ATTORNEYS FOR APPELLANT ATTORNEYS FOR APPELLEE
James R. Fisher Danford R. Due
Debra H. Miller Scott E. Andres
Miller & Fisher LLC Due Doyle Fanning LLP
Indianapolis, Indiana Indianapolis, Indiana
Roger L. Pardieck ATTORNEYS FOR AMICUS CURIAE
Karen M. Davis DEFENSE TRIAL COUNSEL OF INDIANA
Susan Boatright Julia B. Gelinas
The Pardieck Law Firm Lucy R. Dollens
Seymour, Indiana Frost Brown Todd LLC
Indianapolis, Indiana
ATTORNEYS FOR AMICUS CURIAE
INDIANA TRIAL LAWYERS ASSOCIATION Donald B. Kite, Sr.
William E. Winingham Gonzalez Saggio & Harlan LLP
John G. Shubat Indianapolis, Indiana
Wilson Kehoe Winingham LLC
Indianapolis, Indiana
______________________________________________________________________________
In the
Indiana Supreme Court Aug 28 2013, 9:10 am
_________________________________
No. 49S04-1212-CT-667
MARY ELIZABETH SANTELLI, AS
ADMINISTRATOR OF THE ESTATE OF
JAMES F. SANTELLI,
Appellant (Plaintiff below),
v.
ABU M. RAHMATULLAH, INDIVIDUALLY
AND D/B/A SUPER 8 MOTEL,
Appellee (Defendant below).
_________________________________
Appeal from the Marion Superior Court No. 4, No. 49D04-0704-CT-014720
The Honorable Cynthia J. Ayers, Judge
_________________________________
On Petition To Transfer from the Indiana Court of Appeals, No. 49A04-1011-CT-704
_________________________________
August 28, 2013
Rucker, Justice.
In this negligence case we address the application of Indiana’s Comparative Fault Act to
the issue of fault allocation in a specific context: that in which a premises owner has a duty to
protect a business invitee from the foreseeable criminal act of a third party.
Facts and Procedural History
On October 16, 2005, plaintiff James Santelli was robbed and murdered inside his room
in an Indianapolis-area motel owned by defendant, Abu Rahmatullah. Santelli was a resident of
Illinois and had rented a room at the motel while he worked on a local construction project. In
criminal proceedings the murderer, Joseph Pryor, pleaded guilty to the murder and Class B
felony robbery of Santelli and was sentenced to 85 years in the Department of Correction. See
Pl’s Ex. 90; Pryor v. State, No. 49A02-0709-CR-804, slip op. at 2-3, 2008 WL 1758752, at *1
(Ind. Ct. App. April 18, 2008). On April 5, 2007, Santelli’s estate (“the Estate”) filed a
complaint against Rahmatullah in Marion Superior Court alleging Rahmatullah breached his
duty to Santelli to maintain the motel in a reasonably safe manner, causing Santelli’s death.
Rahmatullah asserted a defense naming Pryor as a liable non-party, and also alleging Santelli
was partially responsible for his own death. The case proceeded to a five-day jury trial in July
2010.
The evidence adduced at trial showed that Rahmatullah’s motel was located in a high
crime area and had been the scene of four armed robberies in less than four years prior to the
murder, two of which occurred within six months of Santelli’s death in 2005. See Tr. at 206-09.
Prostitution and drugs were prevalent at the motel to a degree that undercover police considered
renting a room there. See Tr. at 414. About a month before the murder, Rahmatullah hired
Pryor as a maintenance man and gave him a master keycard to the motel without inquiring into
his criminal history. At the time Rahmatullah hired him, Pryor was a convicted felon, was on
probation, and was the subject of an outstanding warrant for violating that probation. Pryor
walked off the job after two days of work and Rahmatullah neither confiscated nor deactivated
Pryor’s working keycard, which remained in Pryor’s possession at the time of the murder. See
Tr. at 450, 451, 485-86. Although there were no signs of forced entry to Santelli’s room, there
was also no evidence Pryor used the keycard to gain entry. Santelli had stayed at the same motel
in prior years while working on other jobs. Police and expert testimony indicated security
2
procedures at the motel were lax. The motel’s only security cameras were in the lobby and the
pool area and these were not monitored. Tr. at 303-04. Rahmatullah failed to keep exterior
doors consistently closed and locks in working order. Tr. at 457, 484, 499-501, 510.
After the parties rested, the Estate tendered the following final jury instruction, which the
trial court denied:
If you find that the Defendant or his employees should have
reasonably foreseen the criminal conduct on the premises could
result in the death of a guest, then you are to find that the
Defendant is at fault for Pryor’s actions as well as for the
Defendant’s own negligence . . . .
Tr. at 707. Among other things, the trial court instructed the jury on negligence, incurred risk,
proximate cause, non-party fault, reasonable foreseeability, a landowner’s duty to invitees, and
apportionment of fault.1
On July 16, 2010 the jury returned a verdict finding total damages in the amount of
$2,070,000.00 and apportioning the fault for Santelli’s death as follows: 1% to Santelli, 2% to
Rahmatullah, and 97% to Pryor, resulting in an award to the Estate of $41,400.00. App. at 184-
85. The trial court entered judgment on July 26, 2010. On August 25, 2010 the Estate filed its
Motion to Correct Errors and for New Trial, which Rahmatullah opposed. The trial court held a
hearing on the motion on September 27, 2010, during which the court directed the parties to
1
More specifically, in part the trial court instructed the jury in the following order that: (1) this case is
governed by the Indiana law of comparative fault; (2) the type of fault at issue in this case is negligence,
which is the failure to use reasonable care; (3) a plaintiff incurs risk of injury where “he or she actually
knew of a specific danger, understood the risk involved and voluntarily exposed himself or herself to that
danger”; (4) “[a]n act or omission is a proximate cause of a death if the death is a natural and probable
consequence of the act or omission”; (5) the defendant must prove his defenses—that Santelli incurred the
risk of his death and that Pryor is at fault for Santelli’s death—by a preponderance of the evidence; (6) a
determination of negligence depends upon whether the injury could have been reasonably expected to
result from a person’s act or omission; (7) “[a] landowner’s duty to business invitees includes a duty to
exercise reasonable care and to protect them from the foreseeable dangerous behavior of others on the
premises” but a landowner is not required to insure the safety of invitees; (8) Santelli was an invitee on
Rahmatullah’s property; (9) a property owner is liable for harm to invitees caused by a condition of the
property only if the owner “knows of the condition or by the exercise and [sic] reasonable care should
discover the condition and should realize that the condition involves an unreasonable risk”; (10) fault, if
any, must be apportioned on a percentage basis between Santelli, Rahmatullah, and Pryor and the
apportionment must total 100%. Tr. at 788-90, 794.
3
submit proposed findings of fact and conclusions of law no later than October 25, 2010. On
November 5, 2010, the trial court issued its findings, conclusions, and judgment granting in part
and denying in part the Estate’s motion and ordering a new trial limited to the issue of fault
allocation.
Both parties filed notices of appeal from the trial court’s order. Rahmatullah asserted the
November 5 order was untimely and should be treated as deemed denied under Indiana Trial
Rule 53.3 while the Estate appealed the trial court’s partial denial of its motion, and from any
deemed denial of the motion for untimeliness. On Rahmatullah’s motion the appeals were
consolidated and the parties and their amici briefed the merits. The Court of Appeals presumed
the Estate’s motion to correct errors was deemed denied by the trial court and then considered
the merits of the parties’ arguments. The Court determined that Indiana had previously
employed the “very duty” doctrine, held that a jury instruction on the doctrine would be proper
on retrial because the doctrine had survived the adoption of the Indiana Comparative Fault Act,
and adopted the Restatement (Third) of Torts § 14 to implement the doctrine in Indiana. See
Santelli v. Rahmatullah, 966 N.E.2d 661 (Ind. Ct. App. 2012). The Court of Appeals also opined
on the admissibility of certain evidence on retrial. We previously granted transfer, thereby
vacating the opinion of the Court of Appeals. See Appellate Rule 58(A). We now address the
status of the trial court’s November 5 order and the application of Indiana’s Comparative Fault
Act to the facts in this case.
Discussion
I.
The Trial Court’s November 5, 2010 Order
The Estate’s motion to correct error alleged the trial court erred by: (1) permitting the
jury to allocate fault to Pryor; (2) rejecting the Estate’s tendered instruction which “would have
informed the jurors that they could find [Rahmatullah] liable” for Pryor’s criminal act if a death
caused by crime was reasonably foreseeable; and (3) excluding certain evidence — namely, of a
prior criminal-police shootout at the motel and of the criminal histories of other motel
employees. See App. at 190. The Estate also contended more generally that “in light of all of
the evidence that was admitted, the jury’s verdict allocating 1 percent of the fault to James
4
Santelli and only 2 percent of the fault to [Rahmatullah] was against the greater weight of the
evidence.” Id.
A. Timeliness of the Order
The trial court held a hearing on the Estate’s motion to correct error on September 27,
2010. The trial court entered its findings of fact, conclusions of law, and order forty days later,
on November 5, 2010. Trial Rule 53.3 addresses the time limitations for ruling on motions to
correct error and provides in pertinent part:
(A) Time limitation for ruling on motion to correct error. In the
event a court fails for forty-five (45) days to set a Motion to
Correct Error for hearing, or fails to rule on a Motion to Correct
Error within thirty (30) days after it was heard or forty-five (45)
days after it was filed, if no hearing is required, the pending
Motion to Correct Error shall be deemed denied. Any appeal shall
be initiated by filing the notice of appeal under Appellate Rule
9(A) within thirty (30) days after the Motion to Correct Error is
deemed denied.
(B) Exceptions. The time limitation for ruling on a motion to
correct error established under Section (A) of this rule shall not
apply where:
***
(2) The parties who have appeared or their counsel stipulate or
agree on record that the time limitation for ruling set forth under
Section (A) shall not apply; or
(3) The time limitation for ruling has been extended by Section
(D) of this rule.
***
(D) Extension of time for ruling. The Judge before whom a
Motion to Correct Error is pending may extend the time limitation
for ruling for a period of no more than thirty (30) days by filing an
entry in the cause advising all parties of the extension. Such entry
must be in writing, must be noted in the Chronological Case
Summary before the expiration of the initial time period for ruling
set forth under Section (A), and must be served on all parties.
Additional extension of time may be granted only upon application
to the Supreme Court as set forth in Trial Rule 53.1(D).
Ind. Trial Rule 53.3. Rahmatullah contends that because the trial court failed to rule on the
motion by October 27 — within thirty days of the hearing — it was deemed denied pursuant to
5
Rule 53.3(A). The Estate counters that the order was timely pursuant to Rule 53.3(B)(2) based
on the schedule agreed to by the court and the parties.
At the close of the hearing, the trial court directed the parties to provide proposed
findings of fact and conclusions of law. The trial court expressed the need for findings and
conclusions given the complexity of the issues in this case, and the submission schedule was
discussed as follows:
[Court]: . . . So this is September the 27th. A couple of weeks [to prepare
proposed findings and conclusions] do you think? [Rahmatullah’s
counsel], I know you have a very busy schedule.
[Rahmatullah’s counsel]: Yeah, that would be alright.
[Court]: Alright. . . . Let’s make it the 20th of October because I have another
jury starting tomorrow. I won’t have time to look at it this week. I
mean, even if I got them I wouldn’t be able to do much with it. So that
gives you plenty of time and give me some time to review your
findings of facts and conclusions once I get them. The 20th is a
Wednesday. Is that not a good date for you [Estate’s counsel]?
[Estate’s counsel]: Your Honor, could that be moved out to the following
Monday. We have a jury trial starting on the 17th of October.
[Court]: Okay. . . . The 25th of October?
[Estate’s counsel]: Yes, the 25th. That would be appreciated.
[Court]: That’s fine with me. Alright. Then the findings of facts and
conclusions are due on the 25th and then the order will be out just as
soon as I can get to it after that.
Hrg. Tr. at 26. On the record, and with the acquiescence of both parties, the trial court set a
specific date for the parties’ submissions of twenty-eight days after the hearing and stated its
ruling would follow as soon as possible thereafter. This comports with the time limitation
exception in Rule 53.3(B)(2) that “[t]he parties who have appeared or their counsel stipulate or
agree on record that the time limitation for ruling set forth under Section (A) shall not apply.”
We thus find the trial court’s November 5, 2010 order timely and now proceed to appellate
review of that order.
6
B. Standard of Review for the Order
The Estate pursued its motion to correct error on the basis that “[a] modification of the
verdict or new trial in this case is warranted under Indiana Trial Rule 59(J)(1), (3), (5) and (7)
because the jury’s award of $41,400 against the Defendant was insufficient.” App. at 190. Trial
Rule 59(J) is entitled “Relief granted on motion to correct error” and “allows for the court to
correct any error it determines to be ‘prejudicial or harmful.’” Wisner v. Laney, 984 N.E.2d
1201, 1204 (Ind. 2012) (quoting Ind. Trial Rule 59(J)).2 Among other forms of relief the Rule
specifically “authorizes trial courts to grant new trials to correct an error in prior proceedings.”
Walker v. Pullen, 943 N.E.2d 349, 352 (Ind. 2011).
2
The Rule provides in pertinent part:
The court, if it determines that prejudicial or harmful error has been committed, shall take
such action as will cure the error, including without limitation the following with respect
to all or some of the parties and all or some of the errors:
(1) Grant a new trial; . . .
(3) Alter, amend, modify or correct judgment; . . .
(5) In the case of excessive or inadequate damages, enter final judgment on the evidence
for the amount of the proper damages, grant a new trial, or grant a new trial subject to
additur or remittitur; . . .
(7) In reviewing the evidence, the court shall grant a new trial if it determines that the
verdict of a non-advisory jury is against the weight of the evidence; and shall enter
judgment, subject to the provisions herein, if the court determines that the verdict of a
non-advisory jury is clearly erroneous as contrary to or not supported by the evidence, or
if the court determines that the findings and judgment upon issues tried without a jury or
with an advisory jury are against the weight of the evidence.
In its order correcting error the court shall direct final judgment to be entered or shall
correct the error without a new trial unless such relief is shown to be impracticable or
unfair to any of the parties or is otherwise improper; and if a new trial is required it shall
be limited only to those parties and issues affected by the error unless such relief is
shown to be impracticable or unfair. If corrective relief is granted, the court shall specify
the general reasons therefor. When a new trial is granted because the verdict, findings or
judgment do not accord with the evidence, the court shall make special findings of fact
upon each material issue or element of the claim or defense upon which a new trial is
granted. Such finding shall indicate whether the decision is against the weight of the
evidence or whether it is clearly erroneous as contrary to or not supported by the
evidence; if the decision is found to be against the weight of the evidence, the findings
shall relate the supporting and opposing evidence to each issue upon which a new trial is
granted; if the decision is found to be clearly erroneous as contrary to or not supported by
the evidence, the findings shall show why judgment was not entered upon the evidence.
T.R. 59(J).
7
We generally review a trial court’s ruling on a motion to correct error for an abuse of
discretion. See, e.g., Speedway SuperAmerica, LLC v. Holmes, 885 N.E.2d 1265, 1270 (Ind.
2008); Walker, 943 N.E.2d at 351. In so doing, we afford the trial court’s decision “a strong
presumption of correctness.” Walker, 943 N.E.2d at 351 (citing Weida v. Kegarise, 849 N.E.2d
1147, 1154 (Ind. 2006)). But where a trial court grants a new trial under Rule 59(J), it must
provide findings of fact “sufficient to demonstrate why the jury verdict should be cast aside,” id.
at 350, and “[t]he strong presumption of correctness only arises if the court’s decision is
supported by the special findings required by Trial Rule 59(J).” Id. at 352 (citing Weida, 849
N.E.2d at 1154). Such findings demonstrate that when acting under Rule 59(J) as a “thirteenth
juror” the trial court fulfills its duty to “sift and weigh the evidence and judge witness
credibility.” Ho v. Frye, 880 N.E.2d 1192, 1196 (Ind. 2008) (quoting Keith v. Mendus, 661
N.E.2d 26, 31 (Ind. Ct. App. 1996), trans. denied).
Where a new trial is granted because the jury’s decision is “against the weight of the
evidence,” Rule 59(J) requires that the trial court’s findings of fact “relate the supporting and
opposing evidence to each issue upon which a new trial is granted.” Keith, 661 N.E.2d at 32
(quoting T.R. 59(J)). Alternatively, “where the trial court grants a new trial on the basis that the
decision of the jury is ‘clearly erroneous as contrary to or not supported by the evidence’ then the
findings need only ‘show why judgment was not entered upon the evidence.’” Id. (quoting T.R.
59(J); Wedmore v. Jordan Motors, Inc., 589 N.E.2d 1180, 1183 (Ind. Ct. App. 1992), trans.
denied). See also Weida, 849 N.E.2d at 1151-52, 1153 (explaining the difference in the trial
court’s obligations under each scenario, the reasons the court must relate supporting and
opposing evidence when acting as a “thirteenth juror,” and recognizing this as a sober
responsibility because “compliance with the arduous and time-consuming requirements of the
Rule . . . provides assurance to the parties and the courts that the judge’s evaluation of the
evidence is better than the evaluation of the jury”) (quoting Nissen Trampoline Co. v. Terre
Haute First Nat’l Bank, 358 N.E.2d 974, 978 (Ind. 1976).
C. Analysis of the Order
The trial court’s order granting a new trial spanned nine pages and included twelve
specific points of litigation history, five general findings of fact which within them included
8
twenty specific factual findings based on particular evidence presented at trial, and nine detailed
conclusions of law. Among these were:
5. Joseph Pryor confessed to robbing and killing Mr. Santelli and was sentenced
to 85 years in prison for these crimes.
13. The evidence presented at trial was sufficient to establish the foreseeability of
a criminal assault on a guest in his motel room. That evidence included, but was
not limited to, the following: . . . [listing four specific facts].
14. There was significant evidence of Defendant’s failure to protect motel guests,
including Mr. Santelli, from the foreseeable risk of violent criminal activity,
including but not limited to the following: . . . [listing eleven specific facts].
15. The evidence was sufficient to support the jury’s conclusion that the
negligent acts and omissions of Defendant, Rahmatullah, were a substantial factor
in the death of James Santelli, which evidence included, but was not limited to the
following: . . . [listing five specific facts].
17. The exact mode of entry into the motel room by Mr. Pryor was not
conclusively proven by the evidence. Several theories were introduced as to how
entry was achieved. The only evidence at trial that supported an allocation of
fault to James Santelli was the allegation that Mr. Santelli may have voluntarily
opened the door to his room when the murderer entered. Since there were no
eyewitnesses, no evidence was presented as to the exact exchange between Mr.
Santelli and Mr. Pryor at the moment Pryor entered the motel room. Evidence
was presented that the murderer was in possession of a working pass key to the
room that had been provided to him by the Defendant, Rahmatullah, which gave
him the ability to enter the room even if it had been locked.
22. Defendant Rahmatullah breached his duty of care to Santelli when
defendant’s motel hired Pryor, gave him a master key card, allowed him to leave
employment with the key card after approximately two days, allowed him to
return, failed to take measures to prevent further use of the key card, failed to
conduct a criminal background check, failed to monitor the visible security
cameras, failed to staff the hotel with trained security personnel, allowed outside
doors to frequently remain unlocked or propped open and unmonitored at night
despite stated policies that they be kept locked, and failed to maintain the lock
system in order to save money resulting in inoperable locks; all despite
defendant’s knowledge that the motel was in a high crime area and had been the
site of substantial prior criminal activity.
23. Defendant Rahmatullah’s breach of care was a substantial factor in Mr.
Santelli’s death, as he afforded the murderer, Pryor, an opportunity to access
Santell[i]’s room, where he killed Santelli.
9
25. The jury’s allocation of 97% fault to the non-party, Pryor, apparently
indicated the jurors’ confusion while weighing Pryor’s conduct, as compared to
Rahmatullah’s conduct, in addition to allocating fault between the parties and at
the same interpreting and applying the jury instruction given to them on
proximate/responsible cause.
App. at 260-67.
The trial court gave the following reasons for granting the motion to correct error: (1)
“[t]he jury’s allocation of fault was against the weight of the evidence”; and (2) “the jury’s
verdict was clearly erroneous[,] contrary to[,] and not supported by the evidence.” App. at 265.
At the end of its order, the court reiterated:
[T]he Court grants the Motion to Correct Error on the issue of the
allocation of fault percentages and finds that the allocation of 97%
fault to the criminal, and only 2% fault to the negligent Defendant,
is contrary to the weight of the evidence, for all of the reasons set
forth above. . . . The verdict’s fault allocation between the
Plaintiff, Defendant and non-party, Pryor, was against the weight
of the evidence.
Id. at 267. Although the trial court at one point uses the language “clearly erroneous[,] contrary
to[,] and not supported by the evidence” it is clear from its multiple pronouncements about
weighing the evidence that the court was acting as a thirteenth juror and determined the jury’s
decision to be against the weight of the evidence. The court was thus bound under Trial Rule
59(J) to “relate the supporting and opposing evidence to each issue upon which a new trial is
granted.” Here, the court provided extensive findings and conclusions relating in detail the
supporting and opposing evidence bearing on the issue of fault allocation. The order
demonstrates that the trial court “sift[ed] and weigh[ed] the evidence and judge[d] witness
credibility” thus satisfying the provisions of Rule 59(J). Keith, 661 N.E.2d at 31. Its decision to
grant a new trial is therefore entitled to a strong presumption of correctness on appeal. See
Walker, 943 N.E.2d at 351. We find the trial court was well within its discretion in determining
that “a contrary result should have been reached in the minds of reasonable men.” Weida, 849
10
N.E.2d at 1152 n.4 (quoting Huff v. Travelers Indem. Co., 363 N.E.2d 985, 994 (Ind. 1977)).
The trial court’s order granting a new trial is affirmed.3
Although the trial court agreed with the Estate’s contention that the jury’s allocation of
fault was against the weight of the evidence, it summarily denied the remainder of the Estate’s
motion, including the trial court’s alleged errors of (1) permitting the jury to allocate fault to
Pryor; (2) rejecting the Estate’s tendered instruction which “would have informed the jurors that
they could find [Rahmatullah] liable” for Pryor’s criminal act if a death caused by crime was
reasonably foreseeable; and (3) excluding evidence of a prior criminal shootout at the motel. See
App. at 190, 259. The Estate maintains this was error. Again we apply an abuse of discretion
standard on review, which requires that we reverse the trial court’s judgment only if it was
“clearly against the logic and effect of the facts and circumstances before it” or if the trial court
“err[ed] on a matter of law.” See Perkinson v. Perkinson, 989 N.E.2d 758, 761 (Ind. 2013).
We affirm the trial court’s order insofar as it found no error in its decision to exclude
evidence of the shootout. Appellate courts are reluctant to disturb the trial court’s exercise of
discretion, particularly where the question of admissibility of evidence is a close one. See TRW
Vehicle Safety Systems, Inc. v. Moore, 936 N.E.2d 201, 218 (Ind. 2010) (recognizing the
“considerable latitude” given to trial judges in making evidentiary determinations, particularly in
the context of “lengthy, complicated, and vigorously contested trial and pre-trial proceedings”).
We now address the Estate’s remaining contentions and how our Comparative Fault Act applies
to them.4
II.
Allocation of Fault for Intentional Acts and the Comparative Fault Act
The Estate’s two remaining contentions are distilled from a more general argument that
the law should not allow apportionment of responsibility to an intentional tortfeasor or criminal
3
Rahmatullah argues only that the trial court’s order was deemed denied. In the extensive briefing, he
never contests the content of the order.
4
The Estate does not appeal the trial court’s denial of admission of evidence of employee criminal
histories.
11
actor when the negligent defendant’s “very duty” was to exercise reasonable care to protect the
plaintiff from the specific risk of an intentional tort or criminal act. See Br. of Appellant at 8-9;
Restatement (Third) of Torts: Apportionment of Liability § 14 cmt. b (2000). The Estate,
amicus, and at least one commentator have characterized this concept the “very duty doctrine” or
the “very duty rule.” See Br. of Appellant at 8; Br. of Amicus Curiae the Indiana Trial Lawyers
Association at 2; Ellen M. Bublick, Upside Down? Terrorists, Proprietors, and Civil
Responsibility for Crime Prevention in the Post-9/11 Tort-Reform World, 41 Loy. L.A.L. Rev.
1483, 1487 (2008). And the Estate frames the issue on appeal as whether “the Indiana
Comparative Fault Act abrogate[s] the common law ‘very duty’ doctrine.” Br. of Appellant at 1.
Our research reveals no reference to the Estate’s assertion as a “doctrine” or a “rule” outside a
very narrow band of scholarship, so we will discuss it more generally as an argument against
allocating fault to intentional actors where another, negligent actor owed a duty to the victim
such as Rahmatullah owed Santelli.
The view highlighted here is that “comparisons ‘between an actor charged with
negligence and an actor charged with intentional misconduct’” can be “‘impossible in theory.’”
Bublick, Upside Down, supra at 1530 (quoting Geoffrey C. Hazard, Jr., Foreword to Restatement
(Third) of Torts: Apportionment of Liability at xi-xiii (Proposed Final Draft (Revised) 1999)).
Indeed, there has been much academic discussion on this very topic, with many commentators
advocating against comparing these types of “fault” because they are so different from one
another. See generally, e.g., Ellen M. Bublick, The End Game of Tort Reform: Comparative
Apportionment and Intentional Torts, 78 Notre Dame L. Rev. 355 (2003); William Westerbeke,
The Application of Comparative Responsibility to Intentional Tortfeasors and Immune Parties,
10 Kan. J.L. & Pub. Pol’y 189 (2000); J. Tayler Fox, Can Apples Be Compared to Oranges? A
Policy-Based Approach for Deciding Whether Intentional Torts Should Be Included in
Comparative Fault Analysis, 43 Val. U.L. Rev. 261 (2008). For this reason, some courts and
legislatures refuse to permit apportionment of fault among negligent and intentional tortfeasors,
reasoning that it is unfair to allow “[n]egligent tortfeasors . . . to reduce their fault by the
intentional fault of another that they had a duty to prevent.” Kan. State Bank & Trust Co. v.
Specialized Transp. Servs., Inc., 819 P.2d 587, 606 (Kan. 1991). See also, e.g., Merrill
Crossings Assocs. v. McDonald, 705 So. 2d 560, 562 (Fla. 1997) (agreeing that language in
Florida’s comparative fault statute “gives effect to a public policy that negligent tortfeasors such
12
as in the instant case should not be permitted to reduce their liability by shifting it to another
tortfeasor whose intentional criminal conduct was a foreseeable result of their negligence”)
(citations omitted); Ali v. Fisher, 145 S.W.3d 557, 564 (Tenn. 2004) (recognizing that a rare
departure from the allocation of fault required under the comparative fault system is justified so
that “negligent tortfeasors cannot seek to have their fault compared to that of intentional
tortfeasors where the intentional conduct is the foreseeable risk created by the negligent
tortfeasor”) (internal quotation omitted). And Indiana has recognized that similar reasoning
underlies the doctrine of negligence per se. See Rubin v. Johnson, 550 N.E.2d 324, 332-33 (Ind.
Ct. App. 1990), trans. denied (rejecting defendant gun merchant’s argument that criminal act of
gun buyer was intervening cause of plaintiff’s death eliminating merchant’s liability, noting that
criminal use of the gun sold by merchant to murderer was “the very risk sought to be avoided . . .
[by the statute restricting gun sales and] . . . cannot stand as a bar to recovery”). 5 But as even the
proponents of this reasoning have recognized, “an emerging minority of states” permit
comparison of negligent acts and intentional acts. Fox, supra, at 274-75. Indiana is one of those
states. Id. at 275 n.78.
Indiana’s Comparative Fault Act was first enacted in 1985 as Indiana Code sections 34-4-
33-1 to -12 and is currently codified at Indiana Code sections 34-51-2-1 through -19. See
Control Techniques, Inc. v. Johnson, 762 N.E.2d 104, 107 (Ind. 2002). Today the Act provides
in pertinent part:
The jury shall determine the percentage of fault of the claimant, of
the defendants, and of any person who is a nonparty. . . . In
assessing percentage of fault, the jury shall consider the fault of all
persons who caused or contributed to cause the alleged injury,
death, or damage to property, tangible or intangible, regardless of
whether the person was or could have been named as a party. . . .
5
The Estate relies heavily on Rubin and another case, Sauders v. Cnty. of Steuben, 693 N.E.2d 16 (Ind.
1998) in support of its assertion that Indiana has previously “adopted” the “very duty doctrine.” We
disagree. Rubin merely invoked the reasoning the Estate attempts to invoke here in a different context —
that of negligence per se. Also, in Rubin the question arose on summary judgment and involved only
whether the criminal act barred a negligent tortfeasor’s liability. Sauders involved a claim under the
Indiana Tort Claims Act and there we expressly observed “the Comparative Fault statute does not apply.”
Sauders, 693 N.E.2d at 17.
13
Ind. Code § 34-51-2-8(b)(1). The definition of “fault” under this section of the Act was amended
in 1995 to include:
[A]ny act or omission that is negligent, willful, wanton, reckless,
or intentional toward the person or property of others. The term
also includes unreasonable assumption of risk not constituting an
enforceable express consent, incurred risk, and unreasonable
failure to avoid an injury or to mitigate damages.
I.C. § 34-6-2-45(b) (emphasis added).6 Thus, the Act now mandates that when determining how
to assign percentages of fault, a jury must consider the intentional acts of non-parties like Pryor
in addition to the negligent acts of defendants like Rahmatullah. We thus find that the trial court
did not err in permitting the jury to allocate fault to Pryor and in refusing the Estate’s tendered
instruction that would have permitted the jury to hold Rahmatullah liable for Pryor’s intentional
act.
In addition to contending generally that fault should not be allocated to intentional actors,
the Estate presents a slightly different alternative argument. Specifically, the Estate and amicus
curiae the Indiana Trial Lawyers Association assert that Indiana law permits the joint and several
liability of intentional and negligent tortfeasors in the circumstances presented here and that
Indiana should therefore adopt the following rule:
A person who is liable to another based on a failure to protect the
other from the specific risk of an intentional tort is jointly and
severally liable for the share of comparative responsibility assigned
to the intentional tortfeasor in addition to the share of comparative
responsibility assigned to the person.
Br. of Appellant at 25 (quoting Restatement (Third) of Torts: Apportionment of Liability § 14
(2000)).
In support of its argument the Estate asserts “[t]he Comparative Fault Act neither
expressly, nor by implication, requires the elimination of joint and several liability in all
6
Prior to the amendment, the definition of fault included “any act or omission that is negligent, willful,
wanton, or reckless toward the person or property of the actor or others, but does not include an
intentional act.” I.C. § 34-4-33-2(a) (1988) (emphasis added).
14
circumstances.” Appellant’s Br. in Resp. to Trans. at 11 (citing Control Techniques, 762 N.E.2d
at 110-112 (Dickson, J., dissenting)). But this Court has recently declared “the [Comparative
Fault] Act abrogates the old rule of joint and several liability in suits to which the Act applies.”
Ind. Dept. of Ins. v. Everhart, 960 N.E.2d 129, 138 (Ind. 2012). We determined that the
elimination of joint and several liability was a reasonable trade-off for the benefits plaintiffs
receive under the Act, namely: the removal of the contributory negligence bar to recovery. See
id. Further, under the Comparative Fault Act, “there is no right of contribution among
tortfeasors.” I.C. § 34-51-2-12. It would be incongruous to permit Rahmatullah to be held
jointly liable for damages caused by Pryor but not to permit Rahmatullah to seek contribution
from Pryor. Our view on this issue is consistent with that of other states whose legislatures, like
the Indiana Legislature, have included intentional acts in the comparative fault analysis. See,
e.g., Pederson v. Barnes, 139 P.3d 552, 559-60 (Alaska 2006) (observing Alaska’s comparative
fault act includes intentional torts and requires entry of judgment on the basis of “several”
liability only); Rausch v. Pocatello Lumber Co., 14 P.3d 1074, 1081-82 (Idaho Ct. App. 2000)
(recognizing Idaho legislature’s express limitations on joint and several liability in a comparative
fault statute that requires comparison of all “responsibility”, including intentional torts); Hansen
v. Scott, 645 N.W.2d 223, 229 (N.D. 2002) (observing that under North Dakota’s comparative
fault act “a negligent tortfeasor’s conduct is compared with an intentional tortfeasor’s conduct,
and absent ‘in concert’ action, liability is several, not joint”). The Indiana legislature has the
authority to expressly permit joint and several liability in circumstances such as these, but as of
yet it has not done so. Cf. Everhart, 960 N.E.2d at 138 (recognizing “the historical rule of joint
and several liability would appear to still apply to medical malpractice suits,” “[b]ecause the Act
expressly exempted medical malpractice claims from its ambit”).
This is not to say that in Indiana it would be improper for a jury to allocate a greater
percentage of fault to a negligent landowner than to an intentional tortfeasor. Indeed, we have
previously upheld such an allocation in circumstances similar to those in the case before us,
recognizing that the jury could have determined that “the opportunity for the [crime] would not
even have existed had the [landowner] not failed to restrict [the intentional actor] from entering
[the premises] or had it taken appropriate action to prevent or stop the attack . . . .” Paragon
Family Rest. v. Bartolini, 799 N.E.2d 1048, 1056 (Ind. 2003). In allocating fault among multiple
actors, a jury may consider “‘the relative degree of causation attributable among the responsible
15
actors.’ Our statutory scheme thus allows a diverse array of factors to be considered in the
allocation of comparative fault.” Green v. Ford Motor Co., 942 N.E.2d 791, 794-95 (Ind. 2011)
(quoting Paragon, 799 N.E.2d at 1056). The outcome of this consideration may at times be a
conclusion that “the causative role” of the landowner exceeded “the relative degree of
intentionality” of the intentional tortfeasor. Paragon, 799 N.E.2d at 1056.
Conclusion
We affirm the judgment of the trial court.
Dickson, C.J., David, Massa and Rush, JJ., concur.
16