If this opinion indicates that it is “FOR PUBLICATION,” it is subject to
revision until final publication in the Michigan Appeals Reports.
STATE OF MICHIGAN
COURT OF APPEALS
ESTATE OF JEREMY WAYNE BURD, by UNPUBLISHED
JESSICA BURD, Personal Representative, May 13, 2021
Plaintiff-Appellant,
v No. 352894
Washtenaw Circuit Court
THOMPSON BLOCK PARTNERS, INC., LC No. 18-001301-NI
THOMPSON BLOCK REDEVELOPMENT, LLC,
and HISTORIC EQUITIES FUND 1, LLC,
Defendants-Appellees,
and
JC BEAL CONSTRUCTION, INC.,
Defendant/Third-Party Plaintiff-
Appellee,
and
BEAL CONSTRUCTION SERVICES, INC.,
Third-Party Defendant.
Before: K. F. KELLY, P.J., and SERVITTO and LETICA, JJ.
PER CURIAM.
In this wrongful-death action, decedent, Jeremy Burd, died while performing demolition
work as an employee of a subcontractor on a construction project. Following Burd’s death, the
personal representative of his estate filed suit against the general contractor for the project as well
as the owner of the building and other entities. The trial court granted summary disposition to
defendants. Plaintiff appeals as of right. We affirm.
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I. BASIC FACTS
Burd died while performing demolition work on a building in Ypsilanti, referred to by the
parties as the “Thompson Block Building.” The building was constructed in approximately 1860,
making it more than 150 years old. It is a large, three-story building that has been subjected to
water and fire damage; it has been described as being in “very poor condition.” According to
deposition testimony from individuals involved with the demolition, the poor condition of the
building included rotting wood, such as floors and joists, and crumbling brick.
At the time of Burd’s death, defendant, Thompson Block Partners, Inc. (Thompson
Partners), owned the building and planned to renovate the building for redevelopment to include
residential lofts and commercial space.1 As the owner, Thompson Partners contracted with
defendant JC Beal Construction, Inc., (JC Beal) to act as general contractor for the project. In turn,
JC Beal subcontracted with third-party defendant, Beal Construction Services, Inc., (BCS), to
perform the demolition work on the building. Burd was employed by BCS.
On the day of his death, Burd and other BCS employees, who were under Burd’s
supervision, were demolishing floors in an area of the building known as “bay six.” For safety
reasons, work on the floors should have been conducted from the top down, meaning that workers
would first remove the floor boards, then remove the joists, and finally remove beams and support
columns. But Burd and the others were working from underneath, in the basement, by cutting the
joists and passing them up to other workers on the floor. While in the basement, Burd asked
another BCS employee, Timothy Ott, for a sledgehammer. After Ott handed Burd a
sledgehammer, Burd said: “I’m going to knock [the support columns] out right now.” Burd then
used the sledgehammer to topple two support posts or columns. After Burd hit the second post,
the floor above him collapsed. The floor—and a pile of wood stacked above—fell on Burd,
trapping him beneath. Burd died of positional asphyxia.
Following an investigation by the State of Michigan, BCS was cited for several violations
of the demolition standards under the Michigan Occupational Safety and Health Act (MIOSHA),
MCL 408.1001 et seq., and related regulations. The violations related to BCS’s failure to work
from the top down, failure to have an appropriate demolition plan and training for workers, failure
to conduct proper inspections, and the existence of safety hazards, such as the wood piled on the
first floor in bay six. A postaccident engineering survey documented deteriorating wood and
bricks in the building. Given these conditions, the survey indicated that workers should not have
been underneath the first floor during demolition and that lumber should not have been stacked on
the first floor.
Following Burd’s death, plaintiff filed the current wrongful-death action. The complaint
named four defendants: (1) Thompson Partners, (2) Thompson Redevelopment, (3) Historic
Equities, and (4) JC Beal. Regarding Thompson Partners, Thompson Redevelopment, and Historic
1
Defendant Historic Equities Find 1, LLC, was one of several investors in Thompson Partners.
Defendant Thompson Block Redevelopment, LLC, (Thompson Redevelopment), did not exist at
the time of Burd’s death.
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Equities, the complaint alleged one claim of premises liability. Regarding JC Beal, the complaint
alleged three claims: (1) JC Beal was negligent in performing its contractual obligations under its
general-contractor agreement, (2) premises liability, and (3) liability as a general contractor under
the common-work-area doctrine.2 Among the damages plaintiff sought were those for Burd’s two
biological children and three foster children, who were adopted by Burd’s wife after Burd’s death.
Defendants filed several motions for summary disposition, seeking dismissal of all claims
and a determination that the foster children adopted after Burd’s death were not entitled to damages
under the wrongful-death act, MCL 600.2922. At a hearing on the summary disposition motions,
plaintiff acknowledged that it had not responded to whether Thompson Redevelopment and
Historic Equities were entitled to summary disposition.3 Plaintiff also conceded that it was not
contesting JC Beal’s motion for summary disposition with respect to the claim founded on a
general-contractor theory of liability.
Following the hearing, the trial court granted summary disposition on all counts,
concluding that the case was “not a premises [liability] case” and essentially adopting defendants’
arguments. Relevant to this appeal, the trial court concluded that defendants lacked possession
and control over the property, that Burd was not injured by a hazardous condition on the land but
by his own actions, that any hazard was open and obvious, and that plaintiff’s negligence claim
failed because it identified no duty separate and distinct from a contract. The trial court also
granted JC Beal’s motion related to the foster children’s ineligibility for damages. Plaintiff now
appeals.
II. STANDARDS OF REVIEW
“We review de novo a trial court’s decision to grant a motion for summary disposition.”
Magley v M & W Inc, 325 Mich App 307, 313; 926 NW2d 1 (2018). In this case, defendants
primarily moved for summary disposition under MCR 2.116(C)(10), and with respect to the foster
children’s damages, JC Beal also sought summary disposition under MCR 2.116(C)(8).
Summary disposition is proper under MCR 2.116(C)(8) if [t]he opposing party has
failed to state a claim on which relief can be granted. A motion under
MCR 2.116(C)(8) tests the legal sufficiency of the complaint on the allegations of
the pleadings alone. All well-pleaded allegations must be accepted as true and
2
JC Beal in turn filed a third-party complaint against BCS, alleging that BCS was required to
defend and indemnify JC Beal against plaintiff’s claims. The trial court later granted summary
disposition to JC Beal on the third-party complaint.
3
Given this concession in the trial court, and plaintiff’s failure to address Historic Equities and
Thompson Redevelopment on appeal, we consider any claim pertaining to these defendants to be
abandoned, and we will not address these defendants further on appeal. See State Treasurer v
Sprague, 284 Mich App 235, 243; 772 NW2d 452 (2009) (“Failure to brief a question on appeal
is tantamount to abandoning it.”).
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construed in the light most favorable to the nonmoving party. Only when no factual
development could possibly justify recovery, should the motion be granted.
Summary disposition is proper under MCR 2.116(C)(10) if there is no
genuine issue as to any material fact, and the moving party is entitled to
judgment . . . as a matter of law. A motion under MCR 2.116(C)(10) tests the
factual support of a complaint. A court must consider the pleadings, affidavits,
depositions, admissions, and other documentary evidence in the light most
favorable to the nonmoving party. A genuine issue of material fact exists when the
record, giving the benefit of reasonable doubt to the opposing party, leaves open an
issue upon which reasonable minds might differ. [Hanlin v Saugatuck Twp, 299
Mich App 233, 239; 829 NW2d 335 (2013) (quotation marks and citations omitted;
alteration in original).]
Questions involving statutory interpretation are reviewed de novo. Id. at 240. “Whether a
defendant is under a legal obligation to act for a plaintiff’s benefit—i.e., whether a defendant owes
a particular plaintiff a duty—is a question of law,” which this Court reviews de novo. Loweke v
Ann Arbor Ceiling & Partition Co, LLC, 489 Mich 157, 162; 809 NW2d 553 (2011).
III. PREMISES LIABILITY
Plaintiff first argues that the trial court erred by granting summary disposition to Thompson
Partners and JC Beal on the claims for premises liability. Contrary to the trial court’s conclusions
that plaintiff could not maintain a claim for premises liability, plaintiff argues (1) that Thompson
Partners or JC Beal, or both, had possession and control of the property, either in their own right
or under an instrumentality theory with BCS as their alter ego, (2) that Burd was injured by a
condition on the land, namely—“the condition of the joists, joist ends and the masonry ‘pockets’
into which they were inserted,” (3) that this hazard was not open and obvious, (4) that JC Beal and
Thompson Partners had actual or constructive notice of this hazard, (5) that foreseeability
presented a question of fact, and (6) that the “repairman rule” did not bar plaintiff’s claims but
provided an alternate basis for holding Thompson Partners liable. We disagree.
In a premises liability action, a plaintiff’s injury arises “from an allegedly dangerous
condition on the land.” Buhalis v Trinity Continuing Care Servs, 296 Mich App 685, 692; 822
NW2d 254 (2012). A premises liability claim is distinct from a claim for ordinary negligence, id.,
and it is separate from a claim for contractor liability involving repairs to the property, 4 see
4
At the outset, we emphasize that plaintiff abandoned its general contractor theory of liability in
the trial court. That is, under the common law, “property owners and general contractors generally
could not be held liable for the negligence of independent subcontractors and their employees.”
Ormsby v Capital Welding, Inc, 471 Mich 45, 53; 684 NW2d 320 (2004). An exception to this
rule is the “common work area doctrine,” under which a general contractor may be held liable
when a plaintiff shows that:
(1) the defendant, either the property owner or general contractor, failed to take
reasonable steps within its supervisory and coordinating authority (2) to guard
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Ghaffari v Turner Constr Co, 473 Mich 16, 23; 699 NW2d 687 (2005). See also Butler v Ramco-
Gershenson, Inc, 214 Mich App 521, 534; 542 NW2d 912 (1995). To establish a claim for
premises liability, a plaintiff must show that “(1) the defendant owed the plaintiff a duty, (2) the
defendant breached that duty, (3) the breach was the proximate cause of the plaintiff’s injury, and
(4) the plaintiff suffered damages.” Benton v Dart Props, Inc, 270 Mich App 437, 440; 715 NW2d
335 (2006).
The duty owed by a landowner or possessor differs depending on the plaintiff’s status on
the land. Id. In this case, given Burd’s status as an employee of a subcontractor on the project,
there can be no dispute that Burd was an invitee, placing him among the class to whom a landowner
owes the greatest duty of a care. See Perkoviq v Delcor Homes-Lake Shore Pointe, Ltd, 466 Mich
11, 14; 643 NW2d 212 (2002); Hoffner v Lanctoe, 492 Mich 450, 460 n 8; 821 NW2d 88 (2012).
“With regard to invitees, a landowner owes a duty to use reasonable care to protect invitees from
unreasonable risks of harm posed by dangerous conditions on the owner’s land.” Hoffner, 492
Mich at 460 (footnote omitted). This duty is breached “when the premises possessor knows or
should know of a dangerous condition on the premises of which the invitee is unaware and fails to
fix the defect, guard against the defect, or warn the invitee of the defect.” Id.
A. POSSESSION AND CONTROL
Initially, we must decide whether plaintiff can show that Thompson Partners or JC Beal,
or both, had possession and control of the property as required to maintain a claim for premises
liability.
“Premises liability is conditioned on the presence of both possession and control over the
land.” Scola v JP Morgan Chase Bank, Nat’l Ass’n, ___ Mich ___, ___; 949 NW2d 147, 148
(2020). “This rule is based on the principle that a party in possession is in a position of control,
and normally best able to prevent any harm to others.” Finazzo v Fire Equip Co, 323 Mich App
620, 627; 918 NW2d 200 (2018) (quotation marks, citation, and emphasis omitted). For purposes
of premises liability, a “possessor” of property is defined as:
(a) a person who is in occupation of the land with intent to control it or
(b) a person who has been in occupation of land with intent to control it, if
no other person has subsequently occupied it with intent to control it, or
against readily observable and avoidable dangers (3) that created a high degree of
risk to a significant number of workmen (4) in a common work area. [Id. at 54.]
In this case, although plaintiff initially filed a complaint for contractor liability against JC
Beal, it abandoned that theory when it conceded that it would not be challenging JC Beal’s motion
for summary disposition relating to Ormsby and the common-work-area doctrine. Plaintiff also
fails to address this claim on appeal. See State Treasurer, 284 Mich App at 243. At this time, the
issue before us is a question of premises liability, which must not be confused with general-
contractor liability under Ormsby and the common-work-area doctrine. See Perkoviq v Delcor
Homes-Lake Shore Pointe, Ltd, 466 Mich 11, 19; 643 NW2d 212 (2002).
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(c) a person who is entitled to immediate occupation of the land, if no other
person is in possession under Clauses (a) and (b). [Merritt v Nickelson, 407 Mich
544, 552; 287 NW2d 178 (1980) (quotation marks and citation omitted).]
Possession of property may be joint between multiple parties. See Siegel v Detroit City Ice
& Fuel Co, 324 Mich 205, 214; 36 NW2d 719 (1949). But it is also possible for an owner, or
someone otherwise having a right of possession, to cede complete possession and control of the
property to another. See Merritt, 407 Mich at 554. “Ownership alone is not dispositive” of
possession and control. Id. at 552. “Possession and control are certainly incidents of title
ownership, but these possessory rights can be ‘loaned’ to another, thereby conferring the duty to
make the premises safe while simultaneously absolving oneself of responsibility.” Id. at 552-553.
This loaning of possessory rights operates to confer the “duty to make safe” and serves to make
“the other party responsible for the care of invitees with respect to that part of possession and
control conferred.” Finazzo, 323 Mich App at 628.
As we explained in Finazzo, one situation in which possession and control may be loaned
to another involves ceding possession and control to a general contractor, or in some cases,
multiple contractors, in order that the contractor or contractors can make changes to the property.
See id. at 628-630. Adopting the approach from the Restatement of Torts, this Court explained:
One who on behalf of the possessor of land erects a structure or creates any
other condition on the land is subject to the same liability, and enjoys the same
freedom from liability, as though he were the possessor of the land, for physical
harm caused to others upon and outside of the land by the dangerous character of
the structure or other condition while the work is in his charge. [Id. at 629, quoting
2 Restatement of Torts, 2d, § 384.]
This rule “applies to anyone who erects a structure upon land or alters its physical condition on
behalf of its possessor, irrespective of whether he does so as a servant of the possessor or as a paid
or unpaid independent contractor.” 2 Restatement of Torts, 2d, § 384, comment c. For example,
in Finazzo, 323 Mich App at 629, we applied this rule to a contractor hired to “make changes to
[a] computer room by installing a fire suppression system . . . .” In some cases, multiple
contractors may be involved, and when work on the property is divided among several parties,
their respective liability is as follows:
A possessor of land may put a number of persons severally in charge of the
particular portions of the work of erecting a structure or creating any other condition
upon the land. Again, a general contractor employed to do the whole of the work
may, by the authority of his employer, sublet particular parts of the work to
subcontractors. In such a case, the rule stated in this Section applies to subject the
particular contractor or subcontractor to liability for only such harm as is done by
the particular work entrusted to him. This is also true where a master divides among
several servants or contractors the erection of a structure or retains in his own
charge a part of the task of erection. [2 Restatement of Torts, 2d, § 384, comment d.
See also Finazzo, 323 Mich App at 629.]
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Ultimately, it is the general rule “that liability for a dangerous condition should fall on the party
having power to prevent injury to others on the premises.” Finazzo, 323 Mich App at 629.
1. THOMPSON PARTNERS AS OWNER
In this case, Thompson Partners owned the property. But aside from this mere ownership,
there is no evidence that Thompson Partners exercised possession or control over the property.
Notably, the building was undergoing extensive demolition and construction. Thompson Partners
played no role in these construction activities, and although Thompson Partners, as the owner had
a right of possession, there is no evidence that Thompson Partners actually exercised any
possessory rights over the unoccupied building while it was undergoing demolition. See Kubczak
v Chem Bank & Trust Co, 456 Mich 653, 661; 575 NW2d 745 (1998) (“[P]ossession for purposes
of premises liability does not turn on a theoretical or impending right of possession, but instead
depends on the actual exercise of dominion and control over the property.”).
Of course, we do not suggest that an owner surrenders possession every time a contractor
is hired to perform work on a property. Typically, an owner retains possession during “ordinary
repairs” to the property, while in contrast, possession is usually “surrendered fully in the case of
construction or demolition work,” as when, for example, the owner “moves out of his building and
surrenders it to the contractor while it is undergoing construction, demolition, or repair.”
2 Restatement of Torts, 2d, § 422, comment c. The undisputed facts demonstrate that this is a case
of extensive demolition in which Thompson Partners surrendered the building to its contractors,
and in doing so, ceded full possession and control during demolition. See id.; Merritt, 407 Mich
at 552-554. Absent possession and control of the property in question, Thompson Partners cannot
be held liable under a premises liability theory. See Scola, ___ Mich at ___; 949 NW2d at 148.
2. JC BEAL AS GENERAL CONTRACTOR
Whether JC Beal had possession and control poses a closer question. In ceding control of
the building, Thompson Partners retained JC Beal to act as general contractor. However, JC Beal
in turn subcontracted with BCS to perform the demolition work on the building. Indeed, everyone
appears to agree that BCS had possession and control of the building. Plaintiff contends that this
possession was joint and that JC Beal also had possession and control because (1) Fred Beal (a
member and manager of JC Beal) and Jeff Laswell (a JC Beal employee and project manager)
went to the site on occasion, (2) JC Beal maintained a trailer on the property, and (3) JC Beal had
a dumpster on the property, which BCS could use. In contrast, in moving for summary disposition,
JC Beal offered an affidavit from Stewart Beal (BCS’s president) to the effect that BCS had sole
control of the building during demolition and was the only entity with keys to the building during
that time.
Viewing the evidence presented in a light most favorable to plaintiff, the evidence pointed
to by plaintiff does not establish a material question of fact regarding whether JC Beal, as the
general contractor, possessed the property. Certainly, JC Beal was at all times the general
contractor on the project, and in this role, there were occasional visits by JC Beal personnel to the
property, and there was a JC Beal trailer on site. However, the fact remains that, under
2 Restatement of Torts, 2d, § 384, comment d, which was adopted by this Court in Finazzo, 323
Mich App at 629, a general contractor, like a property owner, may “sublet particular parts of the
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work to subcontractors,” and in such cases, a “particular contractor or subcontractor [is subject] to
liability for only such harm as is done by the particular work entrusted to him.” BCS had sole
responsibility for the demolition work on the building and the extensive nature of this work was
such that BCS possessed the property while this work was ongoing. See 2 Restatement of Torts,
2d, § 422, comment c. JC Beal, in contrast, performed no demolition work and was not in
possession at the time of Burd’s accident. Notwithstanding the presence of a trailer and an
occasional visit to the site, JC Beal did not exercise control over the demolition as would support
the conclusion that JC Beal should be held liable. See Finazzo, 323 Mich App at 629-630;
2 Restatement of Torts, 2d, § 384, comment d. Instead, for purposes of premises liability, liability
for a dangerous condition arising on the property during demolition falls to BCS because it was
the party with the power to prevent any injury.5 See Finazzo, 323 Mich App at 629.
3. ALTER-EGO THEORY
Seeming to recognize the primacy of BCS’s possession and control over the building
during demolition, plaintiff also argues—indeed, it appears to be plaintiff’s primary contention—
that JC Beal and Thompson Partners had possession through BCS because BCS was a mere
instrumentality or alter ego of the other entities. This argument lacks merit.6
It is a well-settled presumption in Michigan that, “absent some abuse of corporate form,”
separate corporate entities will be respected as such. Seasword v Hilti, Inc, 449 Mich 542, 547;
537 NW2d 221 (1995). To warrant disregarding separate corporate forms, “the plaintiff must aver
facts that show (1) that the corporate entity is a mere instrumentality of another entity or individual,
(2) that the corporate entity was used to commit fraud or a wrong, and (3) that, as a result, the
plaintiff suffered an unjust injury or loss.” Dutton Partners, LLC v CMS Energy Corp, 290 Mich
App 635, 643; 802 NW2d 717 (2010).
On appeal, plaintiff focuses solely on the instrumentality question, emphasizing the father-
and-son connection between Fred and Stewart Beal, the Beals’ involvement with the various
entities, testimony suggesting commingling of employees, business dealings between the entities,
5
We again emphasize that the issue before us is one for premises liability. Potentially, on a proper
showing, JC Beal could have been held liable under a general-contractor theory. But, at this point,
plaintiff has abandoned its general contractor claim, and the issue on appeal is one of premises
liability, meaning the question is whether JC Beal possessed and controlled the property despite
the fact that BCS had been entrusted with sole responsibility for the demolition. See Finazzo, 323
Mich App at 628-629; 2 Restatement of Torts, 2d, § 384, comment d.
6
On appeal, JC Beal notes that plaintiff failed to plead an alter ego or instrumentality theory in its
complaint. Having failed to plead such a theory, to the extent that JC Beal’s possession is
dependent on an alter-ego theory, plaintiff’s complaint could have been dismissed under
MCR 2.116(C)(8). See Dutton Partners, LLC v CMS Energy Corp, 290 Mich App 635, 642; 802
NW2d 717 (2010). However, although JC Beal raised this issue in a reply brief in the trial court,
JC Beal did not move for summary disposition under MCR 2.116(C)(8) on this basis. Therefore,
JC Beal’s pleading argument is unpreserved and we decline to resolve the issue on this basis. See
Dutton Partners, LLC, 290 Mich App at 642 n 3.
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and the fact that all the entities were involved with the Thompson Block Building project.
Certainly, such factors may be relevant to the instrumentality question, and it is likely that the
evidence offered by plaintiff would establish a material question of fact regarding instrumentality.
See id. at 643-644. However, fatal to plaintiff’s alter-ego argument is its failure to address, or to
offer any evidence to establish, that JC Beal or Thompson Partners used BCS merely as an
instrumentality “to commit fraud or a wrong.” See id. The facts of this case are similar to those
in Dutton, 290 Mich App at 644, in which we explained:
Legitimate questions exist regarding whether Consumers is a mere instrumentality
of defendant, given the conflicting evidence presented below. However, the trial
court erred by denying summary disposition because [the] plaintiff failed to
demonstrate any evidence of fraud, wrongdoing, or misuse of the corporate form.
And after our review of the record, we cannot find any factual evidence showing
that [the] defendant merely used Consumers to commit fraudulent or otherwise
wrongful acts. Nothing in the record demonstrates that Consumers was so
controlled or manipulated by [the] defendant in relation to Consumers’
maintenance, ownership, and repair of the pipeline that [the] defendant was
somehow abusing its corporate shield for its own purposes. Thus, given the absence
of any evidence of fraud or misuse, summary disposition for [the] defendant should
have been granted.
In short, “a showing of fraud, wrongdoing, or misuse is required under Michigan law in order to
prevail on an alter-ego theory of liability,” id. at 645, and having failed to make such a showing,
plaintiff cannot prevail on an alter-ego theory.7 Because plaintiff’s alter-ego theory lacks merit
and plaintiff cannot otherwise show possession and control by JC Beal and Thompson Partners,
the trial court did not err by granting summary disposition to Thompson Partners and JC Beal with
regard to plaintiff’s premises-liability claim.
7
Tangentially, we note that, even if successful, plaintiff’s alter-ego theory could be problematic
for plaintiff. As JC Beal notes on appeal, if BCS is a mere instrumentality, there would be a
legitimate question whether Burd was actually an employee of JC Beal, making his claims against
JC Beal subject to the exclusive remedy provision in MCL 418.131 of the Worker’s Disability
Compensation Act (WDCA), MCL 418.101 et seq. See Muscat v Khalil, 150 Mich App 114, 124;
388 NW2d 267 (1986). In other words, treatment of the corporate form involves questions of
equity, and it seems unlikely that equity would allow plaintiff to pierce the corporate veil for
purposes of pursuing tort claims, but to inconsistently maintain the existence of separate corporate
entities in order to receive worker’s compensation benefits while avoiding applicability of the
WDCA’s exclusive remedy provision. Cf. Wells v Firestone Tire & Rubber Co, 421 Mich 641,
651-652; 364 NW2d 670 (1984) (concluding that the plaintiff-employee of a subsidiary, who
disregarded separate corporate forms in order to obtain worker’s compensation benefits from the
parent corporation, could not then rely on existence of separate corporate forms to maintain a tort
action).
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B. DANGEROUS CONDITION ON THE LAND
In addition, we note that, even if we agreed with plaintiff’s arguments relating to possession
and control, we would conclude that Thompson Partners and JC Beal were nevertheless entitled to
summary disposition on other grounds. In particular, in the course of several of their arguments—
including those pertaining to notice, the open-and-obvious-danger doctrine, foreseeability,
causation, and the repairman rule—the parties also debate the underlying question of whether
Burd’s injury arose from a dangerous condition on the property. That is, Thompson Partners and
JC Beal assert that plaintiff cannot maintain a premises-liability claim because Burd was not
injured by a defect on the property, but by his own act of knocking down two support columns
with a sledgehammer. Plaintiff, in contrast, identifies the defect on the property as “the condition
of the joists, joist ends and the masonry ‘pockets’ into which they were inserted.” Relevant to this
question regarding the nature of a premises-liability action is that it involves an injury arising from
“an allegedly dangerous condition on the land.” Buhalis, 296 Mich App at 692. In this case,
although there is certainly evidence that the building was in poor condition, there is no evidence
that Burd’s injuries arose from any defect on the property. Instead, the undisputed facts indicate
that the floor above Burd collapsed after he knocked down two columns supporting the floor with
a sledgehammer.
We find these facts comparable to Jones v DaimlerChrysler Corp, 288 Mich App 99, 100-
101; 792 NW2d 425 (2010), rev’d in part 488 Mich 1036 (2011), in which the plaintiff was an
employee of an independent contractor hired to perform construction work on the owner’s
premises. He was injured when he fell through a trapdoor that had been opened by a coworker.
Id. Although concluding that the defendant-owner could not be held liable for the hazard caused
by the open trapdoor, this Court found a question of fact remained whether the presence, location,
and design of the door constituted a dangerous condition supporting a premises liability claim. Id.
at 108-110, 112-113. Reversing this Court’s decision, the Michigan Supreme Court stated:
The Court of Appeals theory of liability based on the presence, location and design
of the hinged metal floor hatch lacks legal and factual merit. The plaintiff, who
ordered the hatch to be opened, was not injured by the presence, location and design
of the hatch, but rather by falling through the hole that was created when the hatch
was opened. An owner of property cannot be held liable under premises liability
law for a design of the property that permits an invitee or person in control of the
property to create a hazardous condition where none existed before. [Jones, 488
Mich at 1036]
This rule applies regardless whether it is the injured party personally—or a coworker also
employed by the contractor—creates the hazardous condition. See Young v Delcor Assoc, Inc,
477 Mich 931, 931 (2006) (concluding that the plaintiff’s premises liability theory failed because,
among other reasons, the hazardous condition was “created by the independent contractor.”).
Likewise, contrary to plaintiff’s conclusory assertions, Burd was not injured by “the
condition of the joists, joist ends and the masonry ‘pockets’ into which they were inserted.” Burd
was injured by the collapse of the floor above him, which was caused by his use of a sledgehammer
to knock down two support columns in the basement. We can conceive of no duty that would
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require a premises possessor to construct or maintain a building such that its floors remain in place
when support columns are forcibly removed during demolition.
On appeal, none of the parties focus on the wood pile stacked on the floor above, which
also fell on Burd when the floor collapsed, but to the extent the presence of the wood contributed
to Burd’s death, the wood stacked during demolition was also a hazard created by BCS employees
that did not previously exist. See id. In short, Thompson Partners and JC Beal cannot be held
liable under premises liability law for Burd’s act—or that of any of BCS’s employees—that
created a hazardous condition that did not previously exist. See Jones, 488 Mich at 1036; Young,
477 Mich at 931.
C. REPAIRMAN RULE
Our conclusion that Thompson Partners and JC Beal cannot be held liable under premises
liability law for Burd’s act—or that of any of BCS’s employees—that created a hazardous
condition that did not previously exist is confirmed by consideration of the duty owed to
subcontractors on the property, an issue that the parties refer to as the “repairman rule.”8 As noted,
a premises owner has a duty to exercise reasonable care to protect invitees, including employees
of a contractor, “from an unreasonable risk of harm caused by a dangerous condition of the land
that the owner knows or should know the invitees will not discover, realize, or protect themselves
against.” Butler, 214 Mich App at 532. However, as an exception to this rule, a property owner
does not have “a duty to protect the injured plaintiff, an employee of an independent contractor
hired to perform construction work on the owner’s premises, from the hazardous condition that
contributed to the plaintiff’s injury, where the defendant delegated to the contractor the task of
performing the construction work.” Jones, 488 Mich at 1036. See also Butler, 214 Mich App
at 532 n 6.
This exception to duty does not apply, however, when “a risk separate and distinct from
those created by the defects to be repaired under the contract resulted in the injury or death of a
contractor or an employee.” Nemeth v Detroit Edison Co, 26 Mich App 481, 486; 182 NW2d 617
(1970) (quotation marks and citation omitted). For example, a worker on the property who was
hired to perform brick restoration was still owed a duty by the property owner with respect to the
risks related to coping blocks that fell from a parapet and injured a worker. See Butler, 214 Mich
App at 523-524, 532 n 6. Likewise, a contractor hired to paint walls was owed a duty with respect
to a defective electrical system and wires because the painter was not on the property to address
the electrical system. Wilhelm v Detroit Edison Co, 56 Mich App 116, 133; 224 NW2d 289 (1974).
In this case, focusing on “the condition of the joists, joist ends and the masonry ‘pockets,’ ”
plaintiff contends that Burd was not injured by the work that he was hired to perform and, thus, he
was owed a duty. This argument lacks merit for two reasons. First, as discussed, he was not
injured by the condition of the joists or the masonry pockets; he was injured when the floor
collapsed after he knocked down two support columns. Second, the demolition that BCS had been
8
In our review of the caselaw, we did not come across any case, published or unpublished, using
the phrase “repairman rule.” But for consistency with the parties’ arguments, we will refer to the
rule as such.
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hired to perform undisputedly included removal of the joists and flooring, meaning that the risk of
falling joists and flooring was not a separate and distinct risk as in Wilhelm or Butler. This case
falls squarely within the rule that Thompson Partners, as the property owner, did not have a duty
to protect Burd, as an employee of an independent contractor hired to perform work on the
premises, from the hazardous condition that contributed to Burd’s death because BCS had been
delegated the task of performing this work.9 See Jones, 488 Mich at 1036.
On appeal, plaintiff also contends that, even if this rule applies to a property owner, it does
not apply to JC Beal as a general contractor. In this regard, it is important to remember that, at
this point, plaintiff has abandoned its general-contractor claim and the claim at issue against JC
Beal is one for premises liability. “[T]he nature of the liability faced by one who possesses
premises, and by one who controls premises [as a general contractor] during their construction, are
distinct.” Ghaffari, 473 Mich at 25 n 4 (emphasis added). When a contractor is being sued under
a premises liability theory, rather than a general contractor theory, the contractor “is subject to the
same liability, and enjoys the same freedom from liability, as though he were the possessor of the
land.” 2 Restatement of Torts, 2d, § 384, comment d. JC Beal may have had additional duties in
its role as a general contractor for purposes of a potential general-contractor claim, but those duties
do not alter a determination of a possessor’s duty for purposes of a premises-liability claim. See
Ghaffari, 473 Mich at 24. The concepts are distinct. See id. Contrary to plaintiff’s arguments, if
JC Beal is going to be considered the possessor of the property for a premises liability, then JC
Beal “is subject to the same liability, and enjoys the same freedom from liability” as any other
possessor of the land. See 2 Restatement of Torts, 2d, § 384, comment d; see also Finazzo, 323
Mich App at 630 (applying the open and obvious danger doctrine, which does not apply to a
general contractor claim, to a premises liability claim against contractors in possession of the
property).
9
With respect to the repairman rule’s applicability to Thompson Partners, plaintiff also makes the
cursory argument that the repairman rule actually gives rise to a form of liability distinct from
premises liability and that Thompson Partners, as the building owner, may be held liable under
this distinct theory. Although plaintiff does not identify it as such, it appears that plaintiff is
referring to the “retained control” doctrine, under which a property owner is essentially held liable
as a general contractor because the property owner retained “sufficient control of the work so as
to act in a superintending capacity.” Ghaffari, 473 Mich at 31 n 7. Again, a general-contractor
theory of liability is separate from a premises liability claim. See Perkoviq, 466 Mich at 19. As
set forth in its complaint, plaintiff’s claim against Thompson Partners was for premises liability,
not general-contractor liability under a retained-control theory, and plaintiff has not sought to
amend its complaint to add a retained-control theory. Moreover, a retained-control theory of
liability, whether brought against a general contractor or an owner acting as general contractor,
only applies to common work areas. Candelaria v BC Gen Contractors, Inc, 236 Mich App 67,
74; 600 NW2d 348 (1999). Plaintiff does not address the common-work-area doctrine or otherwise
address Thompson Partners’ potential liability under a retained-control theory. This insufficiently
briefed issue, which plaintiff failed to plead in its complaint, will not be considered further. See
Lenawee Co v Wagley, 301 Mich App 134, 160; 836 NW2d 193 (2013); State Treasurer, 284 Mich
App at 243.
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D. OPEN AND OBVIOUS
We also conclude that Thompson Partners and JC Beal owed no duty to protect Burd from
the open and obvious hazard of a floor collapsing after two support columns were knocked down.
A premises owner has a duty to exercise reasonable care to protect invitees, including
employees of a contractor, “from an unreasonable risk of harm caused by a dangerous condition
of the land that the owner knows or should know the invitees will not discover, realize, or protect
themselves against.” Butler, 214 Mich App at 532. Integral to this duty owed to an invitee is the
question whether the hazard is open and obvious. Hoffner, 492 Mich at 460.
The possessor of land owes no duty to protect or warn of dangers that are open and
obvious because such dangers, by their nature, apprise an invitee of the potential
hazard, which the invitee may then take reasonable measures to avoid. Whether a
danger is open and obvious depends on whether it is reasonable to expect that an
average person with ordinary intelligence would have discovered it upon casual
inspection. This is an objective standard, calling for an examination of the
objective nature of the condition of the premises at issue. [Id. at 460-461 (quotation
marks and citations omitted).]
As an exception to the open and obvious danger doctrine, liability may arise when a hazard has
special aspects, meaning that the hazard is either effectively unavoidable or unreasonably
dangerous. Id. at 461-463.
In this case, again focusing on “the condition of the joists, joist ends and the masonry
‘pockets,’ ” plaintiff contends that the hazard was not open and obvious. But, as already discussed,
Burd was killed because the floor collapsed when he knocked down two support columns.10 Such
a hazard is readily discoverable by a person of average intelligence on casual observation.11
Indeed, other BCS employees at the scene—including Ott, Seth Adams, and Jonathan Deller—
recognized the risks involved. Ott and Deller easily saw the risk and thought that they should try
to prevent Burd from using the sledgehammer to hit the support columns, but there was simply not
time to stop him. And Adams testified that it was a matter of “common sense” that one should not
hit support columns. The danger of the floor collapsing if the posts were removed was an open
and obvious hazard; indeed, it was a known hazard created by Burd. Cf. Bredow v Land & Co,
10
Given the open and obvious nature of the hazard, this is not simply a question of Burd being
comparatively negligent, it is an instance in which Thompson Partners and JC Beal owed Burd no
duty in the first instance. See generally Riddle v McLouth Steel Prod Corp, 440 Mich 85, 95-100;
485 NW2d 676 (1992).
11
On appeal, there is some discussion by the parties about Burd’s expertise in demolition. This is
largely irrelevant, however, to the open and obvious danger doctrine, which involves “a reasonably
prudent person standard,” rather than consideration of subjective expertise. See Laier v Kitchen,
266 Mich App 482, 499; 702 NW2d 199 (2005) (opinion by NEFF, J.). In our view, the danger
that the floor above would collapse when two support columns are removed is objectively open
and obvious to an ordinary person, without regard to specialized demolition knowledge.
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498 Mich 890, 890 (2015) (concluding that the danger posed by large icicles and falling ice, which
the plaintiff undertook to knock down from the roof with a shovel, was open and obvious); Jones,
488 Mich at 1036 (concluding landowner was not liable when the plaintiff “was aware of the
hazard, and indeed had ordered its creation”). Plaintiff does not attempt to identify any special
aspect. Accordingly, under a premises-liability theory, Thompson Partners and JC Beal had no
duty to fix, guard against, or warn Burd of the hazard. See Hoffner, 492 Mich at 460-461.
E. NOTICE
Recognizing that Burd was not injured because of the condition of the joists or the masonry
pockets, but because the floor collapsed when Burd knocked down two support columns with a
sledgehammer, we also conclude that Thompson Partners and JC Beal lacked notice of the hazard
and cannot be held liable under a premises-liability theory.
To prevail on a premises-liability claim, a plaintiff must show that the defendant
“possessed actual or constructive notice of the dangerous condition.” Lowrey v LMPS & LMPJ,
Inc, 500 Mich 1, 10; 890 NW2d 344 (2016). A landowner will be considered to have such notice
when “an unsafe condition [was] caused by the active negligence of himself and his employees,”
or “when the unsafe condition, otherwise caused, is known to the [landowner] or is of such a
character or has existed a sufficient length of time that he should have knowledge of it.” Id.
(quotation marks and citation omitted). In this case, there is no evidence that Thompson Partners
or JC Beal had actual or constructive knowledge of the hazard that caused Burd’s death. Instead,
as discussed, Burd—and potentially others at BCS who failed to ensure that the work was
completed safely from the top down—caused the hazard by removing two support columns with
a sledgehammer. See Young, 477 Mich at 931 (concluding that the property owner did not have
notice of the temporary construction hazard created by the independent contractor). On this basis,
defendants were also entitled to summary disposition.
For all these reasons, viewing the evidence in a light most favorable to plaintiff, no material
question of fact remains regarding plaintiff’s premises-liability claims. Accordingly, the trial court
did not err by granting summary disposition on premises-liability claims to Thompson Partners
and JC Beal under MCR 2.116(C)(10).
IV. NEGLIGENCE AND CONTRACTUAL DUTIES
On appeal, plaintiff also argues that the trial court erred by dismissing its claim for
negligence against JC Beal, which was premised on the assertion that JC Beal failed to exercise
due care in undertaking its obligations in the general-contractor agreement between JC Beal and
Thompson Partners. The trial court properly granted summary disposition to JC Beal because
plaintiff failed to identify a duty that JC Beal owed to Burd that was separate and distinct from its
contractual obligations.
“To establish a prima facie case of negligence, a plaintiff must prove the following
elements: (1) the defendant owed the plaintiff a legal duty, (2) the defendant breached the legal
duty, (3) the plaintiff suffered damages, and (4) the defendant’s breach was a proximate cause of
the plaintiff’s damages.” Loweke, 489 Mich at 162. The pivotal question in this case in one of
duty. Relevant to plaintiff’s claims, in the context of “tort actions based on a contract and brought
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by a plaintiff who is not a party to that contract,” “the threshold question is whether the defendant
owed a duty to the plaintiff that is separate and distinct from the defendant’s contractual
obligations.” Fultz v Union-Commerce Assoc, 470 Mich 460, 467; 683 NW2d 587 (2004). “If no
independent duty exists, no tort action based on a contract will lie.” Id. (footnote omitted). The
Fultz rule—requiring a legal duty independent of a contract—was further clarified in Loweke, 489
Mich at 169-171, in which the Court explained:
[A] separate and distinct duty to support a cause of action in tort can arise by statute,
or by a number of preexisting tort principles, including duties imposed because of
a special relationship between the parties, and the generally recognized common-
law duty to use due care in undertakings . . . .
* * *
Stated another way, under the separate and distinct mode of analysis,
[e]ntering into a contract with another pursuant to which one party promises to do
something does not alter the fact that there [exists] a preexisting obligation or duty
to avoid harm when one acts.
Thus, under Fultz, while the mere existence of a contractual promise does
not ordinarily provide a basis for a duty of care to a third party in tort, the existence
of a contract [also] does not extinguish duties of care otherwise existing . . . . Fultz
did not extinguish the simple idea that is embedded deep within the American
common law of torts . . . : if one having assumed to act, does so negligently, then
liability exists as to a third party for failure of the defendant to exercise care and
skill in the performance itself. [Quotation marks and citations omitted; second to
fourth alterations in original.]
In this case, seeming to disregard the need to identify a separate and distinct duty
independent of the contract, plaintiff expressly relies on the general-contractor agreement between
Thompson Partners and JC Beal in an effort to establish that JC Beal owed a duty of care to Burd,
as a third party. Such an argument is untenable under Loweke and Fultz. As Loweke recognized,
the “mere existence of a contractual promise does not ordinarily provide a basis for a duty of care
to a third party in tort,” and it must be shown that “aside from the contract, the defendant owed
[an] independent legal duty to the plaintiff.” Id. at 170, 172 (emphasis added).
In an attempt to transform JC Beal’s contractual obligations into a separate duty supporting
a tort claim, plaintiff suggests that there is a separate and distinct duty because JC Beal had an
obligation to perform its contractual obligations with due care. But the duty to perform contractual
undertakings with due care involves a duty to not create any new hazard in the performance of the
contract. See Hill v Sears, Roebuck & Co, 492 Mich 651, 671; 822 NW2d 190 (2012) (“[O]ne
breaches a duty that is ‘separate and distinct’ from the contract when it creates a ‘new hazard.’ ”);
Fultz, 470 Mich at 469 (concluding that the duty to use reasonable care in removing dangerous ice
and snow was not distinct from contractual obligations when failure to fulfill snow-removal duties
“created no new hazard”). It follows that JC Beal could not create any new hazards in the
performance of its contractual duties. But there is no evidence of any new hazard created by JC
Beal’s failure to perform its contractual duties; indeed, the poor condition of the joists and pockets,
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on which plaintiff bases its claims, was the same before and after JC Beal became the general
contractor. Cf. Hill, 492 Mich at 671. Although JC Beal certainly had a duty to avoid harm when
acting, see Loweke, 489 Mich at 170, there is no general tort “duty that obligates one person to aid
or protect another,” id. at 164 (quotation marks and citations omitted). The existence of a contract
between JC Beal and Thompson Partners—although not extinguishing JC Beal’s separate and
distinct duties—does not support plaintiff’s negligence claim founded on JC Beal’s alleged breach
of its contractual duties. See id. at 172. In the absence of a separate and distinct duty, the trial
court did not err by dismissing plaintiff’s negligence claim premised on JC Beal’s breach of
contractual duties.12 See id.
V. WRONGFUL-DEATH DAMAGES
Finally, plaintiff argues that the trial court erred by concluding that three minor children,
who were in foster care with Burd and his wife, and who were later adopted by Burd’s wife after
his death, could not share in any wrongful-death damages under MCL 600.2922(3). Given our
conclusion that the trial court properly granted summary disposition to defendants, it is
unnecessary to reach this question related to damages.
Affirmed.
/s/ Kirsten Frank Kelly
/s/ Deborah A. Servitto
/s/ Anica Letica
12
Realistically, any separate and distinct duty JC Beal owed to BCS’s employees, such as Burd,
was the common-law duty imposed on general contractors. See Loweke, 489 Mich at 170; Clark
v Dalman, 379 Mich 251, 262; 150 NW2d 755 (1967). But we again note that, although plaintiff
initially pleaded such a claim, it later conceded that it could not satisfy the common-work-area
doctrine under Ormsby, 471 Mich at 45, and plaintiff does not identify this general-contractor duty
as a separate duty on appeal. Accordingly, to the extent that JC Beal, as the general contractor,
potentially owed a separate and distinct duty to Burd, plaintiff abandoned that claim. See State
Treasurer, 284 Mich App at 243.
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