IN THE COURT OF APPEALS OF TENNESSEE
AT JACKSON
November 18, 2015 Session
MELANIE JONES, INDIVIDUALLY AND ON BEHALF OF MATTHEW H.
v. SHAVONNA RACHELLE WINDHAM, ET AL.
Appeal from the Circuit Court for Shelby County
No. CT00442811 Robert Samual Weiss, Judge
________________________________
No. W2015-00973-COA-R10-CV – Filed March 11, 2016
_________________________________
This Rule 10 appeal stems from a vehicular accident involving a minor child who was struck
by a van driven by the employee of a children‟s daycare. The child‟s mother filed suit
alleging negligence against the employee-driver of the vehicle and asserted claims for
negligent hiring, negligent retention, and negligence per se against the driver‟s employers.
The mother also averred that she should recover punitive damages based on the conduct of
the Defendants. The employers, the individual owners of the daycare, admitted vicarious
liability for the negligence of their employee and moved for partial summary judgment on the
direct negligence claims asserted against them. They argued that it was improper to proceed
against them on an independent theory of negligence when they had already admitted
vicarious liability. The employers, along with the employee-driver, also sought summary
judgment with respect to the punitive damages claim. Although the trial court granted the
employers‟ motion with respect to the direct negligence claims, it denied the motion with
respect to the claim for punitive damages. On appeal, we reverse the trial court‟s dismissal
of the direct negligence claims asserted against the employers and remand the case for further
proceedings consistent with this Opinion.
Tenn. R. App. P. 10 Extraordinary Appeal; Judgment of the Circuit Court Reversed
and Remanded
ARNOLD B. GOLDIN, J., delivered the opinion of the Court, in which J. STEVEN STAFFORD,
P.J., W.S., joined. BRANDON O. GIBSON, J., filed a dissenting opinion.
C. Wesley Fowler and Jonathan O. Richardson, Memphis, Tennessee, for the appellant,
Melanie Jones.
John D. Richardson, Memphis, Tennessee, for the appellees, Shavonna Rachelle Windham,
Remark Chism, Kimberly Chism, Kare Enrichment Center, Kare Enrichment Center, Inc. #3,
Kare, Inc., Kare III, Inc., and Academy Care.
OPINION
Background
On March 23, 2011,1 Shavonna Windham (“Ms. Windham”) struck a minor child with
her vehicle while she was transporting children in accordance with her duties as a van driver
for a local daycare. Less than a year following the incident, the minor child‟s mother,
Melanie Jones (“Ms. Jones”), individually and on behalf the child, filed suit in the Shelby
County Circuit Court seeking to recover for alleged personal injuries and damages. The
complaint asserted that Ms. Windham was guilty of negligence and further alleged that her
employers, Remark and Kimberly Chism (“Mr. and Mrs. Chism” and/or “Defendant
Employers”), were liable for the actions Ms. Windham took “in the course and scope of her
employment.”2 The complaint also sought recovery against the Defendant Employers
directly, asserting claims against them for negligence per se, negligent hiring, and negligent
retention. Further, the complaint asserted a claim for loss of filial consortium, as well as a
claim for punitive damages against all of the Defendants.3
Following the filing of the complaint, the Defendant Employers and Ms. Windham
(collectively, “the Defendants”) filed an answer wherein they generally denied that they were
liable. As is relevant to this appeal, however, the Defendant Employers admitted that the
1
Although the initial complaint filed in this case identifies the date of the accident as March 24, 2011, it was
undisputed in the summary judgment papers that the subject incident took place on March 23.
2
We note that both complaints filed in this case name the following Defendants in addition to Ms. Windham:
“Remark Chism,” “Kimberly Chism,” “KARE Enrichment Center,” “KARE Enrichment Center, Inc. #3,”
“KARE, Inc.,” KARE III, Inc.,” and “Academy Care.” Specific allegations in the complaints suggest that Ms.
Windham was employed by one of the KARE daycare entities rather than Mr. and Mrs. Chism directly.
However, the undisputed facts established at summary judgment reveal that this was not the case. The
Plaintiff‟s response to the Defendants‟ statement of undisputed facts did not dispute that Ms. Windham “was
acting within the course and scope of her employment with Defendants, Kimberly Chism and Remark Chism,
individually and doing business as Kare Enrichment Center, KARE I, KARE II, and KARE III.” (emphasis
added). We further note that in Mrs. Chism‟s deposition, Mrs. Chism testified that the KARE daycare centers
were not incorporated at the time of the accident.
3
We observe that in an amended complaint, Mr. and Mrs. Chism were also alleged to have been guilty of
“negligent failure to screen, train, and test [Ms. Windham] during her employment.” Additionally, Ms. Jones
sought to recover damages for the Defendants‟ “negligent infliction of emotional distress causing mental
anguish and emotional pain and suffering.”
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doctrine of respondeat superior applied. Within their answer, the Defendant Employers
expressly conceded that they would be vicariously liable for any negligence that Ms.
Windham had committed.
In light of their admission of vicarious liability, the Defendant Employers
subsequently moved for partial summary judgment as to the direct negligence claims filed
against them. Acknowledging that Tennessee courts had not ruled on the issue of whether
direct negligence claims against an employer can survive the employer‟s admission of
respondeat superior liability for the acts of its employee, the Defendant Employers proposed
a rule under which a plaintiff would be prevented from proceeding on any direct negligence
claim against an employer once vicarious liability has been admitted. The Defendant
Employers, along with Ms. Windham, also sought summary judgment with respect to Ms.
Jones‟ punitive damages claim.
Ms. Jones responded to the Defendant Employers‟ proposed rule by arguing that it
was inconsistent with Tennessee‟s modified comparative fault scheme and existing state law.
Moreover, she argued that even if the trial court were to adopt the proposed rule, the asserted
claims of direct negligence against the Defendant Employers should be allowed to proceed in
this case. In support of this position, she argued that in many states that followed the
proposed rule, an exception existed when the direct negligence claims were accompanied by
a claim for punitive damages. Ms. Jones argued that her claim for punitive damages was
sufficient to survive summary judgment.
On February 25, 2015, the trial court entered an order adjudicating the motion for
partial summary judgment filed by Ms. Windham and the Defendant Employers. That order
granted the motion as to the direct negligence claims asserted against the Defendant
Employers, but it denied that portion of the motion relating to the punitive damages claim.
Although the trial court‟s order did not provide the specific legal grounds for its decision as
required by Tennessee Rule of Civil Procedure 56.04, it is apparent to us that the court
attempted to adopt the Defendant Employers‟ proposed rule when it granted summary
judgment as to the direct negligence claims that were asserted against them.4
4
Although the grant of summary judgment as to the direct negligence claims asserted against the Defendant
Employers seems to clearly indicate that the proposed rule was adopted by the trial court, it is unclear why the
trial court did not also dismiss the punitive damages claim asserted against the Defendant Employers in light of
its decision to dismiss the direct negligence claims asserted against them. We recognize that the entirety of the
asserted punitive damages claim would not be disturbed by the adoption of the proposed rule inasmuch as a
liberal reading of the complaint leads us to acknowledge that a punitive damages claim was also asserted
against Ms. Windham. However, we question how the punitive damages claim asserted against the Defendant
Employers could be maintained in the absence of a direct claim asserted against them supporting an award of
actual damages. See Goodale v. Langenberg, 243 S.W.3d 575, 585 (Tenn. Ct. App. 2007) (noting that “there
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After the entry of the February 25, 2015 order, Ms. Jones moved the trial court to
allow her to pursue an interlocutory appeal under Rule 9 of the Tennessee Rules of Appellate
Procedure. When the trial court denied her request for relief, Ms. Jones next sought this Rule
10 extraordinary appeal, which we granted and limited review to the following issues:
1. May a jury apportion fault to an employer for direct liability based on negligent
hiring, supervision or training of the employee where the employer admits
vicarious liability or respondeat superior for the negligence of its employee and is,
therefore, one hundred (100%) responsible (jointly and severally) for the fault of
the employee; and,
2. Whether the trial court committed error by dismissing all claims against the
employer for compensatory damages while allowing a claim for punitive damages
[to] proceed against the employer.
Despite the limits that we placed on our review in granting this extraordinary appeal, the
Defendants attempted to raise one additional issue in their appellate brief:
3. If the answer to issue number 2 is yes, should partial summary judgment be
granted dismissing the punitive damage claim against the employer?
Standard of Review
This appeal requires us to review the propriety of the trial court‟s order granting
partial summary judgment in the Defendant Employers‟ favor. Consequently, we apply the
can be no cause of action for punitive damages alone without „actual damages[]‟”). This may simply be an
error on the part of the trial court incident to its adoption of the proposed rule. Nevertheless, because the court
did not dismiss the punitive damages claim, one might surmise that the trial court was attempting to recognize
the punitive damages exception to the proposed rule that is recognized in some states. Ms. Jones makes such
an argument in her appellate brief. The trial court‟s supposed recognition of such an exception, however, is
incongruous with its dismissal of the direct negligence claims against the Defendant Employers. Under the
exception to the proposed rule that exists in some jurisdictions, the assertion of a punitive damages claim is the
vehicle for allowing independent negligence claims to be maintained against an employer who has admitted
vicarious liability. See, e.g., Durben v. Am. Materials, Inc., 503 S.E.2d 618, 619 (Ga. Ct. App. 1998) (noting
that an exception exists where a plaintiff has a valid claim for punitive damages and that the employer is
accordingly not entitled to summary judgment on the independent negligence counts). In terms of our review,
it is not of ultimate consequence whether the trial court was attempting to adopt the Defendant Employers‟
proposed rule or was attempting to adopt the proposed rule but nonetheless recognize an exception for punitive
damages. Both are legal determinations, and this Court has granted review to determine whether the proposed
rule, with or without exceptions, is a viable complement to our law governing comparative fault.
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standard of review applicable to summary judgment decisions. Summary judgment is
appropriate “in virtually every civil case that can be resolved on the basis of legal issues
alone.” B & B Enters. of Wilson Cnty., LLC v. City of Lebanon, 318 S.W.3d 839, 844 (Tenn.
2010) (citing Green v. Green, 293 S.W.3d 493, 513 (Tenn. 2009); Fruge v. Doe, 952 S.W.2d
408, 410 (Tenn. 1997); Byrd v. Hall, 847 S.W.2d 208, 210 (Tenn. 1993)). “[It is] not
appropriate when genuine disputes regarding material facts exist.” Id. (citation omitted).
Indeed, a motion for summary judgment should only be granted when “the pleadings,
depositions, answers to interrogatories, and admissions on file, together with the affidavits, if
any, show that there is no genuine issue as to any material fact and that the moving party is
entitled to a judgment as a matter of law.” Tenn. R. Civ. P. 56.04. Because the trial court‟s
ruling on a summary judgment motion is a question of law, we review the matter de novo
without a presumption of correctness. Revis v. McClean, 31 S.W.3d 250, 252 (Tenn. Ct.
App. 2000) (citing Robinson v. Omer, 952 S.W.2d 423, 426 (Tenn. 1997); McClung v. Delta
Square Ltd. P’ship, 937 S.W.2d 891, 894 (Tenn. 1996)).
Discussion
Tennessee‟s appellate courts have not yet addressed whether a plaintiff may proceed
with a direct negligence claim against an employer when the employer has admitted vicarious
liability. Courts from other jurisdictions are split on the issue. Some courts have adopted the
Defendant Employers‟ proposed rule, and others have rejected it. Other courts have adopted
the rule but recognized potential exceptions. Because there is a “fairly even split among
jurisdictions” as to which way they have decided this issue, we will follow the lead of the
Kentucky Supreme Court‟s recent decision in MV Transportation, Inc. v. Allgeier, 433
S.W.3d 324 (Ky. 2014), and refer to the conflicting rules as the “preemption rule” and the
“non-preemption rule.” See id. at 334 n.8 (noting that the court would avoid the use of the
terms “majority rule” and “minority rule” because there appeared to be a “fairly even split
among jurisdictions”).
The preemption rule, which is the rule that the Defendant Employers urge us to adopt,
is fairly straightforward in application. Once an employer has admitted vicarious liability for
the actions of its agent, a plaintiff may no longer proceed against the employer on a direct
negligence claim such as negligent entrustment or negligent hiring. See, e.g., McHaffie v.
Bunch, 891 S.W.2d 822, 826 (Mo. 1995). Courts that adopt the preemption rule generally
reason that evidence of independent negligence such as negligent hiring or retention becomes
“unnecessary, irrelevant and prejudicial” once an employer has admitted vicarious liability.
Lee v. J.B. Hunt Transport, Inc., 308 F. Supp.2d 310, 313 (S.D.N.Y. 2004). The concern is
that the independent negligence claims, which are often supported by prior bad acts of the
employee, may be used “merely to permit the introduction of evidence intended unduly to
influence the jury‟s decision on the issue of the [employee‟s] negligence.” Stephen M. Blitz,
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Conduct Evidencing Negligent Entrustment is Provable Despite Admission of Vicarious
Liability, 17 Stan. L. Rev. 539, 542 (1965). Moreover, the independent negligence claims are
considered to confer no benefit on the plaintiff once an employer has admitted vicarious
liability. Upon an admission that one is vicariously liable, “the employer . . . becomes strictly
liable to the plaintiff for damages attributable to the conduct of the employee.” Richard A.
Mincer, The Viability of Direct Negligence Claims Against Motor Carriers in the Face of an
Admission of Respondeat Superior, 10 Wyo. L. Rev. 229, 241 (2010). As the Missouri
Supreme Court once stated:
Vicarious liability or imputed negligence has been recognized under varying
theories, including agency, negligent entrustment of a chattel to an
incompetent, conspiracy, the family purpose doctrine, joint enterprise, and
ownership liability statutes. If all of the theories for attaching liability to one
person for the negligence of another were recognized and all pleaded in one
case where the imputation of negligence is admitted, the evidence laboriously
submitted to establish other theories serves no real purpose. The energy and
time of courts and litigants is unnecessarily expended. In addition, potentially
inflammatory evidence comes into the record which is irrelevant to any
contested issue in the case. Once vicarious liability for negligence is admitted
under respondeat superior, the person to whom negligence is imputed
becomes strictly liable to the third party for damages attributable to the
conduct of the person from whom negligence is imputed. The liability of the
employer is fixed by the amount of liability of the employee. This is true
regardless of the “percentage of fault” as between the party whose negligence
directly caused the injury and the one whose liability for negligence is
derivative.
McHaffie, 891 S.W.2d at 826 (internal citations omitted).
Under the non-preemption rule, “the employer‟s admission to the existence of an
agency relationship from which vicarious liability may arise does not supplant the claim that
the employer‟s own negligence, independent of the negligence of the employee, may have
caused or contributed to the injury.” Allgeier, 433 S.W.3d at 337. This is because the
employer‟s negligence in hiring, training, retaining, or supervising an employee is regarded
as supporting a theory of liability “that is distinctly different from . . . the negligence of the
employee whose conduct directly caused the injury.” Id. at 334. Indeed, in those
jurisdictions that follow the non-preemption rule, the legal theories supporting claims of
independent negligence do “not rest on the employer-employee relationship, but rather
involve the employer‟s own negligence in entrusting, hiring, supervising, training, or
retaining an employee with knowledge, either actual or constructive, that the employee posed
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a risk of harm to others.” Poplin v. Bestway Express, 286 F.Supp.2d 1316, 1319 (M.D. Ala.
2003) (emphasis added) (citation omitted). As one commentator has observed, the fact that
an independent negligence claim against the employer is contingent upon conduct of the
employee does not mean that the employer‟s conduct does not represent a source of
independent fault:
It is true--most of the time--that absent negligent conduct on the part of
the employee, a direct negligence claim against the employer is impossible.
But this is not because non-negligence on the employee‟s part results in no
imputed negligence; rather, the direct negligence claim is impossible in those
circumstances because a finding of employee non-negligence means that there
is no proximate cause, no connection that links the employer‟s independent
negligence with the plaintiff‟s injuries. The more sensible approach is that . . .
the employer is not responsible for the negligence of another, but is instead
responsible for its own negligence[.]
J.J. Burns, Note, Respondeat Superior as an Affirmative Defense: How Employers Immunize
Themselves from Direct Negligence Claims, 109 Mich. L. Rev. 657, 668 (2011) (internal
footnotes omitted).
Having considered the relative merits of each rule, we are of the opinion that the
Defendant Employers‟ proposed preemption rule is not in accord with our system of
comparative fault and thereby inconsistent with existing Tennessee jurisprudence. As such,
we hold that an employer‟s admission of vicarious liability does not bar a plaintiff from
proceeding against the employer on independent claims of negligence. As will be explained
below, we reject the notion that an independent negligence claim against an employer serves
no purpose once the employer has admitted vicarious liability. Further, although we
recognize that there is a concern that a jury could become prejudiced by the evidence used to
support an independent negligence claim against an employer, appropriate procedural
safeguards can be employed by the trial court to mitigate against any potential unfairness.
In support of our conclusion that the preemption rule is not appropriate for Tennessee,
we note that under our state law, vicarious liability represents an independent claim that is
separate from other theories of liability asserted against a principal. See Harper v. Churn, 83
S.W.3d 142, 146-48 (Tenn. Ct. App. 2002) (involving the assertion of a negligent
entrustment claim and a vicarious liability claim at trial). The successful maintenance of an
independent negligence claim against an employer may be factually dependent on the
negligence of an employee, but liability is not imputed by virtue of the employer-employee
relationship. Rather, liability is established because the acts of the employer fall below the
applicable standard of care that is required. See, e.g., Britt v. Maury Cnty. Bd. of Educ., No.
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M2006-01921-COA-R3-CV, 2008 WL 4427190, at *4 (Tenn. Ct. App. Sept. 29, 2008)
(holding that a plaintiff‟s negligent hiring claim warranted dismissal when the plaintiff failed
to show that the hiring of the employee fell below any recognized standard of care). The
notion that an employer‟s independent negligence can constitute a source of fault for a
plaintiff‟s injuries is an important one. Indeed, it bears directly on the soundness of rejecting
the preemption rule in comparative fault jurisdictions such as ours.
It has been noted that the preemption rule was “first formed and adopted in an
environment of contributory negligence.” Burns, supra, at 662. If Tennessee operated as a
contributory negligence jurisdiction, the argument for the preemption rule would be
persuasive in those cases where a valid punitive damages claim was not at stake. Pursuing an
independent negligence claim against an employer really would serve no purpose once an
employer had admitted vicarious liability. As one court previously explained in a case
involving the assertion of a negligent entrustment claim:
The rationale of [the preemption rule] is very powerful in a contributory
negligence jurisdiction. In such a jurisdiction, the entrustee-agent will be
either totally liable for plaintiff‟s damages or not at all liable for plaintiff‟s
damages. If the entrustee is not at all liable for plaintiff‟s damages, whether it
is because the entrustee was not negligent or the plaintiff was contributorily
negligent, the entrustor-principal cannot be liable for any part of plaintiff‟s
injuries under either the respondeat superior theory or the negligent
entrustment theory. If on the other hand the entrustee was liable and the
entrustor‟s responsibility for the acts of the agent admitted, the entrustor-
principal would be liable under the respondeat superior theory. Under the
latter circumtances, it is unnecessary to determine whether the entrustor-
principal was also liable under the negligent entrustment theory as the amount
of plaintiff‟s recovery under that theory would be identical to the amount of
plaintiff‟s recovery under the respondeat superior theory. Because it is
unnecessary, and because the evidence of negligent entrustment tends to be
highly prejudicial, [the preemption rule] makes eminent sense in a contributory
negligence jurisdiction.
Lorio v. Cartwright, 768 F.Supp. 658, 660 (N.D. Ill. 1991).
The same court noted, however, that the reasoning for the preemption rule “loses
much of its force” under a comparative negligence regime. Id. As it explained:
Under comparative negligence, it is necessary for a trier of fact to determine
percentages of fault for a plaintiff‟s injuries attributable to the negligence of
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plaintiff, the negligence of each defendant, and the negligence of other non-
parties.
....
It would not be possible for a finder of fact to make the necessary
determination of degrees of fault without having before it the evidence of the
entrustor-principal‟s negligence in entrusting the vehicle to the entrustee-agent.
Id. at 660-61.
Ever since the seminal decision in McIntyre v. Balentine, 833 S.W.2d 52 (Tenn.
1992), Tennessee courts have operated under a modified comparative fault system where a
plaintiff can recover so long as the plaintiff‟s negligence is less than the combined fault of all
tortfeasors. Id. at 58. Under this system, liability and fault are closely linked, as our
Supreme Court “felt that linking liability with fault best achieved the concepts of fairness and
efficiency.” White v. Lawrence, 975 S.W.2d 525, 532 (Tenn. 1998) (Drowota, J., dissenting).
If we adopted the preemption rule, we would effectively “force a jury to allocate fault
between parties who were not wholly responsible.” Carroll v. Whitney, 29 S.W.3d 14, 19
(Tenn. 2000). Although this would not be of any consequence to a plaintiff‟s recovery in
cases where a plaintiff‟s comparative fault is not at issue, it is certainly significant when a
plaintiff‟s comparative fault is raised as a defense. Indeed, “if a party‟s negligence is taken
out of the equation, the other parties necessarily have to fill in the vacuum that is left by the
absent party.” Burns, supra, at 671. This can have profound consequences in a jurisdiction
such as ours where plaintiffs are denied any recovery if their fault equals or exceeds 50%.
Accordingly, it is incorrect to suggest that an independent negligence claim against an
employer serves no purpose once the employer has admitted vicarious liability. Although
there is no doubt that the amount of compensatory damages sustained by a plaintiff is fixed, a
plaintiff‟s ability to recover for his or her injuries is certainly impacted by removing an
alleged tortfeasor from the allocation of fault. Moreover, removing an employer from the
fault apportionment process subjects other defendants to potentially assume a greater
percentage of liability than they would otherwise be assigned if the jury were able to consider
the alleged fault of the employer. Id. at 665.
In truth, the preemption rule does not shield the jury from unnecessary evidence.
Instead, it inappropriately withholds consideration of an actor‟s alleged legal fault. This is
contrary to justice and is an affront to the basic principle that “the plaintiff is in control of her
own case and can proceed as she sees fit.” Smith v. Methodist Hosps. of Memphis, 995
S.W.2d 584, 591 (Tenn. Ct. App. 1999). As the South Carolina Supreme Court opined when
it rejected the preemption rule:
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[I]t is a rather strange proposition that a stipulation as to one cause of action
could somehow “prohibit” completely the pursuit of another. A plaintiff may,
in a single lawsuit, assert many causes of action against a defendant. The
considerations limiting a plaintiff‟s available causes of action in the typical
case are that the plaintiff must be able to demonstrate a prim[a] facie case for
each cause of action and that a plaintiff may ultimately recover only once for
an injury. Thus, although the Insurer‟s stipulation as to vicarious liability
ensures that the Insurer (standing in the shoes of [the defendant employer])
will be liable for the [plaintiff‟s] injuries, that is the only practical effect of the
stipulation. Such practical considerations, in our opinion, ought not require the
preclusion of a claim based upon [the defendant employer‟s] alleged
negligence in hiring[.]
James v. Kelly Trucking Co., 661 S.E.2d 329, 332 (S.C. 2008).
Although the adoption of the preemption rule is not consistent with our comparative
fault system, it is also potentially problematic as a matter of judicial economy. We fear that
an employer that pays a plaintiff‟s damages pursuant to a successful vicarious liability claim
could then seek contribution from the defendant employee. Despite the Tennessee Supreme
Court‟s initial pronouncement in McIntyre that the doctrine of joint and several liability was
“obsolete,” McIntyre, 833 S.W.2d at 58, there are instances where it still exists, making
contribution an appropriate remedy. Indeed, in General Electric Co. v. Process Control Co.,
969 S.W.2d 914 (Tenn. 1998), our Supreme Court stated as follows:
McIntyre v. Balentine, 833 S.W.2d 52 (Tenn. 1992), did not
“completely abolish the remedy of contribution.” Bervoets v. Harde Ralls
Pontiac–Olds, Inc., 891 S.W.2d 905, 907 (Tenn. 1994). Contribution may still
be viable in the following limited circumstances:
....
[C]ases in which joint and several liability continues to apply under
doctrines such as the family purpose doctrine, cases in which
tortfeasors act in concert or collectively with one another, cases in
which the doctrine of respondeat superior permits vicarious
liability due to an agency-type relationship, or in the “appropriate”
products liability case, see Resolution Trust Corp. v. Block, 924 S.W.2d
354 (Tenn. 1996); Camper v. Minor, 915 S.W.2d 437 (Tenn. 1996);
Owens v. Truckstops of Amer., 915 S.W.2d 420 (Tenn. 1996)[.]
Id. at 916 (emphasis added). Assuming that an employer does pursue a contribution action,
the factfinder will then have to apportion fault between the employer and employee. See
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Tenn. Code Ann. § 29-11-102 (2012) (providing a right of contribution “in favor of a tort-
feasor who has paid more than the proportionate share of the shared liability between two (2)
or more tort-feasors for the same injury or wrongful death”). This would be a waste of
judicial resources where a plaintiff has attempted to recover on account of an employer‟s
alleged fault in the underlying lawsuit. If we allow a jury to apportion fault in a contribution
action, they are capable of doing so in the tort action brought by the original plaintiff.
Although the preemption rule endeavors, in part, to guard juries from being prejudiced
by evidence that could be used to support independent negligence claims against an
employer, see, e.g., Clooney v. Geeting, 352 So. 2d 1216, 1220 (Fla. Dist. Ct. App. 1977)
(“Since the stricken counts impose no additional liability but merely allege a concurrent
theory of recovery, the desirability of allowing these theories is outweighed by the prejudice
to the defendants.”), this fear of prejudice is not a sufficient justification for eliminating an
entire cause of action from the court. Assuming that the evidence used to support an
independent negligence claim against the employer is potentially prejudicial, we note that
trial judges are in a position to ensure that the proceedings conducted are fair to all parties.
Indeed, trial judges may explain to the jury the permissible use of the evidence that is
submitted. The South Carolina Supreme Court previously explained the protections that exist
with regard to this issue:
[W]e think the argument that an independent cause of action against an
employer must be precluded to protect the jury from considering prejudicial
evidence presumes too much. Our court system relies on the trial court to
determine when relevant evidence is inadmissible because its probative value
is substantially outweighed by the danger of unfair prejudice, confusion of the
issues, or misleading the jury. Rule 403, SCRE.[5] Similarly, we rely on the
trial court to craft instructions describing what a jury may or may not infer
from a particular piece of evidence, and we grant the trial court discretion to
give such instructions to the jury at the time such evidence is introduced, when
charging the jury at the close of the case, or at any proper time in between. In
our view, the argument that the court must entirely preclude a cause of action
to protect the jury from considering prejudicial evidence gives impermissibly
short-shrift to the trial court‟s ability to judge the admission of evidence and to
protect the integrity of trial, and to the jury‟s ability to follow the trial court‟s
instructions.
James, 661 S.E.2d at 331.
5
We observe that Rule 403 of the South Carolina Rules of Evidence is identical to Rule 403 of the Tennessee
Rules of Evidence.
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Fear of prejudice alone is simply not a valid reason for eliminating what is an
otherwise valid cause of action. If the trial court believes that jury instructions are
insufficient to guard against potential prejudice, it may always bifurcate the proceedings
pursuant to Rule 42.02 of the Tennessee Rules of Civil Procedure. Indeed, under that rule:
The court for convenience or to avoid prejudice may in jury trials order a
separate trial of any or more claims, cross-claims, counterclaims, or third-party
claims, or issues on which a jury trial has been waived by all parties. For the
same purposes the Court may, in nonjury trials, order a separate trial of any
one or more claims, cross-claims, counterclaims, third-party claims, or issues.
Tenn. R. Civ. P. 42.02 (emphasis added). Several commentators have identified bifurcation
as a procedural tool that addresses concerns of prejudice, while preserving a plaintiff‟s
legitimate cause of action. See Blitz, supra, at 545; Burns, supra, at 678-79; see also Mincer,
supra, at 263-64 (touting the merits of the preemption rule but arguing that the proceedings
should be bifurcated in the limited instances where a direct negligence claim is allowed to
proceed to trial).
One article, in attempting to reconcile the viability of a negligent entrustment claim
with an employer‟s admission of vicarious liability, described the mechanics of the procedure
as follows:
[P]laintiff would first attempt to prove that the driver‟s negligence was the
proximate cause of his injury. The jury would decide this issue without having
heard evidence of the driver‟s reckless character. If the jury found the driver
not negligent, the case would be over, inasmuch as the entrustee‟s negligence
as the proximate cause of plaintiff‟s injury is an essential part of the theory of
negligent entrustment. If, however, the jury found the driver negligent, thus
also finding the defendant [employer] vicariously liable in accordance with his
admission, plaintiff would then be allowed to prove negligent entrustment,
preferably without delay and to the same jury. At this time evidence of the
driver‟s general recklessness, incompetence, or inexperience, and the
defendant‟s knowledge thereof, would be admissible.
Blitz, supra, at 545 (internal footnote omitted). Bifurcating the proceedings eliminates any
potential that the independent negligence claims would prejudicially impact the jury‟s
determination of the defendant employee‟s legal culpability. Moreover, it rightfully
preserves the plaintiff‟s ability to pursue all the legal rights that are available.
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A few points deserve mentioning if a trial court chooses to bifurcate the proceedings
out of a concern of prejudice. First, it is advisable that the trial court permit the jury to assess
damages at the end of the first phase of trial. A plaintiff‟s compensatory damages are fixed,
and they neither increase nor decrease by maintaining the additional negligence claim against
the employer. By permitting an assessment of damages at the end of the first phase of trial,
the trial court would alleviate any concern that the plaintiff‟s independent negligence claim
somehow fostered a duplicative recovery. Second, the jury‟s allocation of fault should not
occur until the end of the second phase of trial. Only at that point will all alleged fault have
been considered by the jury, thereby allowing the jury to properly weigh the relative fault of
all actors. In the event a plaintiff‟s independent negligence claims against the employer are
also used to support a valid punitive damages claim, we note that the second phase of trial
will require additional furcation. See Hodges v. S.C. Toof & Co., 833 S.W.2d 896, 901
(Tenn. 1992) (holding that liability for punitive damages must first be established in a
separate proceeding before the amount of punitive damages can be determined).
Given our opinion that the preemption rule should not be adopted in Tennessee, we
conclude that the trial court erred in dismissing Ms. Jones‟ asserted claims of direct
negligence against the Defendant Employers. An admission of vicarious liability does not
insulate an employer from defending independent negligence claims, and Ms. Jones should
not be prevented from pursuing her claims. With that said, it is important to note that our
review on appeal has been limited. We do not hold that Ms. Jones‟ claims have substantive
validity, and we do not express an opinion on whether Ms. Jones will be able to adduce proof
sufficient to support them. We merely hold that it was improper to dismiss the direct
negligence claims against the Defendant Employers on account of the preemption rule.6
Whether Ms. Jones‟ claims have any merit is subject to further proceedings in the trial court.
In light of our disposition herein, the second issue for which we granted review is
largely pretermitted. The second issue concerns whether the trial court erred in dismissing all
claims for compensatory damages against the Defendant Employers while allowing a claim
for punitive damages to nonetheless proceed. In their briefs, the parties have addressed this
6
As we previously alluded to, it is clear to us that the trial court was either attempting to adopt the preemption
rule or was attempting to adopt the preemption rule but nonetheless recognize an exception for punitive
damages. Given our holding that the preemption rule is not viable in Tennessee, it is obvious that dismissal of
the direct negligence claims was improper on either basis. Indeed, even if we surmise that the court was
attempting to adopt the rule but honor a punitive damages exception, we note that states that recognize such an
exception to the rule allow the maintenance of a direct negligence claim against the employer when a valid
punitive damages claim is present. Of course, because we conclude that Tennessee does not recognize the
preemption rule, there is no need for an exception. There simply was no basis to dismiss the independent
claims against the Defendant Employers on account of their admission that they were vicariously liable for Ms.
Windham‟s negligence.
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issue from two angles. First, the parties have suggested that the trial court‟s ultimate
disposition is inconsistent inasmuch as the punitive damages claim against the Defendant
Employers survived summary judgment without an accompanying claim supporting any
compensatory damages against them. We have discussed this inconsistency previously in this
Opinion. There is no question that the punitive damages claim against the Defendant
Employers could not stand on its own absent an award of “actual damages,” see B & L Corp.
v. Thomas & Thorngren, Inc., 162 S.W.3d 189, 223 (Tenn. Ct. App. 2004), and as such, we
agree with both parties that the trial court‟s ultimate disposition is untenable. There is no
basis for a single, stand-alone punitive damages claim by itself. Of course, in light of our
determination that the trial court‟s dismissal of the direct negligence claims against the
Defendant Employers should be reversed, this incongruity problem no longer exists.
The parties have also addressed the second presented issue from the standpoint of
whether the direct negligence claims asserted against the Defendant Employers are viable in
light of a punitive damages exception to the preemption rule. Given our holding that the
preemption rule is inconsistent with current Tennessee law, it is not necessary to address this
question. If there is not a rule barring a claim, any potential exceptions to the rule are
irrelevant. Indeed, because we conclude that the preemption rule does not govern, Ms.
Jones‟ claims should not have been dismissed.
Although the Defendants have additionally requested that we review whether Ms.
Jones‟ claim for punitive damages should have been dismissed at summary judgment, this is
not an issue for which we granted this Rule 10 extraordinary appeal. “For extraordinary
appeals, the issues are limited to those specified in this court‟s order granting the
extraordinary appeal.” Heatherly v. Merrimack Mut. Fire Ins. Co., 43 S.W.3d 911, 914
(Tenn. Ct. App. 2000) (citation omitted). Accordingly, we decline to review the trial court‟s
decision to allow the punitive damages claim to survive summary judgment.
Conclusion
Because the preemption rule does not apply in Tennessee, an employer‟s admission of
vicarious liability does not insulate the employer from other legal claims asserted by a
plaintiff. We must therefore reverse the trial court‟s dismissal of the direct negligence claims
asserted against the Defendant Employers. The costs of this appeal are assessed against the
Appellees Remark Chism, Kimberly Chism, and Shavonna Rachelle Windham, for all of
which execution may issue if necessary. This case is remanded to the trial court for the
collection of costs, enforcement of the judgment, and for such further proceedings as may be
necessary and are consistent with this Opinion.
_________________________________
ARNOLD B. GOLDIN, JUDGE
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