff’s exclusive remedy is against her in *20 testate’s employer and its insurance carrier for compensation as provided in our Workmen’s Compensation Act and Parrish is immune from suit.

In this jurisdiction, an employee subject to the provision® of our Workmen’s Compensation Act, “whose injury arose out of and in the course of his employment, cannot maintain an action at common law against his co-employee whose negligence caused the injury.” Warner v. Leder, 234 N.C. 727, 732, 69 S.E. 2d 6; Bass v. Ingold, 232 N.C. 295, 60 S.E. 2d 114; Essick v. Lexington, 232 N.C. 200, 60 S.E. 2d 106. In Warner, the factual situation in each pertinent prior decision is discussed.

In Warner, this Court, in opinion by Denny, J., (now C.J.), said: “We hold that an officer or agent of a corporation who is acting within the scope of his authority for and on behalf of the corporation, and whose acts axe such as to render the corporation liable therefor, is among those conducting the business of the corporation, within the purview of G.S. 97-9, and entitled to-the immunity it gives; (citations) and that the provision in G.S. 97-10 which gives the injured employee or his personal representative ‘a right to recover damages for such injury, loss of service, or death from any person other than the employer,’ means any other person or party who is a stranger to the employment but whose negligence contributed to the injury. And we further hold that such provision does not authorize the injured employee to maintain an action at common law against those conducting the business of the employer whose negligence caused the injury. To hold otherwise would, in a large measure, defeat the very purposes for which our Workmen’s Compensation Act was enacted. Instead of transferring from the worker to the industry, or business in which he is employed, and ultimately to the consuming public, a greater proportion of the economic loss due to accidents sustained by him arising out of and in the course of his employment, we would, under the provisions for subrogation contained in our Workmen’s Compensation Act, G.S. 97-10, transfer this burden to those conducting the business of the employer to the extent of their -solvency. The Legislature never intended that officers, agents, and employees conducting the business of the employer, should so underwrite this economic loss.”

Under our Workmen’s Compensation Act, as held in the cited decisions, where an employee’s injury or death is compensable the sole remedy against the employer and “those conducting his business” (G.S. 97-9) is that provided by its terms. As noted in Warner, in jurisdictions where the Workmen’s Compensation Act -does not contain a similar immunity clause, fellow workmen are generally treated as *21 third parties within the meaning of the Act. See 30 N.C.L.R. 474. Thus, in Nepstad v. Lambert (Minn.), 50 N.W. 2d 614, 624, discussed below, this statement appears: “It is clear under the Wisconsin law that if one co-employe negligently insurers his fellow employe it is no defense in a suit against him to assert that both were employed under one master.”

The rule stated in Warner has been applied and recognized in subsequent decisions: McNair v. Ward, 240 N.C. 330, 82 S.E. 2d 85; Johnson v. Catlett, 246 N.C. 341, 98 S.E. 2d 458; Wesley v. Lea, 252 N.C. 540, 114 S.E. 2d 350; Jackson v. Bobbitt, 253 N.C. 670, 117 S.E. 2d 806. In each prior decision based on the rule stated in Warmer, the person who was conducting the employer’s business and whose negligence caused the injury was an officer or otherwise in the general employment of the employer of the injured person.

This question is presented: Does the evidence, when considered in the light most favorable to plaintiff, disclose affirmatively that Parrish, at the time Weaver was fatally injured, was conducting the business of Reynolds within the meaning of G.S. 97-9 and therefore, under the provisions of our Workmen’s Compensation Act, immune from suit? The alleged liability of Bennett, if any, rests solely on the doctrine of respondeat superior.

It is noted: The record contains no evidence or stipulation that Weaver and Reynolds on October 17, 1958, were subject to and bound by the provisions of our Workmen’s Compensation Act and that plaintiff has been paid full compensation in accordance with its terms. However, since these facts underlie contentions advanced by both plaintiff and defendants in their briefs, our further discussion assumes the existence of such facts.

Pertinent evidential facts are as follows:

The Unit Backhoe was one of some twenty pieces of equipment covered by a “purchase order” dated June 18, 1958, from Reynolds to Bennett. By its terms, Bennett agreed to furnish the equipment listed therein at locations in Forsyth and Stokes Counties specified by Reynolds during the period of one year beginning July 1, 1958. Bennett agreed to furnish a competent operator and all fuel for each piece of equipment. Bennett also agreed to keep in force at all times “(sufficient public liability and property damage insurance to protect the R. J. Reynolds Tobacco Company against any and all claims for damage in connection with use >of said equipment. . .” Reynolds agreed to pay a specified amount per hour for each piece of equipment, the operator and the fuel. For the period October 16-October 22, 1958, the *22 amount paid by Reynolds to Bennett under this contract exceeded $6,000.00.

The rental of such equipment upon such terms was in the regular course of Bennett’s business. The equipment was operated over an extended period on the premises .of Reynolds and for the benefit of Reynolds.

The Unit Backhoe was a complicated machine. Operation thereof required skill and experience. Its two clutches and seven levers required "... a certain rhythm, like playing a piano, to run a unit backhoe.” Parrish operated the Unit Backhoe and did the field maintenance. He was a competent operator of long experience.

Parrish had worked for Bennett for .nearly twenty years. Bennett paid him by the week, after first deducting taxes, insurance, and social security. Bennett gave him his W-2 form on taxes withheld by Bennett. Reynolds never paid Parrish. Parrish turned in his time to Bennett’s foreman on the Brook Cove project and not to Reynolds. When Parrish wanted time off, Bennett (not Reynolds) granted such permission.

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Bluebook (online)
129 S.E.2d 610, 259 N.C. 16, 1963 N.C. LEXIS 483, Counsel Stack Legal Research, https://law.counselstack.com/opinion/weaver-v-bennett-nc-1963.