On the 29th day of October, 1921, plaintiff’s intestate died. On the 25th day of October, 1921, she was operated upon in the Washington Square Hospital, New York city; death on the. day aforesaid resulted. Each of the above-named defendants is a physician and is alleged to have been involved in causes resulting in the death of said decedent. The defendant Savini is proprietor of and conducts the aforesaid hospital. It is alleged that the defendant Charles D. Bles was a consultant with Savini, advised and counseled the operation, and after consultation with the defendant Meeker and after an alleged diagnosis of the difficulty afflicting plaintiff’s intestate, operated upon her. Plaintiff’s complaint alleges three causes of action: The first is for fraud and deceit consisting of misrepresentations and concealment. of conditions made and practiced to induce her to consent to the operation suggested by which she was assured of its simplicity and the relief it would accomplish. Second, that the operation performed was not the operation suggested to plaintiff’s intestate; it was much more complicated and dangerous, and was not, therefore, consented to by her, and that it amounted to an assault upon her. Third, is for malpractice committed upon the deceased. The defendant Savini moved at Special Term to strike from the complaint the first and second causes of action upon the ground that they did not state facts sufficient to constitute a cause of action; the motion was denied and the defendant Savini appealed. The other defendants made the same motion, which was likewise denied, and they also appealed, which appeals present the questions now *445under consideration. The appellants contend that causes of action 1 and 2 do not survive plaintiff’s intestate and that an action cannot be based thereon. The position of the respondent is, that the question of survivorship is not involved here at all; that each one of the causes of action stand independent and alone, and will sustain a cause of action. Such claim is based upon section 130 of the Decedent Estate Law, which was section 1902 of the Code of Civil Procedure. This section was added to the Decedent Estate Law by chapter 919, section 1, of the Laws of 1920, and took effect April 15, 1921, and reads as follows: “The executor or administrator duly appointed in this State, or in any other State, territory or district of the United°States, or in any foreign country, of a decedent who has left him or her surviving a husband, wife or next of kin, may maintain an action to recover damages for a wrongful act, neglect or default, by which the decedent’s death was caused, against a natural person who, or a corporation which, would have been liable to an action in favor of the decedent by reason thereof if death had not ensued.” There is more of that section, but the part quoted above is the part involved in the questions presented here. The deceased was an unmarried female, plaintiff is her mother, and, therefore, one of her “ next of kin ” as defined in section 134 of the Decedent Estate Law (as added by Laws of 1920, chap. 919), formerly section 1905 of the Code of Civil Procedure. Section 130, supra, must be read in connection with section 120 of the Decedent Estate Law which was added by chapter 240 of the Laws of 1909, and reads as follows: “For wrongs done to the property, rights or interests of another, for which an action might be maintained against the wrong-doer, such action may be brought by the person injured, or after his death, by his executors or administrators, against such wrong-doer, and after his death against his executors or administrators, in the same manner and with the like effect in all respects, as actions founded upon contracts. This section shall not extend to an action for personal injuries, as such action is defined in section thirty-three hundred and forty-three of the Code of Civil Procedure; except that nothing herein contained shall affect the right of action now existing to recover damages for injuries resulting in death.” Section 3343, subdivision 9, of the Code of Civil Procedure defines “personal injury” as follows: “ A ‘ personal injury ’ includes libel, slander, criminal conversation, seduction and malicious prosecution; also an assault, battery, false imprisonment, or other actionable injury to the person either of the plaintiff, or of another.” This subdivision 9 of section 3343 was transferred by chapter 917 of the Laws of 1920 to the General Construction Law, as section 37a, The significance of section 120 of the, Dece-: *446deiit Estate Law, so far as this motion is concerned, is found in the exception at the close of the section. That exception takes section 130 of the Decedent Estate Law out of the control of section 120 and section 3343, subdivision 9, of the Code of Civil Procedure, because the injuries complained of resulted in death. Upon the questions thus simplified we are called upon to say what wrongs, etc., are covered by said section 130. It should be borne in mind that death resulted in this case and that the plaintiff contends that the result of defendants’ action or non-action was the approximate cause under each or either cause of action set out in her complaint; that the resulting damage was the same under each and all of them. The appellants contend, as aforesaid, that the first and second causes of action should be treated as having no connection with the alleged resulting injury causing death, and thus are governed by section 120 of the Decedent Estate Law, or rather that portion of said section before the exception therein contained. Ishie v. Norton Co. (183 App. Div. 94) is a late case cited by appellants as sustaining their position. While there are statements in the opinion that would seem to uphold appellants’ contention, an examination of the opinion shows that they were written of a different state of facts from those obtaining here. The complaint, in the first instance,' was for the ordinary negligence action under section 1902 of the Code of Civil Procedure. The defendant answered setting up a settlement and release. Plaintiff served an amended complaint in which was alleged fraud and deceit as the gravamen of the action; it went to the jury on that theory, viz., to find the amount the decedent would have settled for, if he had known his true condition at the time he made the settlement. The court reversed the judgment obtained on that theory, but held on a proper complaint that the plaintiff was not without a remedy and had a cause of action on proper pleadings. Wade v. Kalbfleisch (58 N. Y. 282) was an appeal from an order denying a motion to revive an action brought for breach of promise. In Price v. Price (75 N. Y. 244) the defendant was sued for false and fraudulent representations by which he induced the plaintiff to marry him, at a time when he could not enter into a valid contract of marriage; he died during the pendency of the action; this appeal was from an order denying a revival of the action against his executors. Such revival was not permitted. The facts in that case are not similar to the facts here, and have no relation to the cause of action provided for in section 130 aforesaid. Here the woman wronged died; in the Price case the wrong did not result in death. The statute under consideration here makes no provision for the survival of such a cause of action; death of the party *447injured must ensue before a cause of action comes into being under the provisions of said section 130, or the exception in section 120 of the Decedent Estate Law. In Hegerich v. Keddie (99 N. Y. 258) the question involved was whether a cause of action created by statute (Code Civ. Proc. § 1902) survived against the representatives of the wrongdoer. It was held that it did not, and the court in the course of the opinion, having in mind section 1902 only, said: “ It will be observed also that the statute, although creating a new cause of action, and passed for the express purpose of changing the rule of the common law in respect to the survivability of actions, and conferring a right upon represéntatives which they did not before possess, does not undertake, either expressly or impliedly, to impair the equally stringent rule which precluded the maintenance of such actions against the representatives of the offending party.” Notwithstanding the foregoing decisions an action for injury resulting in death caused by negligence was revived against the representative of the wrongdoer. (Ferris v. Sterling, 214 N. Y. 249; 220 id. 616. See also, Decedent Estate Law, § 120.) The question does not seem to have been raised in the Court of Appeals. The respondent’s contention is, in the language of the statute, that “ a wrongful act ” was perpetrated under any of her alleged causes of action, and when followed up according to its purpose, resulted in death, viz., that the fraudulent misrepresentations and fraudulent concealment of conditions induced plaintiff’s intestate to submit to an operation, the seriousness of which by reason of such misrepresentation and concealment, she did not contemplate, and death followed. Second, that not appre-' dating the seriousness of such operation because of such misrepresentation, she did not consent to the operation performed, and hence an assault was committed upon her from which she died. Third, that the physicians concerned knew, or ought to have known, the patient’s condition, and ought to have known that it could not result otherwise than in death, and the cause of action for malpractice came into being. The third cause of action is not questioned. There cannot be any question but what plaintiff’s intestate, had she not died, could have maintained an action on either cause of action set forth as 1 and 2 in this complaint, and thus another provision of section 130 aforesaid is met. This statute gives a new cause of action. (Kelliher v. N. Y. C. & H. R. R. R. Co., 212 N. Y. 207; Radley v. Leray Paper Co., 214 id. 32.) The Court of Appeals speaking of the scope of section 1902, now section- 130, supra, says: “ It covers any action of trespass upon the person, which the deceased could have maintained if she had survived the accident.” (Sullivan v. Dunham, 161 *448N. Y. 290.) The wrongful act need not necessarily be based upon negligence of the party charged. (Schloendorff v. New York Hospital, 211 N. Y. 125.) In Roche v. St. John’s Riverside Hospital (96 Misc. Rep. 289; affd., 176 App. Div. 885) it was held that where death followed a breach of contract to properly care for a child a cause of action arose in favor of its representatives. The false representations, concealment, etc., are sufficiently alleged in the complaint. (Toomey v. Whitney, 94 App. Div. 154; Daly v. Wise, 132 N. Y. 306; Kountze v. Kennedy, 147 id. 124; Hadcock v. Osmer, 153 id. 604.) In Flaherty v. Till (119 Minn. 191; 137 N. W. Rep. 815) the question of fraud, deceit and misrepresentation was considered upon a demurrer to the complaint in some respects similar to the complaint in this action. The demurrer was overruled. I think the fact that plaintiff’s intestate could have maintained an action, if she had lived, upon either the first or second cause of action, and death having resulted in connection with the acts complained of as shown by the allegations therein contained,, that the decision at Special Term was correct. This action was commenced under the Civil Practice Act where liberal rules in the construction of pleadings are required (§ 275). But one judgment for damage can be obtained in this action under any pleading, and allegations setting up the criticised causes of action are necessary to that end.
I favor affirmance, with ten dollars costs and disbursements to respondent. Defendants permitted to answer within twenty days after judgment herein is entered.
All concur, except Cochrane, P. J., and Van Kirk, J., dissenting as to the first cause of action.