Opinion issued January 17, 2013
In The
Court of Appeals
For The
First District of Texas
————————————
NO. 01-12-00072-CV
———————————
BILL JOHNSON AND MELANIE JOHNSON, Appellants
V.
BP PRODUCTS NORTH AMERICA, INC., Appellee
On Appeal from the 10th District Court
Galveston County, Texas
Trial Court Case 08-CV-0188
MEMORANDUM OPINION
Appellants, Bill Johnson and Melanie Johnson, challenge the trial court’s
rendition of summary judgment in favor of appellee, BP Products North America,
Inc. (“BP”), in their suit against BP for negligence. In four issues, the Johnsons
contend that the trial court erred in granting BP summary judgment.
We affirm.
Background
In their original petition, the Johnsons alleged that Bill, who was an
employee of Starcon International, Inc. (“Starcon”), an independent contractor,
sustained heat-related injuries while working at a BP refinery in Texas City when
BP failed to protect Bill from heat illness. Specifically, the Johnsons alleged that
BP violated its own Health, Safety & Environment (“HSE”) policies and
procedures by “not postponing the work for a cooler time of the day,” “not having
the proper [safety] equipment,” and not training its supervisors to recognize heat
illness. The Johnsons complained that, on the day of his injuries, Bill had notified
BP supervisor Bill Cooksley that he “did not feel well,” Cooksley “failed to
recognize the signs and symptoms” of “heat exhaustion,” Cooksley failed to
summon emergency assistance, and Bill subsequently suffered from a “heat stroke”
that was followed by a “stroke.” The Johnsons sought damages for, among other
things, pain, mental anguish, medical expenses, and lost earnings.1
In its answer, BP generally denied the Johnsons’ allegations. BP then
moved for summary judgment, contending that the summary-judgment evidence
established that Cooksley did not supervise or direct Bill; Bill was a Starcon
1
The Johnsons also sued Cooksley individually. The trial court granted summary
judgment in favor of Cooksley, and the Johnsons do not challenge that judgment
in this appeal. BP represents that the Johnsons’ claims against Cooksley were
severed.
2
employee who reported to Carl Beach, an employee of another independent
contractor, “Fluor”; Bill did not approach Cooksley about needing to “cool down”;
and Cooksley did not communicate with emergency medical personnel about Bill’s
medical condition. BP asserted that the heat-related working conditions at its
facility were “open and obvious” and it was Bill’s employer, Starcon, which owed
him a duty to “monitor” for heat exhaustion and warn of heat-related working
conditions. BP also contended that no evidence supported the Johnsons’
negligence claim on the elements of duty, breach, or proximate cause.
In their response to BP’s motion, the Johnsons asserted that the summary-
judgment evidence established that BP did not “exercise” any of its heat-related
policies, Cooksley and Beach “failed to enforce BP’s heat preventative policies,”
Cooksley and BP “failed to recognize [Bill’s] symptoms of heat illness,” BP had
the “right of supervisory control as to heat prevention,” BP retained “a contractual
right of control” and “exercised actual control” over the manner in which Bill
performed his work, BP “failed to abide by [its] safety and health rules,” BP
“retained the right to control heat illness and heat stress prevention,” Cooksley and
BP “would have been aware” of the BP heat-related policies that “were not being
enforced,” BP “failed to ensure that proper heat protection policies were used,” and
BP “failed to ensure that cooling equipment was present.”
3
In its reply to the Johnsons’ response, BP argued that because the Johnsons
did not present any evidence that it contractually retained the right to control the
means, methods, or details of Bill’s work, the only duty it owed Bill in regard to its
safety regulations was to not “unreasonably increase the probability and severity of
injury.” BP asserted that the “fact that BP implemented policies to prevent heat
illness and the fact that [] Cooksley was one of several people who might have
communicated these policies to Starcon” employees did not demonstrate that BP
controlled the operative details of Bill’s work.
The trial court, without specifying the basis for its ruling, granted BP’s
summary-judgment motion.
Standard of Review
To prevail on a summary-judgment motion, a movant has the burden of
proving that it is entitled to judgment as a matter of law and there is no genuine
issue of material fact. TEX. R. CIV. P. 166a(c); Cathey v. Booth, 900 S.W.2d 339,
341 (Tex. 1995). When a defendant moves for summary judgment, it must either
(1) disprove at least one essential element of the plaintiff’s cause of action or (2)
plead and conclusively establish each essential element of its affirmative defense,
thereby defeating the plaintiff’s cause of action. Cathey, 900 S.W.2d at 341. When
deciding whether there is a disputed, material fact issue precluding summary
judgment, evidence favorable to the non-movant will be taken as true. Nixon v.
4
Mr. Prop. Mgmt. Co., 690 S.W.2d 546, 548–49 (Tex. 1985). Every reasonable
inference must be indulged in favor of the non-movant and any doubts must be
resolved in his favor. Id. at 549.
To prevail on a no-evidence summary-judgment motion, a movant must
allege that there is no evidence of an essential element of the adverse party’s cause
of action or affirmative defense. TEX. R. CIV. P. 166a(i); Fort Worth Osteopathic
Hosp., Inc. v. Reese, 148 S.W.3d 94, 99 (Tex. 2004). We review a no-evidence
summary judgment under the same legal-sufficiency standard used to review a
directed verdict. Gen. Mills Rests., Inc. v. Tex. Wings, Inc., 12 S.W.3d 827, 832–
33 (Tex. App.—Dallas 2000, no pet.). Although the non-movant is not required to
marshal his proof, he must present evidence that raises a genuine issue of material
fact on each of the challenged elements. TEX. R. CIV. P. 166a(i); see Ford Motor
Co. v. Ridgway, 135 S.W.3d 598, 600 (Tex. 2004). A no-evidence summary-
judgment motion may not be granted if the non-movant brings forth more than a
scintilla of evidence to raise a genuine issue of material fact on the challenged
elements. See Ridgway, 135 S.W.3d at 600. More than a scintilla of evidence
exists when the evidence “rises to a level that would enable reasonable and fair-
minded people to differ in their conclusions.” Merrell Dow Pharms., Inc. v.
Havner, 953 S.W.2d 706, 711 (Tex. 1997). When reviewing a no-evidence
summary-judgment motion, we assume that all evidence favorable to the non-
5
movant is true and indulge every reasonable inference and resolve all doubts in
favor of the nonmovant. Spradlin v. State, 100 S.W.3d 372, 377 (Tex. App.—
Houston [1st Dist.] 2002, no pet.).
Duty
In their four issues, the Johnsons argue that the trial court erred in granting
summary judgment in favor of BP because fact issues exist as to whether BP’s
negligence proximately caused Bill’s injuries, they presented more than a scintilla
of evidence that BP retained contractual control and exercised actual control over
Bill’s work, and they presented more than a scintilla of evidence on each element
of their negligence claim.2
There are two types of premises defects for which an independent
contractor’s employee may seek to hold a premises owner or general contractor
liable. Clayton W. Williams, Jr., Inc. v. Olivo, 952 S.W.2d 523, 527 (Tex. 1997).
The first category includes those defects that exist on a premises when a business
invitee enters for business purposes or are created through some means unrelated
to the activity of the injured employee or his employer. Id.; Shell Chem. Co. v.
Lamb, 493 S.W.2d 742, 746 (Tex. 1973). When dangerous conditions do not arise
2
The Johnsons present four separate issues, but, within each issue, they include
arguments concerning the issue of the duty owed by BP to Bill. Because we
resolve this case on the issue of duty, we do not directly address the parties’
dispute over whether the Johnsons presented any evidence that the heat-related
working conditions caused Bill to sustain personal injuries.
6
through the independent contractor’s work activity, the owner or general contractor
has a duty to inspect the premises and warn about the dangerous conditions of
which the owner or general contractor knows or should know. Gen. Elec. Co. v.
Moritz, 257 S.W.3d 211, 215 (Tex. 2008); Olivo, 952 S.W.2d at 527. An
independent contractor is “under no duty to inspect the premises for concealed
dangers” because independent contractors may “anticipate” that the owner or
general contractor “will discharge [its] duty to inspect the premises and warn of
any dangerous condition which is not open and obvious.” Lamb, 493 S.W.2d at
746; see also Moritz, 257 S.W.3d at 215 (stating that “[g]enerally, a landowner is
liable to employees of an independent contractor only for claims arising from a
pre-existing defect rather than from the contractor’s work, and then only if the pre-
existing defect was concealed”).
The second category of premises defects includes those defects that an
independent contractor, or its injured employee, creates by its work activity. Dow
Chem. Co. v. Bright, 89 S.W.3d 602, 606 (Tex. 2002); Coastal Marine Serv. of
Tex., Inc. v. Lawrence, 988 S.W.2d 223, 225 (Tex.1999); Olivo, 952 S.W.2d at
527. When the independent contractor creates a dangerous condition, the owner or
general contractor ordinarily has no duty to warn the independent contractor’s
employees of the premises defect. Olivo, 952 S.W.2d at 527; see also Moritz, 257
S.W.3d at 215–16 (stating that rationale for rule that owner or general contractor
7
normally has no duty to ensure that independent contractor performs work in safe
manner is because independent contractor “owes its own employees a
nondelegable duty to provide them a safe place to work, safe equipment to work
with, and warn them of potential hazards” and a premises owner that “hires an
independent contractor generally expects the contractor to take into account any
open and obvious premises defects in deciding how the work should be done, what
equipment to use in doing it, and whether its workers need any warnings”). The
Texas Supreme Court has explained that a duty is ordinarily not imposed on a
premises owner or general contractor in this circumstance because “independent
contractors are hired for special projects that often entail special expertise, and can
be expected to use whatever equipment or precautions are necessary so long as a
hazard is not concealed.” Moritz, 257 S.W.3d at 217.
However, in regard to this second category of premises-defect claims, when
a premises owner or general contractor exercises some control over an independent
contractor’s work, it may be liable unless it exercises reasonable care in
supervising the subcontractor’s activity. Dow Chem. Co., 89 S.W.3d at 606 (citing
Redinger v. Living, Inc., 689 S.W.2d 415, 418 (Tex. 1985)). For a duty to attach,
the owner’s or employer’s role “must be more than a general right to order the
work to start or stop, to inspect progress or receive reports.” Redinger, 689 S.W.2d
at 418 (citing RESTATEMENT (SECOND) OF TORTS § 414 cmt. c (1965)).
8
An independent contractor may prove a right to control in two ways: “first,
by evidence of a contractual agreement that explicitly assigns the premises owner a
right to control; and second, in the absence of a contractual agreement, by evidence
that the premises owner actually exercised control over the manner in which the
independent contractor’s work was performed.” Dow Chem. Co., 89 S.W.3d at
606. A contractual right of control over the means, methods, or details of the
independent contractor’s work gives rise to a duty to see that an independent
contractor performs work in a safe manner, and the circumstance that no actual
control was exercised does not absolve the owner or general contractor of liability.
Id. (citing Elliott–Williams Co. v. Diaz, 9 S.W.3d 801, 804 (Tex. 1999)). “Further,
the control must relate to the injury the negligence causes, and the contract must
grant the contractor at least the power to direct the order in which work is to be
done.” Id. (citations omitted). The right to control “must be more than a general
right to order the work to start or stop, to inspect progress or receive reports.” Id.
(citing RESTATEMENT (SECOND) OF TORTS § 414 cmt. c (1965)). Whether a
contract gives a right of control is generally a question of law for the court. Id.
(citing Lee Lewis Constr., Inc. v. Harrison, 70 S.W.3d 778, 783 (Tex. 2001)).
In addition to contractual control, a premises owner who exercises actual
control over the contractor’s work may also be subject to direct liability for
negligence. Id. at 607. However, “merely exercising or retaining a general right to
9
recommend a safe manner for the independent contractor’s employees to perform
their work is not enough to subject a premises owner to liability.” Id. (citing
RESTATEMENT (SECOND) OF TORTS § 414 cmt. c (1965)). The control exercised by
the owner “must relate to the injury the negligence causes.” Id. And, if a premises
owner exercises control by requiring a subcontractor to comply with its safety
regulations, the premises owner owes the subcontractor’s employees a narrow duty
of care that its safety requirements and procedures do not unreasonably increase
the probability and severity of injury. Id.
Contractual Control
The Johnsons’ first argue that BP owed Bill a duty because it retained
contractual control over the methods, means, and details of his work in such a way
so as to impose liability upon BP for his heat-related illness and subsequent
personal injuries.
BP and Starcon, Bill’s independent-contractor employer, entered into a
“Mechanical & Piping Turnaround Services Contract” (“the Contract”), which
provided, in pertinent part,
4.01 In addition to the safety and health provisions contained in
Exhibit C, attached hereto and incorporated by reference,
Contractor shall abide by any and all of Company’s, as well as
OSHA’s, safety and health rules . . . Any equipment provided
by Company to Contractor for the benefit of Contractor’s
employees or those of its subcontractors shall be provided on an
“as is” basis with no warranty of performance and at the sole
risk and liability of Contractor to ensure that such equipment is
10
fit for the use intended and in proper working order. Contractor
has a duty to inspect the equipment prior to use, and agrees to
defend, indemnify, and save harmless Company from any and
all claims of Contractor, subcontractors, and their employees
arising out of the use of any equipment furnished by Company
or advice given by Company relating to such equipment to the
fullest extent allowed by law. . . .
Exhibit C, entitled “Health, Safety, and Environmental Minimal Requirements,”
which was attached to the Contract, provided, in pertinent part,
The following minimum Health, Safety, and Environmental
(“HSE”) requirements shall apply with respect to work performed by
Contractor under this Contract. Contractor shall take any additional
precautions necessary to prevent injury or death to persons or damage
to property and/or the environment.
1. Contractor shall comply with applicable health, safety,
and environmental regulations of agencies having jurisdiction at
locations where work is performed for Company. Contractor shall
ensure that its subcontractors comply with said regulations.
2. Unless prior express contractual arrangements are made
with Company, Contractor shall provide all personnel furnished by or
on behalf of Contractor (“Contractor’s Personnel”) with appropriate
functional safety equipment and ensure that such equipment is used.
3. Unless prior express contractual arrangements are made
with Company or statutory requirements dictate otherwise,
Contractor’s Personnel shall be trained in the appropriate health,
safety, and environmental codes and regulations as required by all
governmental or regulatory agencies having jurisdiction at the work
site.
....
6. Contractor will be evaluated on its health, safety, and
environmental performance. The assessment of a contractor’s
performance may include evaluation of its health, safety, and
11
environmental record-keeping and, if applicable, prior work
experience with Company. This evaluation will be used as criteria in
the selection of contractors for future Company projects.
7. As directed by Company representative, Contractor shall
hold regular safety meetings with its staff regarding Company's
minimum HSE requirements. After each meeting, Contractor shall
document the subject of the meeting including a list of attendees and
forward this information to Company representative.
....
Contractor shall reference the BP Texas City Site HSE Rules on
the Texas City Safety Council web site for all specific requirements . .
..
Additionally, HSE Policy PR-13, entitled “Procedure: Prevention of Heat
Illness,” which applied to “all employees involved in work activities that create the
potential for the development of heat illnesses” and was designed to “minimize the
potential for heat illness among site personnel,” provided,
A. It is the responsibility of each employee and their supervisor to
determine appropriate work/rest schedule for working in hot
temperatures. Refer to Attachment 1 for heat exposure
guidelines and the WGBT Data on the HSE web. . . . . The
employee and their supervisor will consider the following
factors making this determination:
1. Level of activity required by the job.
2. Protective clothing requirements.
3. Weather and/or equipment temperature conditions.
4. Personal factors (i.e. medical conditions and fatigue).
12
B. Equipment that is used to reduce the potential for heat stress
will be made available to employees. The following equipment
will be available for routine or short duration jobs:
1. Cooling vests/phase change vests.
2. Portable fans/blowers/air conditioning units (with or
without water mist).
3. Portable shades.
C. Temporary cool down areas will be constructed for turnarounds
and multiple shift projects during periods of hot weather. The
cool down areas will be constructed to provide shade and will
be equipped with benches, water coolers, and fans.
D. It will be the responsibility of supervision to plan and schedule
jobs in such a way as to reduce potential heat stress. The
following will be considered during job planning and
scheduling:
1. Schedule strenuous jobs for cooler parts of the day (or at
night).
2. Ensure adequate manpower levels for the work to be
planned.
3. Maintain communication between operations and
maintenance to ensure personnel are not waiting in the
heat or rushing to get equipment ready.
Relying primarily upon this policy, the Johnsons assert that BP was “aware of the
extreme heat conditions” at the refinery, “negligently failed to implement” its own
policies, and “failed to supply the minimum equipment and protection required by
BP’s rules.”
13
The Johnsons also assert that BP retained contractual control based upon
other provisions in the Contract that granted BP the right to control work
scheduling, conduct or call for meetings with independent contractors, and fire
contractor employees. For example, the Johnsons cite, among other contractual
provisions, the following:
7.03 Any employee of Contractor deemed by Company, in their sole
judgment, to be objectionable shall be removed from the Work
site immediately upon Company request and shall be promptly
replaced by Contractor at no extra expense to Company.
Contractor shall nevertheless retain all authority and control
over its employees, . . . .
11.01 Daily, monthly and/or quarterly performance review meeting
will be held, at Company’s discretion, to review the work
performed under this contract. Contract performance, key
result, . . . safety, action items and similar information will be
reviewed at the meetings with Company. . . .
12.01 The Scope of Work shall be subject to change by additions,
deletions or revisions thereto by Company. Contractor will be
notified of such changes by receipt of additional and/or revised
drawings, specifications, exhibits or other written notification.
39.03 Contractor recognizes that Company and other contractors and
subcontractors may be working concurrently at tile Work site.
Contractor agrees to cooperate with company and other
contractors so that the project as a whole will progress with a
minimum of delays. Company reserves the right to direct
Contractor to schedule the order of performance of its Work in
such manner as not to interfere with the performance of others.
49.01 Contractor shall comply strictly with Company’s rules
governing the conduct of Contractor and Contractor’s
employees, agents and subcontractors at and about the Work
site. Contractor agrees that it shall ensure that its supervisory
14
personnel, employees, agents and subcontractors at the Work
site comply strictly with such rules. Company reserves the right
to, from time to time, revise any such rules, and Contractor
shall comply fully with such rules as revised in accordance with
the foregoing provisions.
In regard to BP’s safety policies, the plain language of article 4.01 of the
Contract and the attached Exhibit C imposed contractual responsibility upon
Starcon for the workplace safety issues implicated in this case. Although BP
published a specific heat-related policy, the Contract expressly required Starcon to
“abide by any and all of” BP’s “safety and health rules.” Exhibit C, which was
attached and incorporated into the Contract, stated that, absent other “prior express
contractual arrangements” between the parties, Starcon was responsible for
providing all of its personnel “with appropriate functional safety equipment and
ensur[ing] that such equipment is used.” And, other provisions in the Contract also
expressly required Starcon to “comply strictly with Company’s rules governing the
conduct of Contractor and Contractor’s employees.”
An agreement between a premises owner and an independent contractor that
requires the contractor to comply with the safety rules and regulations promulgated
by the premises owner does not create a contractual right of control over the
“means, methods, or details” of the contractor’s work sufficient to impose a duty
upon the premises owner. Dow Chem. Co., 89 S.W.3d at 607. Rather, the
imposition of such safety requirements by a premises owner “give[s] rise to a
15
narrow duty of care” that its safety requirements and procedures do not
“unreasonably increase . . . the probability and severity of injury.” Hoechst-
Celanese Corp. v. Mendez, 967 S.W.2d 354, 358 (Tex. 1998). Here, there is no
evidence that BP’s policies, including its heat-related policy, which its independent
contractors (including Starcon) were contractually obligated to follow, were
“generally dangerous or unreasonable.” See id.
Additionally, the contractual provisions cited by the Johnsons concerning
BP’s ability to fire Starcon employees, conduct meetings, and schedule work did
not give rise to a contractual right of control over the means, methods, and details
of Bill’s work. See Dow Chem. Co., 89 S.W.3d at 608–09 (holding that premises
owner’s “safe work permit system” that was intended to create “a safer
construction site” did not “unreasonably increase the probability and severity of
[the contractor’s] injury”); Koch Refining Co. v. Chapa, 11 S.W.3d 153, 156 (Tex.
1999) (holding that presence of premises owner’s safety representative and
possibility that safety employee might have intervened to stop dangerous work not
sufficient to create duty); Victoria Elec. Co-op., Inc v. Williams, 100 S.W.3d 323,
330 (Tex. App.—San Antonio 2002, pet. denied) (holding that contract allowing
utility to “inspect, test, and approve” independent contractor’s work to ensure
compliance with contract specifications and safety requirements did “not implicate
a right to control the details of the independent contractor’s work”).
16
Accordingly, we conclude that the Johnsons presented no evidence that BP
retained a contractual right of control over the means, methods, or details of Bill’s
work such that liability may be imposed upon BP for Bill’s heat-related illness and
subsequent personal injuries.
Actual Control
The Johnsons next argue that BP owed Bill a duty because it “exercised a
degree of control” over Bill’s work that included actual control over heat-related
illness prevention at the refinery.
Actual control is not established by evidence showing that a property owner
maintained general “control of the facilities.” Vanderbeek v. San Jacinto
Methodist Hosp., 246 S.W.3d 346, 352 (Tex. App.—Houston [14th Dist.] 2008, no
pet.). Moreover, “merely exercising or retaining a general right to recommend a
safe manner for the independent contractor’s employees to perform their work is
not enough to subject a premises owner to liability.” Dow Chem. Co., 89 S.W.3d
at 607 (citing RESTATEMENT (SECOND) OF TORTS § 414 cmt. c (1965)). Finally,
actual control that is sufficient to trigger liability “must relate to the injury the
negligence causes.” Dow Chem. Co., 89 S.W.3d at 607.
As they did in their contractual-control argument, the Johnsons base their
actual-control argument upon BP’s heat-illness policy. The Johnsons assert that
BP had “the right to control heat illness and heat stress prevention,” Cooksley “was
17
present at most times during the turnaround” and obtained status reports of the
workers’ progress, Cooksley “would have received a status from [Bill],” Cooksley
was “aware of BP policies related to heat illness and heat stress prevention that
were not being enforced,” and BP “was aware and did not object to the work being
performed without cooling equipment.”
The Texas Supreme Court has rejected similar arguments on two occasions.
See id. at 608–09; Koch, 11 S.W.3d at 156. In Dow Chem. Co., the court held that
a premises owner’s work permitting system and the presence of a premises
owner’s safety representative did not “unreasonably increase the probability and
severity of [the independent contractor’s] injury.” 89 S.W.3d at 607–09. The
court concluded that there was no evidence that the independent contractor
employees “were not free to do the work in their own way” or the premises owner
“controlled the method of work or its operative details.” Id. The court further
concluded that the premises owner’s “general right under the safe work permit
system to preclude work from beginning in the first instance [was] insufficient to
establish actual control.” Id. at 609.
Similarly, in Koch, an injured employee argued that a premises owner owed
a duty based on the presence of a safety representative and the possibility that the
representative could intervene to stop dangerous workplace conduct. 11 S.W.3d at
156. The employee also argued that the premises owner owed a duty because the
18
premises owner’s safety representatives had allegedly instructed the independent
contractor’s employees in the past to perform their work in a safer manner. Id.
The court concluded that the employee presented no evidence that the premises
owner exercised the degree of control necessary to create a duty. Id. Instead, the
court held that the premises owner owed the independent contractor’s employees
only “a duty that any safety requirements and procedures it promulgated did not
unreasonably increase, rather than decrease, the probability and severity of injury.”
Id. (quoting Hoechst-Celanese Corp., 967 S.W.3d at 358).
The Johnsons argue that because the facts in the instant case are
substantially distinguishable from those presented in Dow Chem. Co. and Koch, we
should be guided by the Texas Supreme Court’s opinion in Lee Lewis
Construction, Inc. v. Harrison, 70 S.W.3d 778, 783 (Tex. 2001). In Harrison, the
survivors of an independent contractor who fell to his death while installing
windows sued both the general contractor and a subcontractor for negligence. Id.
at 782. The plaintiffs alleged that the general contractor “exercised actual control
over safety, in particular, the fall-protection systems” used by the independent
contractor’s employees. Id. at 783. In support of their allegation, the plaintiffs
presented testimony that the general contractor personally witnessed and
“approved” of the specific fall-protections systems that had been used by the
independent contractor. Id at 784. They also presented testimony that the general
19
contractor “knew” of and did not object to the independent contractor’s use of a
“bosun’s chair without an independent lifeline.” Id at 783–84. The court
concluded that this evidence demonstrated that the general contractor “retained the
right to control fall-protection systems on the jobsite” and, therefore, it owed a
duty of care to the independent contractor’s employees “commensurate with that
right.” Id at 784.
Here, in contrast, although there is evidence that BP maintained heat-related
policies and BP personnel communicated those policies to independent contractors,
there is no evidence that, by doing so, BP controlled the operative details of Bill’s
work. See Good v. Dow Chem. Co., 945 S.W.2d 877, 882 (Tex. App.—Houston
[1st Dist.] 1997, no writ) (holding that “while Dow personnel may have been on
site to observe compliance with safety procedures, Dow’s retention of control did
not rise to the level of control” sufficient to create a duty). There is also no
evidence that BP was aware that Starcon “routinely ignore[d]” safety polices. See
Hoechst-Celanese, 967 S.W.2d at 357 (“[A]n employer who is aware that its
contractor routinely ignores applicable federal guidelines and standard company
policies related to safety may owe a duty to require corrective measures to be taken
or to cancel the contract.”). Instead, similar to the facts in Dow Chem. Co. and
Koch, here, there is evidence that BP only required its independent contractors to
abide by its safety policies, including its policy related to the prevention of heat-
20
related illness. There is evidence that BP personnel were on site and, pursuant to
the Contract, would have participated in meetings at which safety issues were
reviewed. However, the contractors were contractually required to follow
applicable safety rules and were responsible for furnishing their personnel “with
appropriate functional safety equipment” and to “ensure that such equipment is
used.” There is no evidence that, despite this contractual delegation of
responsibilities, BP retained actual control over the operative details of Bill’s work,
the heat-related working conditions, and the associated equipment that was
furnished or should have been furnished to Bill to account for these working
conditions.
Accordingly, we conclude that the Johnsons presented no evidence that BP
retained actual control over Bill’s work in a manner for which BP can be held
liable for Bill’s heat-related illness and subsequent injuries.
Conclusion
We hold that the trial court did not err in granting BP summary judgment
and we overrule the Johnsons’ four issues.
We affirm the judgment of the trial court.
Terry Jennings
Justice
Panel consists of Justices Jennings, Higley, and Sharp.
21