1 Filed: March 14, 2013
2 IN THE SUPREME COURT OF THE STATE OF OREGON
3 JEAN MARIE HOWELL,
4 Plaintiff,
5 v.
6
7 CHRISTOPHER DAVID BOYLE
8 and CITY OF BEAVERTON,
9 Defendants.
10
11 (US Court of Appeals for the Ninth Circuit 0936153; SC S059120)
12
13 On certified questions from the United States Court of Appeals for the Ninth
14 Circuit; certification order dated January 19, 2011; certification accepted February 17,
15 2011.
16
17 Argued and submitted September 8, 2011; reassigned April 24, 2012.
18
19 Janet M. Schroer, Hoffman Hart & Wagner, LLP, Portland, argued the cause for
20 defendants. With her on the opening and reply briefs was Marjorie A. Speirs.
21
22 Michael H. Bloom, Michael H. Bloom PC, Salem, argued the cause and filed the
23 brief for plaintiff.
24
25 Erin C. Lagesen, Assistant Attorney General, John R. Kroger, Attorney General,
26 and Mary H. Williams, Solicitor General, Salem, filed a brief on behalf of amicus curiae
27 State of Oregon.
28
29 Roy Pulvers, Hinshaw & Culbertson LLP, Portland, filed a brief on behalf of
30 amicus curiae Oregon Health & Science University.
31
32 Harry Auerbach, Chief Deputy City Attorney, Portland, filed a brief on behalf of
33 amicus curiae League of Oregon Cities.
34
35 Lisa T. Hunt and Kathryn H. Clarke, Portland, filed a brief on behalf of amicus
36 curiae Oregon Trial Lawyers Association.
37
38 Before Balmer, Chief Justice, Kistler, Walters, Linder, and Landau, Justices, and
39 Durham and De Muniz, Senior Judges, Justices pro tempore.*
40
41 LANDAU, J.
1
1
2 Certified question answered.
3
4 De Muniz, Justice pro tempore, dissented and filed an opinion, in which Walters,
5 J., and Durham, Justice pro tempore, joined.
6
7 Durham, Justice pro tempore, dissented and filed an opinion.
8
9 *Brewer and Baldwin, JJ., did not participate in the consideration or decision of
10 this case.
11
12
13
14
2
1 LANDAU, J.
2 This case is before the court on certified questions of Oregon law from the
3 United States Court of Appeals for the Ninth Circuit (Ninth Circuit). See generally ORS
4 28.200 to 28.255 (granting authority to answer certified questions and describing
5 procedure). The questions arise out of an action for personal injury brought in federal
6 district court against defendant Boyle and his employer, the City of Beaverton, for
7 injuries that plaintiff suffered in an automobile collision with a police car that defendant
8 Boyle drove. A jury found that plaintiff and Boyle were equally at fault and that
9 plaintiff's damages totaled approximately $1 million. The trial court reduced the award
10 by half, in accordance with the jury's findings of comparative fault. Defendants then
11 moved to reduce the award further, to the $200,000 limit of the Oregon Tort Claims Act
12 in existence at the time. The trial court denied the motion, concluding that the
13 application of the statutory limitation would violate the remedy clause of Article I,
14 section 10, of the Oregon Constitution.
15 Defendants appealed, and the Ninth Circuit certified the following
16 questions to this court:
17 "1. Is [plaintiff's] negligence action constitutionally protected under the
18 Oregon [C]onstitution's remedy clause, Or. Const. art. I, § 10, irrespective
19 of the jury's finding of comparative negligence? To what extent, if any, do
20 the common[-]law defenses to contributory negligence of last clear chance,
21 the emergency doctrine, and gross negligence [a]ffect this determination?
22 "2. If [plaintiff's] action is protected, is $200,000 an unconstitutional
23 emasculated remedy despite the jury's finding of comparative negligence?
24 To what extent, if any, do the common[-]law defenses to contributory
25 negligence of last clear chance, the emergency doctrine, and gross
26 negligence [a]ffect this determination?"
1
1 We address the second question only, because its answer is dispositive. Even assuming
2 for the sake of argument that, under the circumstances of this case, plaintiff's negligence
3 action is constitutionally protected by Article I, section 10, the $200,000 limitation on her
4 recovery is constitutionally permissible. Under this court's case law, the constitution
5 requires that any remedy that remains after the imposition of a modern limitation on it be
6 "substantial." In this case, the $200,000 judgment that plaintiff received satisfies that
7 constitutional requirement.
8 I. BACKGROUND
9 To provide context for the Ninth Circuit's questions and our answer, we
10 begin with a more detailed description of the facts and the procedural history of the case.
11 In 2007, defendant Boyle, a City of Beaverton police officer, drove a motor vehicle west
12 on the Tualatin Valley Highway. He struck plaintiff as she attempted to cross the
13 highway at an unmarked crosswalk. As a result of that incident, plaintiff suffered serious
14 injuries leading to permanent disability and significant medical expenses. Plaintiff
15 brought a diversity action in the United States District Court for the District of Oregon,
16 naming as defendants both Boyle and his employer, the City of Beaverton. Plaintiff
17 alleged $4,779,529.25 in economic damages and up to $1 million in noneconomic
18 damages.
19 Defendants answered, alleging that, among other things, plaintiff's injuries
20 were caused by her own negligence because she had been "darting" across an unsafe
21 intersection late at night while wearing dark clothes. In addition, defendants alleged that
22 plaintiff's claims are subject to the "conditions, limitations, procedures and immunities
2
1 contained in the Oregon Tort Claims Act." Specifically, defendants alleged that, because
2 Boyle had acted within the course and scope of his employment, plaintiff could not
3 maintain a claim against him and, under ORS 30.265(1),1 was required instead to
4 substitute the City of Beaverton. They also alleged that, in any event, to the extent that
5 they are found liable, such liability is limited by the version of the Oregon Tort Claims
6 Act then in effect to a maximum of $200,000. ORS 31.270(1)(b) (2007).2
7 Defendants moved to dismiss Boyle from the case pursuant to ORS
8 30.265(1). Plaintiff opposed the motion on the ground that, under this court's decision in
9 Clarke v. OHSU, 343 Or 581, 175 P3d 418 (2007), to preclude the action against Boyle
10 would violate plaintiff's right to a remedy guaranteed by Article I, section 10, of the
11 Oregon Constitution. The trial court agreed and denied defendants' motion.
12 The case was tried to a jury, which determined that plaintiff and Boyle each
13 were 50 percent at fault. The jury further found that plaintiff had incurred $765,000 in
14 economic damages and $250,000 in noneconomic damages, for a total of $1,015,000. In
15 accordance with the jury's findings of comparative fault, the court reduced plaintiff's
16 damages by 50 percent and entered judgment against defendants for $382,500 in
1
ORS 30.265(1) provides, in part, that "[t]he sole cause of action for any tort
of officers, employees or agents of a public body acting within the scope of their
employment or duties and eligible for representation and indemnification * * * shall be
an action against the public body only."
2
The Oregon Tort Claims Act has since been amended to increase the
limitation of liability. Those amendments do not apply to this case.
3
1 economic damages and $125,000 in noneconomic damages, for a total of $507,500.
2 Defendants then moved to amend the judgment to reduce the amount of
3 damages to the $200,000 statutory limit. Plaintiff opposed the motion on the ground that
4 applying the Oregon Tort Claims Act limit to this case "emasculated" her common-law
5 remedy against defendants in violation of the remedy clause of Article I, section 10, of
6 the Oregon Constitution. The trial court agreed with plaintiff and denied defendants'
7 motion.
8 Defendants appealed to the Ninth Circuit, contending that the trial court had
9 erred in denying their motion to reduce the judgment to the limits provided in ORS
10 31.270(1)(b) (2007). They advanced two arguments in support of that contention. First,
11 they argued that, under this court's decision in Lawson v. Hoke, 339 Or 253, 119 P3d 210
12 (2005), Article I, section 10, does not even apply because plaintiff -- having been found
13 50 percent at fault -- would not have been able to recover anything under common-law
14 negligence as it existed at the time of the framing of the Oregon Constitution. According
15 to defendants, under the law prevailing at that time, contributory negligence in any
16 amount on the part of the plaintiff operated as a complete bar to recovery. Second, they
17 argued that, even if Article I, section 10, otherwise applies, the $200,000 cap is a
18 constitutionally adequate remedy under this court's recent precedents.
19 In response to defendants' first argument, plaintiff asserted that whether her
20 fault would have precluded recovery under the law that existed at the time of the adoption
21 of the state constitution is irrelevant. The sole and determinative issue, she argued, is
22 whether she could have stated a claim for negligence, not whether the law at the time
4
1 would have entitled her to a remedy. In the alternative, plaintiff argued that, even if it
2 were appropriate to take into account defenses to a negligence action that would have
3 applied in 1857, such as contributory negligence, the fact remains that the law recognized
4 exceptions to that defense in cases of gross negligence, conditions of emergency, and
5 circumstances in which the defendant had the "last clear chance" to avoid the injury. In
6 response to defendants' second argument, plaintiff asserted that the limits established in
7 ORS 31.270(1)(b) (2007) failed to provide a constitutionally adequate remedy because
8 that statute indisputably prevented her from recovering the full amount of her damages.
9 Following the filing of the parties' briefing on the foregoing points, the
10 Ninth Circuit entered an order certifying the two questions to which we have referred.
11 This court accepted the certified questions and allowed further briefing. Before this
12 court, the parties essentially reprise the arguments that they made to the Ninth Circuit.
13 II. ANALYSIS
14 Article I, section 10, of the Oregon Constitution provides, in part, that
15 "every man shall have remedy by due course of law for injury done him in his person,
16 property, or reputation." The provision is commonly referred to as the state constitutional
17 "remedy clause." See, e.g., Juarez v. Windsor Rock Products, Inc., 341 Or 160, 164, 144
18 P3d 211 (2006) (referring to Article I, section 10, as containing a "remedy clause").
19 A. Prior Case Law on the Constitutional Adequacy of a Remedy
20 This court has confronted constitutional challenges to various types of
21 statutory remedy limitations in several previous cases, dating back at least to its 1901
22 decision in Mattson v. Astoria, 39 Or 577, 65 P 1066 (1901). In that case, the plaintiff
5
1 initiated an action against the City of Astoria for injuries that were said to have been
2 caused by the city's negligent maintenance of its public streets. The city invoked a
3 provision of its charter, adopted pursuant to legislative authorization, exempting it and
4 any of its council members from liability for such negligence. The lower court held the
5 charter provision unconstitutional, and this court affirmed. The court explained that it is
6 "unquestioned" that "it is within the power of a legislature to exempt a city from liability
7 to persons receiving injuries on account of streets being defective or out of repair." Id. at
8 579. The injured party, the court explained, "is not wholly without remedy," because he
9 or she may proceed against city officers or employees who have been delegated the duty
10 of keeping the streets in repair. Id. In contrast, the court continued, the City of Astoria's
11 charter purported to exempt both the city and its officers and employees, thus amounting
12 to "a denial of any remedy." Id. at 580. Under Article I, section 10, the court explained,
13 the legislature cannot "deny a remedy entirely." Id.
14 In Evanhoff v. State Industrial Acc. Com., 78 Or 503, 154 P 106 (1915), the
15 court took a similar approach to the adequacy of remedies under Article I, section 10. In
16 that case, the plaintiff challenged the constitutionality of an early version of this state's
17 workers' compensation legislation. Among other things, he contended that it violated the
18 remedy clause of Article I, section 10. The court dismissed that particular argument
19 summarily, noting that, at that time, the workers' compensation system was entirely
20 voluntary. Id. at 517. Then, in dictum, the court went on to observe:
21 "Many of the states for many years have had statutes fixing the liability
22 with precision in cases of death, and in no instance has any court held such
23 statute invalid. And why a statute cannot fix with certainty the damages to
6
1 be allowed in case of the loss of an arm, leg, eye or other injury is not
2 perceived, and counsel fail to state any legal or constitutional objection
3 thereto."
4 Id. at 518 (quoting Hawkins v. Bleakley, 220 Fed 378, 381 (SD Iowa 1914)).
5 The following year, in Humphry v. Portland, 79 Or 430, 154 P 897 (1916),
6 the court more explicitly cited Mattson for the proposition that Article I, section 10,
7 prohibits only legislation that leaves a plaintiff wholly without a remedy. Under that
8 constitutional provision, the court stated, "a right of action to recover damages for an
9 injury * * * sustained cannot be so abridged by legislation as to deprive the injured party
10 of all remedy." Id. at 440. Noonan v. City of Portland, 161 Or 213, 88 P2d 808 (1939),
11 followed suit. In that case, the court upheld a city charter granting immunity to the city
12 itself, but not to city officers.
13 In Hale v. Port of Portland, 308 Or 508, 523, 783 P2d 506 (1989), the court
14 again held that Article I, section 10, prohibits limitations on common-law actions that
15 leave a plaintiff "entirely without a remedy." In that case, the plaintiff suffered injuries in
16 a motor vehicle collision. He sued several defendants, including the City of Portland,
17 which the plaintiff alleged was negligent in maintaining the road where the accident
18 occurred. He sought more than $600,000 in damages. The city moved to strike the claim
19 for damages in excess of the $100,000 limitation that the Oregon Tort Claims Act then
20 imposed. The trial court granted the motion, and the Court of Appeals affirmed. On
21 review, the plaintiff argued that, among other things, the statutory damage limitation
22 violated Article I, section 10. This court rejected the argument. Reviewing its prior cases
23 -- in particular, Noonan and Evanhoff -- the court explained that those decisions "held
7
1 only that Article I, section 10, is not violated when the legislature alters * * * a cause of
2 action, so long as the party injured is not left entirely without a remedy." Id. at 523. "[I]t
3 is enough," the court declared, "that the remedy is a substantial one." Id.
4 In determining that the limitation on the plaintiff's damages did not deprive
5 him of a "substantial" remedy, the court observed that the statutory damage limitation
6 applied regardless of whether the damages that a plaintiff suffered arose out of a
7 governmental or proprietary function. Id. Thus, the court noted, the challenged statute
8 represented a quid pro quo. On the one hand, it limited the amount of damages that could
9 be recovered, while on the other hand, it expanded the types of cases that could trigger
10 municipal liability by eliminating the traditional immunity that applied when damages
11 arose as a result of a municipality performing a governmental function:
12 "The class of plaintiffs has been widened by the legislature by removing the
13 requirement that an injured party show that the municipal corporation's
14 activity that led to the injury was a proprietary one. At the same time,
15 however, a limit has been placed on the size of the award that may be
16 recovered. A benefit has been conferred, but a counterbalancing burden has
17 been imposed. This may work to the disadvantage of some, while it will
18 work to the advantage of others."
19 Id. The court did not say that such a quid pro quo was required to satisfy the
20 requirements of Article I, section 10. But it concluded that such a "new balance" was
21 clearly within the legislature's authority, notwithstanding the limitations of the remedy
22 clause. Id.
23 In Neher v. Chartier, 319 Or 417, 879 P2d 156 (1994), this court again
24 addressed the constitutionality of a statutory limitation on damages. In that case, the
25 plaintiff's daughter was killed when she was struck by a Tri-Met bus driven by the
8
1 defendant, Chartier. The daughter was acting within the scope of her employment at the
2 time of the accident, and, under existing workers' compensations statutes, the estate
3 recovered the maximum $3,000 burial benefit. The plaintiff, as the representative of the
4 estate, then initiated an action against Chartier and Tri-Met. The defendants, however,
5 moved for judgment on the pleadings, arguing that they were immune under a provision
6 of the Oregon Tort Claims Act that granted immunity to public bodies and their
7 employees for claims arising out of injuries that were covered by workers' compensation
8 law. The trial court granted the motion, and the Court of Appeals affirmed, concluding
9 that the substitute remedy of workers' compensation benefits for tort damages did not
10 leave the plaintiff wholly without a remedy.
11 This court disagreed, in part. Citing its earlier decision in Hale, the court
12 first noted that Article I, section 10, "is not violated 'so long as the party injured is not left
13 entirely without a remedy,'" and that remedy is "'substantial.'" Id. at 426 (quoting Hale,
14 308 Or at 523). With that standard in mind, the court concluded that the estate itself had
15 not been left wholly without a remedy, as it was entitled to $3,000 in burial expenses
16 under the workers' compensation law. Neher, 319 Or at 426. But, the court said, the
17 estate was not the only real party in interest in a wrongful death action; the decedent's
18 parents also were parties, and they were not entitled to those benefits. "Thus," the court
19 concluded, "although the decedent's estate (for which a parent happens to serve as a
20 personal representative) has not been left 'wholly without remedy,' the surviving parents
21 of the decedent, who otherwise would be entitled to recover, * * * have been left wholly
22 without a remedy." Id. at 426-27 (emphasis in original).
9
1 In Greist v. Phillips, 322 Or 281, 906 P2d 789 (1995), the court addressed
2 the constitutionality of another statutory limitation on damages, in that case ORS
3 18.560(1), which imposed a $500,000 limitation on noneconomic damage awards.3 The
4 plaintiff had been awarded economic damages of $100,000 and noneconomic damages of
5 $1.5 million, but the trial court reduced the award of noneconomic damages in
6 accordance with the statutory limitation. On review, the plaintiff argued that the
7 limitation on the noneconomic damage award violated Article I, section 10. Specifically,
8 the plaintiff argued that the statutory limitation "wholly denies a remedy for legitimate
9 losses that exceed $500,000." Id. at 290. This court rejected the argument. Citing both
10 Hale and Neher, the court held that "[p]laintiff has not been left without a remedy. She
11 has received $600,000, comprised of $500,000 in noneconomic damages and $100,000 in
12 economic damages. * * * Although that remedy is not precisely of the same extent as
13 that to which plaintiff was entitled before the enactment of ORS 18.560(1), that remedy is
14 substantial." Id. at 291. The court held that the remedy was substantial, among other
15 things, "because 100 percent of economic damages plus up to $500,000 in noneconomic
16 damages is a substantial amount." Id. The court's holding in Greist prompted a
17 concurring opinion from Justice Unis, who took the court to task for applying a
18 substantial remedy test, which he argued was "vague and gives no guidance to legislators,
19 litigants, or ordinary citizens as to how courts will apply the standard." Id. at 311 (Unis,
3
The statute later was declared unconstitutional on other grounds in Lakin v.
Senco Products, Inc., 329 Or 62, 82, 987 P2d 463 (1999).
10
1 J., concurring in part, specially concurring in part).
2 In Smothers v. Gresham Transfer, Inc., 332 Or 83, 124, 23 P3d 333 (2001),
3 the court engaged in a wholesale reevaluation of its remedy clause jurisprudence. The
4 court engaged in an extended historical analysis of the scope and effect of the remedy
5 clause and established a new method of analysis of claims arising under it. 332 Or at
6 123-24. In that case, the plaintiff had been injured in a work-related accident. He filed a
7 claim under the state's workers' compensation statutes, but that claim was denied. He
8 then filed a claim for negligence against his employer. Id. at 86. The employer
9 responded with a motion to dismiss the claim on the face of the pleadings on the ground
10 that the workers' compensation statutes provided the exclusive remedy for work-related
11 injuries. The trial court granted the employer's motion, and the Court of Appeals
12 affirmed. Smothers v. Gresham Transfer, Inc., 149 Or App 49, 941 P2d 1065 (1997).
13 This court reversed, holding that the trial court should not have granted the employer's
14 motion to dismiss because the statute providing that the workers' compensation law is the
15 exclusive remedy for work-related injuries violated the remedy clause. Smothers, 332 Or
16 at 86.
17 In brief, the court explained that the remedy clause of Article I, section 10,
18 was "intended to preserve common-law right[s] of action." Id. at 119. The court
19 summarized its analysis in the following terms:
20 "Drafters of remedy clauses in state constitutions sought to protect
21 absolute common-law rights by mandating that a remedy always would be
22 available for injury to those rights. The drafters of the Oregon remedy
23 clause identified absolute rights respecting person, property, and reputation
24 as meriting constitutional protection under the remedy clause. As to those
11
1 rights, the remedy clause provides, in mandatory terms, that remedy by due
2 course of law shall be available to every person in the event of injury. The
3 word 'remedy' refers both to a remedial process for seeking redress for
4 injury and to what is required to restore a right that has been injured.
5 Injury, in turn, is a wrong or harm for which a cause of action existed when
6 the drafters wrote the Oregon Constitution in 1857. A common-law cause
7 of action is a constitutionally adequate remedy for seeking redress for
8 injury to protected rights. However, the remedy clause does not freeze in
9 place common-law causes of action that existed when the drafters wrote the
10 Oregon Constitution in 1857. The legislature may abolish a common-law
11 cause of action, so long as it provides a substitute remedial process in the
12 event of an injury to the absolute rights that the remedy clause protects."
13 Id. at 124.4 The court then articulated a method of analyzing claims brought under the
14 remedy clause that consists of answering two questions:
15 "[I]n analyzing a claim under the remedy clause, the first question is
16 whether the plaintiff has alleged an injury to one of the absolute rights that
17 Article I, section 10[,] protects. Stated differently, when the drafters wrote
18 the Oregon Constitution in 1857, did the common law of Oregon recognize
19 a cause of action for the alleged injury? If the answer to that question is
20 yes, and if the legislature has abolished the common-law cause of action for
21 injury to rights that are protected by the remedy clause, then the second
22 question is whether it has provided a constitutionally adequate substitute
23 remedy for the common-law cause of action for that injury."
24 Id.
25 Turning to the particulars of that case, the court determined that the
26 plaintiff's action for negligence against his employer would have been recognized at
27 common law in 1857 and that, because the exclusive remedy provision of the workers'
4
The court noted that, in a number of its earlier Article I, section 10, cases,
such as Noonan, it had suggested that the remedy clause was not intended to preserve
common-law rights and that later cases, such as Hale, had repeated the suggestion.
Smothers, 332 Or at 118-19. The court disavowed those statements, id. at 119, which
have no bearing on the questions before us in this case.
12
1 compensation statutes completely eliminated that common-law remedy, the statute was
2 unconstitutional: "Having alleged an injury of the kind that the remedy clause protects,
3 and having demonstrated that there was no remedial process available under present
4 workers' compensation laws, plaintiff should have been allowed to proceed with his
5 negligence action." Id. at 136.
6 Thus, under Smothers, the initial question is whether, under the
7 circumstances of the case, the common law of Oregon would have recognized a cause of
8 action for the claimed injury. If the answer to that question is no, then the remedy clause
9 is not implicated, and the matter is at an end. If the answer to the first question is yes,
10 then we must determine whether a challenged limitation renders the common-law remedy
11 constitutionally inadequate.
12 Smothers did not supply much in the way of explanation as to how we are
13 to determine the adequacy of a remedy under Article I, section 10. The court noted that,
14 in its prior cases, it had never held "that the remedy clause prohibits the legislature from
15 changing a common-law remedy or form of procedure, attaching conditions precedent to
16 invoking the remedy, or perhaps even abolishing old remedies and substituting new
17 remedies." Id. at 119. That said, the court declared that neither can the legislature
18 substitute an "'emasculated remedy' that is incapable of restoring the right that has been
19 injured." Id. at 119-20. In that regard, the court explicitly noted that, in Hale, Neher, and
20 Greist, it had concluded that a remedy is adequate under Article I, section 10, so long as
21 it is "substantial." Id. at 120 n 19. The court stated that it was simply "beyond the scope
22 of this opinion to address issues relating to the adequacy of the amount of damages that
13
1 may be available under a legislatively substituted process." Id.
2 Clarke v. OHSU, 343 Or 581, 175 P3d 418 (2007), was the first post-
3 Smothers decision to address the constitutionality of a statutory damage limitation in any
4 detail.5 In that case, the plaintiff suffered permanent brain damage as a direct
5 consequence of the negligence of Oregon Health and Science University (OHSU) and
6 certain of its employees and agents. Id. at 586. The damages resulting from his injuries
7 totaled more than $17 million. Id. The defendants, however, admitted negligence and,
8 invoking the damage limitation of the Oregon Tort Claims Act, moved for entry of
9 judgment against them for $200,000. Id. at 587. The trial court granted the motion and
10 entered judgment accordingly. Id.
11 On review, the plaintiff argued that the statutory damage limitation of
12 $200,000 violated Article I, section 10. Id. The court held that, because OHSU was an
5
In Jensen v. Whitlow, 334 Or 412, 51 P3d 599 (2002), the plaintiff
challenged, in federal district court, the constitutionality of the statutory damage
limitation imposed by the Oregon Tort Claims Act both facially and as applied. The
federal district court submitted to this court the question whether the damages limitation,
"on its face or as applied," violates several provisions of the state constitution, including
Article I, section 10. Id. at 415. This court declined to answer the question to the extent
that it pertained to as-applied challenges to the damages limitation because the record
was inadequate to enable the court to answer the question. Id. As for the facial challenge
to the damages limitation, the court framed its analysis in terms of the two Smothers
questions. Id. at 418. It then assumed, without deciding, that the answer to the first
question was that the injury at issue was one for which Article I, section 10, guarantees a
remedy. Id. Turning to the second question, concerning the adequacy of the modern
remedy, the court concluded that, "because a damages award has yet to be determined in
this case, the damages 'cap' does not render the remedy available to plaintiff 'incapable of
restoring the right that has been injured.'" Id. at 421 (quoting Smothers, 332 Or at 119-
20).
14
1 instrumentality of the state that would have been immune from liability at common law,
2 the limitation of its liability posed no issue of constitutional adequacy under the remedy
3 clause. As to the individual defendants, however, the court concluded that the statutory
4 damage limitation was unconstitutional on the facts of that case. Id. at 610.
5 The court began its opinion in Clarke by recapitulating its prior cases on
6 the subject, including Hale, Neher, Greist, Smothers, and Jensen. Id. at 601-06. Among
7 other things, the court quoted with approval the portion of Hale that described the proper
8 analysis of the adequacy of a remedy under Article I, section 10, as depending on
9 whether the existing remedy "is a substantial one;" indeed, the Clarke court added its
10 own emphasis to the words "substantial one." Id. at 602. Consistently with that
11 emphasis, the court summarized the significance of its prior cases in the following terms:
12 "[A]s our review of the cases demonstrates, Article I, section 10, does not
13 eliminate the power of the legislature to vary and modify both the form and
14 the measure of recovery for an injury, as long as it does not leave the
15 injured party with an 'emasculated' version of the remedy that was available
16 at common law."
17 Id. at 606. The court acknowledged that neither the constitution itself nor the prior case
18 law provides a precise test for determining whether a particular remedy has been
19 "emasculated." Id. Having said that, the court concluded that the disposition of the case
20 before it was "relatively simple," given the fact that the statutory damage limitation
21 deprived the plaintiff of all but a very small portion of the over $17 million in damages
22 that he suffered. Id. at 607.
23 To the defendants' argument that even the relatively small amount allowed
24 by the statutory limitation was sufficient under Hale and Greist, the court replied that
15
1 those cases were distinguishable on their facts. In Clarke's case, the court held, the claim
2 of the plaintiff against the individual defendants had been essentially eliminated. The
3 court reiterated that "the legislature is authorized under Article I, section 10, to vary or
4 modify the nature, the form, or the amount of recovery for a common-law remedy," but
5 added that "that authority is not unlimited." Id. at 609.
6 In a concurring opinion, Justices Balmer and Kistler emphasized that,
7 although Hale and Greist were distinguishable on their facts, "nothing in the majority
8 opinion undermines the holdings in those cases that the [r]emedy [c]lause does not
9 prohibit the legislature from imposing caps on tort damages as long as those caps do not
10 deprive a plaintiff of a 'substantial remedy.'" Id. at 615-16 (Balmer, J., concurring).
11 The foregoing case law consistently holds that the legislature is authorized
12 to enact a limitation on tort claim recovery so long as the remaining remedy is
13 "substantial." As the court declared -- twice -- in Clarke, Article I, section 10, does not
14 deprive the legislature of the authority "to vary and modify both the form and the
15 measure of recovery for an injury," so long as the legislature does not leave the injured
16 party with an "emasculated" remedy. 343 Or at 606 (emphasis added); id. at 609 (the
17 legislature is authorized "to vary, or modify the nature, the form, or the amount of
18 recovery for a common-law remedy" (emphasis added)). The reference to "emasculated"
19 remedies is unfortunate, if not sexist,6 and we discourage its further use in favor of the
6
Webster's defines "emasculate" as:
16
1 references in the case law to the necessity that remaining remedies be "substantial."7
2 B. Application
3 With those considerations in mind, we turn to this case. Under Smothers,
4 we confront two questions. First, we must determine "whether an 'absolute common-law
5 right' that existed when the Oregon Constitution was drafted in 1857 would have
6 provided plaintiff with a remedy for the injuries that she sustained in the accident with
7 defendant." Lawson, 339 Or at 259. For the purposes of this opinion, we assume,
8 without deciding, that the answer to that question is, yes. See Jensen, 334 Or at 418
9 (assuming, without deciding, that the plaintiff's injury was protected by Article I, section
10 10, "because the second step of the Smothers analytical framework is dispositive"). That
11 triggers a second question; namely, whether the legislatively adopted limitation on that
12 remedy is "constitutionally adequate." Smothers, 332 Or at 124.
"1: to deprive of virile or procreative power : CASTRATE, GELD 2 : to
deprive of masculine vigor or spirit : weaken or attenuate by removal or
alteration of potent qualities as a : to divest (language) of vigor and
freedom (as by excision, euphemism, or weakening of sense) b : to deprive
(a law) of force or effectiveness (as by amendment or interpretation)."
Webster's Third New Int'l Dictionary 738 (unabridged ed 2002). The use of the term in
the Article I, section 10, context has been justly criticized for its implication that
"strength and vitality are gender-specific." Ackerman v. OHSU Medical Group, 233 Or
App 511, 532 n 10, 227 P3d 744 (2010).
7
The particular term used in reference to the inadequacy of remedies under
Article I, section 10, traces back to West v. Jaloff, 113 Or 184, 232 P 642 (1925), in
which the court rejected the defendant's proposed construction of a statute that conferred
limited immunity from liability on ambulance drivers because the construction would
give the plaintiff "an emasculated remedy wholly inadequate under many conditions." Id.
at 195.
17
1 As we have noted, under this court's prior case law, the constitutional
2 adequacy of a modern remedy may be established by the fact that the modern remedy is
3 "substantial" and does not leave the plaintiff "wholly without remedy." In this case,
4 defendants contend that plaintiff's remedy of $200,000 is constitutionally adequate under
5 that test. Defendants are correct.
6 The cases make clear that the mere fact that the statutory limitation resulted
7 in a reduction in the amount that plaintiff otherwise would have been awarded, by itself,
8 does not establish a violation of Article I, section 10. As this court explained in Clarke,
9 Article I, section 10, does not deprive the legislature of the authority "to vary and modify
10 both the form and the measure of recovery for an injury," so long as the legislature leaves
11 the plaintiff with a substantial remedy. 343 Or at 606 (emphasis added). Likewise, in
12 Hale, the court declared that "Article I, section 10, is not violated when the legislature
13 alters * * * a cause of action, so long as the party injured is not left entirely without a
14 remedy. * * * [I]t is enough that the remedy is a substantial one." 308 Or at 523.
15 This court has never spelled out the precise contours of such a
16 determination. Such precision is perhaps impossible. See Clarke, 343 Or at 613 (Balmer,
17 J., concurring) ("This court has not articulated a precise test, and it probably is not
18 possible to do so."). As this court has stated in another context, determining whether an
19 award of damages is "substantial" requires "flexibility and a consideration of the facts
20 and circumstances that each case presents." Hamlin v. Hampton Lumber Mills, Inc., 349
21 Or 526, 537, 246 P3d 1121 (2011).
22 This court has concluded that a legislative limitation on damages is
18
1 constitutionally inadequate in only two cases, Neher and Clarke. In the former case, the
2 court held that, although the estate of the victim had not been completely deprived of a
3 remedy by virtue of the existence of a $3,000 burial benefit under workers' compensation
4 law, the parents of the victim had been totally deprived of any remedy. In the latter case,
5 this court held that, when the statutory limitation of $200,000 deprived the plaintiffs of all
6 but one percent of the more than $17 million in damages that they would have otherwise
7 recovered, the limitation left them with a constitutionally inadequate remedy.
8 In this case, but for the $200,000 damage limitation of ORS 31.270(1)(b)
9 (2007), plaintiff would have recovered a total of $507,500, consisting of $382,500 in
10 economic damages and $125,000 in noneconomic damages. The damage limitation thus
11 does not leave plaintiff "wholly without a remedy," as was the case for the parents of the
12 plaintiff in Neher. And it represents a far more substantial remedy than the paltry
13 fraction that remained after the imposition of the limitation in Clarke.
14 The facts of this case are much more like those of Hale, in which the court
15 found that a statutory damage limitation of $100,000 left the plaintiff with a substantial
16 remedy even though the plaintiff had alleged more than $600,000 in damages. To be
17 sure, this court observed that the legislature, in adopting the statutory damage limitation
18 at issue in that case, had in effect exchanged the limitation for a statutory expansion of
19 the class of persons who are permitted to sue. 308 Or at 523. But the distinction is of no
20 moment in this case, in which a similar quid pro quo may be seen to apply. As to
21 defendant City of Beaverton, in fact, the same "balance" that the court mentioned in Hale
22 applies. As to defendant Boyle, under ORS 30.265(1) and 30.285(1), the city remains
19
1 liable for the torts of its employees committed within the scope of employment. Thus,
2 while the legislature limited the amount that may be recovered from individual
3 defendants who are municipal employees, it substituted the "deep pocket" of the
4 municipality itself as the ultimate payor. Plaintiffs, in other words, have been conferred a
5 substantial benefit in exchange for the damage limitation. As Hale makes clear, that is a
6 permissible legislative decision under Article I, section 10.
7 This case is even more like Greist, in which the court held that the plaintiff
8 was not left without a remedy when the tort claim limitation left her with a total of
9 $600,000 in damages, compared with the initial award of $1.5 million. "Although that
10 remedy is not precisely of the same extent as that to which plaintiff was entitled" before
11 the imposition of the limitation, the court explained, "that remedy is substantial." 322 Or
12 at 291. The same is true in this case.
13 Plaintiff insists that her common-law right to recover damages for
14 negligence has been inadequately remedied with the $200,000 tort claim limitation. She
15 reasons that, "under the common law, the plaintiff had the right to obtain a full recovery
16 for damages from the individual tortfeasor who negligently caused the injuries -- in other
17 words, she was entitled to be made whole." It is that common-law right -- the right to be
18 made whole -- that she contends has been eliminated with the imposition of the statutory
19 damage limitation.
20
1 The dissent takes a similar approach.8 According to the dissent, the remedy
2 clause guarantees plaintiff "the full amount of economic damages attributable to
3 defendant." ___ Or ___, ___, ___ P3d ___ (Mar 14, 2012) (slip op at 1) (De Muniz,
4 Justice pro tempore, dissenting). The dissent states that, as such, Article I, section 10,
5 does not countenance "partial" remedies. Id. at ___ (slip op at 7) (De Muniz, Justice pro
6 tempore, dissenting).9
7 Plaintiff's and the dissent's interpretation of Article I, section 10, is
8 essentially the same interpretation that the plaintiff asserted in Greist, and that this court
9 explicitly rejected. See Clarke, 343 Or at 615 (Balmer, J., concurring) (noting that Greist
10 rejected the argument that Article I, section 10, guarantees a right to be made whole).
11 Indeed, plaintiff's and the dissent's interpretation cannot be squared with any of the
12 foregoing cases dating back at least to 1901 -- cases that consistently hold that Article I,
13 section 10, "does not eliminate the power of the legislature to vary and modify both the
8
There are actually two dissents, one authored by Justice De Muniz and the
other by Justice Durham. As we understand it, however, Justice Durham's opinion
merely emphasizes one of the points made by Justice De Muniz. Accordingly, when we
refer to "the dissent," we refer to the one authored by Justice De Muniz.
9
The dissent is not entirely consistent on this point. Throughout the opinion,
it complains about our holding countenancing "partial" remedies and asserts that "the
constitution plainly requires that plaintiff have a fully restorative remedy." ___ Or at ___
(slip op at 24) (De Muniz, Justice pro tempore, dissenting). At other points in the
opinion, however, the dissent suggests that a constitutionally sufficient remedy must be at
least "capable" of being fully restorative. Id. at ___ (slip op at 3, 4, 8, 10) (De Muniz,
Justice pro tempore, dissenting). The dissent does not explain the significance of that
difference in phrasing.
21
1 form and the measure of recovery for an injury," Clarke, 343 Or at 606 (emphasis
2 added), but rather guarantees that plaintiffs not be left with less than a "substantial"
3 remedy. Id. at 602, 605; Greist, 322 Or at 291; Hale, 308 Or at 523. Plaintiff's and the
4 dissent's interpretation essentially inverts that longstanding interpretation of the remedy
5 clause from one that guarantees that plaintiffs not be left "wholly without remedy" to one
6 that guarantees that plaintiffs obtain a whole remedy.
7 The dissent acknowledges that we have correctly described our prior case
8 law as holding that the remedy clause does not limit legislative authority to alter a
9 remedy so long as the remaining remedy is "substantial."10 But it insists that our
10 understanding of the meaning of the word "substantial" is in error. According to the
11 dissent, that term, as used in remedy clause cases, has acquired a special meaning that is
12 somewhat different from what it ordinarily means. The dissent asserts that a "substantial"
13 remedy is one that wholly restores a plaintiff's injury.
14 In asserting that the notion of a "substantial" remedy is limited to one that is
15 wholly restorative of a plaintiff's injury, the dissent claims support from this court's
16 decisions in Hale and Greist. The dissent's reading of those decisions, however, does not
10
Actually, the dissent is not quite consistent in that regard, as well. At one
point, the dissent takes us to task for abandoning the use of the outdated term
"emasculated," used in some cases, in favor of the term "substantial," used in others. ___
Or at ___ (slip op at 3) (De Muniz, Justice pro tempore, dissenting). In the balance of the
opinion, the dissent acknowledges the importance of the term in prior cases, but asserts
that the term has been "imbued" "with a clear meaning," that is, one that wholly restores a
right that has been injured. Id.
22
1 bear careful scrutiny.
2 As we have noted, in Hale, the court upheld the application of a damage
3 limitation that had the effect of reducing $600,000 in claimed damages to $100,000. The
4 court held that Article I, section 10, does not deprive the legislature of authority to alter a
5 cause of action or reduce damages. "[T]he remedy need not be precisely of the same type
6 or extent" as those existing at common law, the court explained. 308 Or at 523. "[I]t is
7 enough that the remedy is a substantial one." Id.
8 The dissent deftly describes the court's analysis in Hale without mentioning
9 the fact that the court specifically stated that the remedy clause leaves the legislature free
10 to alter the "type or extent" of damages that may be recovered. Instead, the dissent
11 embarks on a detailed analysis of two earlier cases that the court in Hale cited -- Noonan
12 and Evanhoff -- which the dissent reads as holding that the remedy clause is not violated
13 when an alternative remedy remains available. ___ Or at ___ (slip op at 4-10) (De
14 Muniz, Justice pro tempore, dissenting). The dissent then boldly declares that, because
15 "[n]either of those cases can be read for the proposition that a partial remedy * * * is
16 capable of satisfying the [r]emedy [c]lause," Hale cannot be read to countenance such a
17 partial remedy, either. Id. at ____ (slip op at 7) (De Muniz, Justice pro tempore,
18 dissenting). That makes no sense. Even assuming for the sake of argument that the
19 dissent fairly characterizes Noonan and Evanoff as not involving the issue of the
20 constitutionality of partial remedies, the fact remains that Hale did. And it simply cannot
21 be denied that Hale upheld the constitutionality of a partial remedy.
22 The dissent's reading of Greist is similarly unavailing. As we have noted,
23
1 in that case, the court upheld a statutory damage limitation that reduced the plaintiff's
2 initial award from $1.5 million to a total of $600,000, consisting of $100,000 in economic
3 damages and $500,000 in noneconomic damages. The court held that, even though
4 $600,000 was only slightly more than one third of the original award, that total amount
5 nevertheless was constitutionally adequate because it was a substantial amount:
6 "Plaintiff has not been left without a remedy. She has received
7 $600,000, comprised of $500,000 in noneconomic damages and $100,000
8 in economic damages. There was no statutory limit on the latter category
9 of damages. Although that remedy is not precisely of the same extent as
10 that to which plaintiff was entitled before the enactment of ORS 18.560(1),
11 that remedy is substantial."
12 322 Or at 291 (emphasis added). The dissent ignores the court's holding in Greist.
13 According to the dissent, the decision actually was predicated on the fact that recoveries
14 for wrongful death historically were quite low. ___ Or at ___ (slip op at 9) (De Muniz,
15 Justice pro tempore, dissenting). But that is simply not what the court in Greist said.
16 Rather, as the foregoing quotation makes clear, the court held that the amount of
17 plaintiff's award of $600,000 was a substantial award, in and of itself. The court then
18 offered an additional reason for its decision, observing that the award was substantial
19 "also because the statutory wrongful death action in Oregon has had a low limit on
20 recovery." 322 Or at 291 (emphasis added).
21 The dissent also suggests that, in any event, Greist has limited precedential
22 value because it involved the application of the remedy clause to claims for wrongful
23 death, which this court has subsequently determined are not subject to the remedy
24 guarantee of Article I, section 10. ___ Or at ___ (slip op at 8, n 5) (De Muniz, Justice pro
24
1 tempore, dissenting). That is a curious criticism. That this court later held that its
2 remedy clause analysis does not apply to wrongful death claims, see Hughes v.
3 PeaceHealth, 344 Or 142, 151-52, 178 P3d 225 (2008), in no way suggests that the
4 remedy clause analysis itself was wrong. In fact, in subsequent Article I, section 10,
5 cases, this court has continued to cite and discuss Greist -- and Neher, also a wrongful
6 death case -- in describing its remedy clause analysis. Clarke, for example, contains
7 extensive discussions of both Greist and Neher without any suggestion that either has
8 limited precedential value. Clarke, 343 Or at 603-05.
9 The dissent also complains that we have observed that this case is unlike
10 other cases, such as Clarke, in which the court concluded that a remedy was
11 constitutionally inadequate. According to the dissent, we have engaged in logically
12 fallacious reasoning in deducing that, because this case is not like Clarke, the remedy is
13 constitutionally adequate. If that were what we actually said, the dissent would have a
14 point. But nowhere in our opinion have we concluded that, merely because this case is
15 unlike Clarke or any other prior decision, it follows that the result in this case must be
16 different. The dissent's complaint, in other words, amounts to no more than attacking a
17 straw person.
18 The dissent also complains that our conclusion that a partial remedy may be
19 constitutionally adequate under Article I, section 10, fails to adhere to the "text and
20 context" of the remedy clause. ___ Or at ___ (slip op at 2) (De Muniz, Justice pro
21 tempore, dissenting). Interestingly, the dissent offers nothing to support that assertion.
22 In that regard, however, we note that nothing in the wording of the remedy clause says
25
1 anything about a right to be wholly restored. It guarantees remedy "by due course of
2 law." Smothers, 332 Or at 121-22. It is the dissent's reading of Article I, section 10, that
3 fails to comport with the text of the constitution. If, as the dissent suggests, Article I,
4 section 10, requires that all remedies must be "fully restorative," ___ Or at ___ (slip op at
5 23) (De Muniz, Justice pro tempore, dissenting), then the "due course of law" clause is
6 rendered superfluous.
7 The dissent nevertheless claims support for its position from Smothers,
8 relying on this court's description of the term "remedy" as including, in part, "that which
9 is 'required to restore a right that has been injured.'" ___ Or at ___ (slip op at 13) (De
10 Muniz, Justice pro tempore, dissenting) (quoting Smothers, 332 Or at 124). The dissent
11 leaves out the following sentence from its quotation, which states that, "[i]njury, in turn,
12 is a wrong or harm for which a cause of action existed when the drafters wrote the
13 Oregon Constitution in 1857." Smothers, 332 Or at 124. Thus, what must be "restored"
14 is an injury that would have been recognized as the basis for a cause of action in 1857. In
15 that regard, the dissent fails to mention that, in the mid-nineteenth century, negligence
16 claims were subject to the doctrine of contributory negligence, which operated as a
17 complete bar to a plaintiff's recovery. See generally Lawson, 339 Or at 262 (noting "the
18 indisputable proposition that, in the early years of this state's history, a plaintiff's
19 contributory negligence was an absolute bar to recovery for the negligent acts of
26
1 another.").11
2 Moreover, under the prevailing law at the time that the state's constitution
3 was adopted, a plaintiff was required to prove not only that his or her injuries were
4 caused by a defendant's negligence but also that his or her own actions did not contribute
5 to those injuries. Contributory negligence, in other words, was a principle of causation
11
The first appearance of contributory negligence in a state court is usually
traced to Smith v. Smith, 19 Mass (2 Pick) 621 (1824), in which the court upheld the
dismissal of a negligence action. "This action cannot be maintained," the court
explained, "unless the plaintiff can show that he used ordinary care; for without that, it is
by no means certain that he himself was not the cause of his own injury." Id. at 623. By
1860, nearly every state had expressly recognized the doctrine of contributory
negligence, most often as a matter of the plaintiff's affirmative burden. As one modern
scholar has observed, "[i]n the space of a few decades, the doctrine of contributory
negligence gained almost unanimous acceptance within the United States." Peter N.
Swisher, Virginia Should Abolish the Archaic Tort Defense of Contributory Negligence
and Adopt a Comparative Negligence Defense in its Place, 46 U Rich L Rev 359, 361
(2011). As another commented, the doctrine "rapidly spread, 'not unlike an unchecked
conflagration in a windstorm' throughout the country." Stuart M. Speiser et al., 3 The
American Law of Torts § 12:2, 249-50 (2008) (quoting E. A. Turk, Comparative
Negligence on the March, 28 Chi-Kent L Rev 189 (1950)).
Nineteenth-century treatises confirm that, at the time, the general rule was
that a plaintiff bringing a claim for negligence bore the burden of demonstrating that his
or her injuries were not a result of the plaintiff's own negligence. As early as 1811,
Selwyn's treatise on nisi prius stated that a plaintiff seeking to recover damages must
show that he acted with "common and ordinary caution." 2 W. Selwyn, An Abridgment
of the Law of Nisi Prius 1092 n 5 (1811). Hilliard's 1866 treatise on the law of torts
declared that "it is the prevailing doctrine, that, to sustain an action on the case for
negligence, the burden of proof is on the plaintiff to show negligence, wil[l]ful or
otherwise, on the part of the defendant, and ordinary care on his own part." Francis
Hilliard, 1 The Law of Torts or Private Wrongs 125-26 (3d ed 1866) (emphasis in
original). See also Theodore Sedgwick, A Treatise on the Measure of Damages 493 (3d
1858) ("[T]he party seeking legal redress must not only show his adversary to be in the
wrong, but must also be prepared to prove that no negligence of his own has tended to
increase or consummate the injury.").
27
1 that constituted a part of a plaintiff's burden of proof.
2 Although we are aware of no pertinent case law from the courts of this state
3 dating precisely to the time of the adoption of the constitution, there are several cases
4 dating to a few short years later that strongly suggest that Oregon's courts followed the
5 established rule. 12 See Smothers, 332 Or at 129 (relying on other-state and post-1870s
12
Over 100 reported early nineteenth-century cases reflect the widespread
adoption of the doctrine of contributory negligence, most often as a matter of the
plaintiff's affirmative burden. See, e.g., Crommelin v. Coxe & Co., 30 Ala 318, 329
(1857) ("[T]he plaintiffs in this case would not be heard to complain, if with ordinary
care and diligence they could have avoided the injury."); Daley v. Norwich & W.R. Co.,
26 Conn 591, 597 (1858) ("Two things must concur to support this action; an obstruction
in the road by the fault of the defendant, and no want of ordinary care to avoid it on the
part of the plaintiff."); Rusch v. City of Davenport, 6 Iowa 443, 451 (1858) ("We think
there is no doubt, but that the burden of proof was on the plaintiff to show to the jury, that
the accident happened without any want of reasonable care on his part."); Galena & C. U.
R. Co. v. Jacobs, 20 Ill 478, 488 (1858) ("[T]he plaintiff is only bound to show that the
injury was produced by the negligence of the defendant, and that he exercised ordinary
care and diligence in endeavoring to avoid it."); Evansville & C.R. Co. v. Hiatt, 17 Ind
102, 105 ("In this class of suits, the plaintiff must, as a general proposition, prove that the
proximate, the immediate, cause of the injury sued for, was the wrongful act of the
defendant, to which injury his own wrongful act did not immediately contribute.");
Carlisle v. Holton, 3 La Ann 48, 49 (1848) ("[A] party cannot be heard as plaintiff who
has contributed to the collision by his own negligence or improper management."); Lane
v. Crombie, 29 Mass 176, 177 (1831) ("[T]he burden of proof was upon the plaintiff to
show that the accident was not occasioned by her own negligence."); Adams v. Wiggins
Ferry Co., 27 Mo 95, 98 (1858) ("The rule [is] that there can be no recovery when both
plaintiff and defendant are [at] fault, and each, by his negligence or otherwise, has
contributed proximately and directly to the injury."); Lehman v. City of Brooklyn, 29
Barb 234, 236 (NY 1859) ("To entitle the plaintiff to recover, it must appear,
affirmatively, that the accident resulted wholly from the negligence of the defendant, and
that the negligence and improvidence of the plaintiff did not contribute to bring it
about."); Kennard v. Burton, 25 Me 39, 47 (1845) ("In suits against towns for the
recovery of damages for injuries occasioned by defects in highways, the law is settled
that the plaintiff must sh[o]w that the injury was not occasioned by negligence or the
want of ordinary care on his own part."); Norris v. Town of Litchfield, 35 NH 271, 276
28
1 case law to determine the state of negligence at the time of the adoption of the Oregon
2 Constitution). In Kahn v. Love, 3 Or 206 (1870), the occupant of a building sued the
3 owner for damages for injuries caused by the unsafe condition of the building. The
4 owner demurred to the complaint because, among other things, the plaintiff had failed to
5 allege that his injuries were not caused by his own lack of care. The trial court sustained
6 the demurrer and dismissed the complaint. This court affirmed, explaining that "[t]he
7 plaintiff in an action for damages, occasioned by the defendant's negligence, must so
8 frame his complaint as not to leave an inference that he was guilty of negligence that
9 contributed to the injury." Id. at 208.
(1857) ("In actions of this kind it is settled that if the damage sustained has been in any
degree directly caused by his own fault or negligence, the plaintiff cannot recover.");
Central R. Co. v. Moore, 24 NJL 824, 830 (1854) ("This action is for damages sustained
by the plaintiff by reason of the alleged negligence of the defendants. To maintain it, the
plaintiff must show that he was in the exercise of due care on his part, and that the
defendants were not in the exercise of due care on their part."); Timmons v. Central O. R.
Co., 6 Ohio St 105, 108 (1856) ("[W]e think [the complaint] substantially defective in
this, that it discloses, on the part of the plaintiff himself, a want of ordinary care, which
was the immediate cause of the injury of which he complains."); Beatty v. Gilmore, 16 Pa
463, 467 (1851) ("[T]o sustain [an action for negligence], there must be the concurrence
of negligence, or the commission of an unlawful act on the part of the defendant, and
reasonable care exercised by the plaintiff; mutual carelessness being destructive of the
title to sue."); Robinson v. Cone, 22 Vt 213, 222 (1850) ("In order to sustain the action on
the case for negligence of the defendant, it must appear that the injury did not occur from
any want of ordinary care on the part of the plaintiff, either in whole, or in part. In other
words, if ordinary care on the part of the plaintiff would have enabled him to escape the
consequences of the defendant's negligence, he has no ground of complaint."); Dressler v.
Davis, 7 Wis 527, 531 (1859) ("[I]t was necessary for the [plaintiff], in order to make out
a prima facie case, in the first instance, to prove, not only that the injury in question arose
from the carelessness or negligence of the [defendants], or their servant, but also that his
own carelessness or negligence did not contribute to it.").
29
1 To similar effect is Walsh v. Oregon Ry. & Navigation Co., 10 Or 250
2 (1882). In that case, the plaintiff was injured as he stuck his head out of a moving train
3 as it passed by a water tower. The trial court dismissed the action before trial. This court
4 reversed, holding that there was a jury question about whether plaintiff's injuries were a
5 result of his own negligence. In reaching that conclusion, the court described the burden
6 of proof in the following terms:
7 "In actions for negligence, the burden of proof always rests upon the party
8 charging it. He must prove that the accident was caused by the wrongful
9 act, omission, or neglect of the defendant, and that the injury of which he
10 complains was not the result of his own negligence and the want of
11 ordinary care and caution. Although the evidence may disclose the
12 defendant to have been guilty of negligence, it will not excuse negligence
13 or the want of proper care and precaution on the part of the plaintiff. The
14 law will not permit a recovery where the plaintiff, by his own negligence or
15 carelessness, has contributed to produce the injury from which he has
16 suffered. To entitle, then, the plaintiff to recover (conceding the negligence
17 of the defendant in not removing the water-tank to the proper distance after
18 widening the track) it was incumbent on him to prove, when the accident
19 occurred, that he exercised that ordinary care which a party ought to
20 observe under the particular circumstances in which he was placed."
21 Id. at 253-54.
22 By the 1880s, a number of courts began to voice objections to the notion
23 that a plaintiff should be required to negate contributory negligence as part of his or her
24 case. See, e.g., O'Brien v. Tatum, 84 Ala 186 (1887); Robinson v. Western P. R. Co., 48
25 Cal 409 (1874); Benson v. Goodwin, 147 Mass 237 (1888). A number of treatise writers,
26 after noting the general rule, similarly suggested that a better one would be to regard
27 contributory negligence as an affirmative defense. See, e.g., Seymour D. Thompson, 2
28 The Law of Negligence 1175 (1880) ("Generally, contributory negligence on the part of
30
1 the plaintiff will bar a recovery. It would seem, therefore, to be a matter of defence, and
2 that it would devolve upon the defendant to prove it.").
3 Oregon, however, did not join that particular chorus until 1885. As Judge
4 Matthew Deady observed in Conroy v. Oregon Constr. Co., 23 F 71, 72 (D Or 1885), at
5 that point, the state courts had become "nearly evenly divided on the question whether
6 'contributory negligence' is a part of the plaintiff's case or a matter of defense." As for
7 Oregon, Judge Deady observed, Walsh appeared to indicate that the state supreme court
8 "decided that it is a part of the plaintiff's case." Id. See also Charles Fisk Beach, Jr., A
9 Treatise on the Law of Contributory Negligence 425-26 (1885) (citing Kahn and Walsh,
10 as well as Deady's opinion in Conroy, as examples of cases in which the burden is placed
11 on the plaintiff to prove an absence of negligence).
12 In Grant v. Baker, 12 Or 329, 7 P 318 (1885), this court changed course. In
13 that case, the plaintiff initiated an action for the wrongful death of an individual, who was
14 killed when he fell over the edge of a poorly designed roadway. The trial court nonsuited
15 the case on contributory negligence grounds. The Supreme Court reversed. The court
16 began by noting that its earlier decision in Walsh "might justify the impression" that it is
17 the plaintiff who bears the burden of disproving contributory negligence. Id. at 332. The
18 court quickly disavowed such a rule and confined Walsh to its facts. The description of
19 the burden of proof in Walsh, the court in Grant held, "was intended to apply to the state
20 of facts mentioned, and not to lay down any general rule." Id. at 333. The better rule, the
21 court concluded, has always been that "contributory negligence is a defense and must be
22 averred as such." Id.
31
1 Thus, even assuming that the dissent is correct that the "restorative" quality
2 of a remedy is controlling, under this court's case law, plaintiff in this case -- who did not
3 plead that she had exercised due care and who the jury found to have been 50 percent at
4 fault -- would have been entitled to recover nothing.13 Under the circumstances, it is
5 difficult to understand the dissent's complaint that the $200,000 in damages that plaintiff
13
Plaintiff and the dissent argue that, if we are to recognize the existence of
contributory negligence at the time of the adoption of the constitution, we should also
take into account certain doctrines that she asserts could have been advanced in response
to an assertion of contributory negligence, such as the last clear chance doctrine and gross
negligence. Those doctrines, however, are not applicable to this case. To begin with,
plaintiff did not raise either of them before the trial court, although she had opportunity to
do so. Particularly in light of the fact that each of the doctrines that she now invokes
requires particular factual showings, we are disinclined to entertain any consideration of
those doctrines at this stage in the proceedings. See Peeples v. Lampert, 345 Or 209,
219-20, 191 P3d 637 (2008) (appellate courts must exercise "utmost caution" when
addressing unpreserved arguments because, among other things, "preservation fosters full
development of the record, which aids the trial court in making a decision and the
appellate court in reviewing it"). Indeed, gross negligence ordinarily must be pleaded as
a separate claim, which plaintiff did not do in this case. See generally Fassett v. Santiam
Loggers, Inc., 267 Or 505, 508, 517 P2d 1059 (1973) (describing differences between
claims). Our review in this case is limited to the claim that plaintiff actually asserted.
Hughes v. PeaceHealth, 344 Or 142, 152, 178 P3d 225 (2008). As for last clear chance,
there is no evidence of its widespread recognition by 1857. The origins of the doctrine
are ordinarily attributed to the English case of Davies v. Mann, 10 M & W 546, 152 Eng
Rep 588 (1842). As Professor G. Edward White has observed, however, Davies was not
read to have adopted such a categorical exception to the rule of contributory negligence
in this country until the 1880s. G. Edward White, Tort Law in America: An Intellectual
History 45-46 (2d ed 2003). According to White, "the doctrine had not in fact originated
in Davies v. Mann, at least as a principle of negligence law; it was the creation of later
treatise writers who extracted it from the Davies case and others." Id. The first case in
this country even to mention Davies is an 1852 Vermont case, Trow v. Vermont C. R.R.,
24 Vt 487 (1852). This court did not cite Davies until 1890, in Moses v. S. P. R. R. Co.,
18 Or 385, 402, 23 P 498 (1890), and did not mention "last clear chance" until 1911, in
Smith v. Southern Pacific Co., 58 Or 22, 36, 113 P 41 (1911).
32
1 was awarded was not fully "restorative" of her common-law negligence claim.
2 The dissent nevertheless disputes what this court in Lawson declared to be
3 "indisputable"; namely that, in the mid-nineteenth century, a plaintiff's contributory
4 negligence barred recovery on a negligence claim. At the least, the dissent contends, we
5 cannot say "with the certainty that should be required for a decision of this magnitude"
6 what the state of the law was in 1857, because, at that time, there existed no Oregon
7 appellate court decisions on the subject of contributory negligence. ___ Or at ___ (slip
8 op at 19) (De Muniz, Justice pro tempore, dissenting).
9 Of course, the dissent is correct that it is exceedingly difficult to determine
10 the state of Oregon law over 150 years ago. Nevertheless, that is what Smothers requires.
11 Indeed, the court in Smothers confronted the same difficulty and resolved it, as we do
12 here, by making the best of the limited historical resources at the court's disposal.
13 In Smothers, the court addressed the question whether the common law at
14 the time of the adoption of this state's constitution would have recognized a cause of
15 action for negligence against an employer. The court found no case law -- it bears
16 repeating, no case law -- anywhere in the nation recognizing such a cause of action at that
17 time. 332 Or at 128-29. Undaunted, the court stated that,
18 "[a]lthough no Oregon cases addressed the common-law rights of
19 employees to bring such negligence actions against their employers in the
20 years immediately surrounding the creation of the Oregon Constitution, the
21 content of the common law in 1857 may be divined from a wide range of
22 sources. Cases from other jurisdictions, as well as Oregon cases decided
23 within a relatively short period after 1857, are instructive."
24 Id. at 129 (emphasis added). The court then referred to four cases, three from other
33
1 jurisdictions and a single decision of this court, all published more than two decades after
2 the adoption of the Oregon Constitution. The earliest of the cases was the United States
3 Supreme Court's decision in Hough v. Ry. Co., 100 US 213, 25 L Ed 612 (1879). The
4 three other cases were Atchison, T. & S.F.R. Co. v. Moore, 29 Kan 632 (1883); Wilson v.
5 Willimantic Linen Co., 50 Conn 433 (1883); and Anderson v. Bennett, 16 Or 515, 19 P
6 765 (1888). Of the 1888 Oregon decision, the court in Smothers observed that, because
7 "nothing in the court's opinion in that case suggested that the holding was novel or that
8 the decision marked a departure from any previous decisions or jurisprudence on the
9 subject," it was permissible to infer from that decision that, "in 1857, the common law of
10 Oregon would have recognized" the claim. 332 Or at 131.
11 Thus, based on a handful of cases decided 20 to 30 years after the adoption
12 of the state constitution, this court inferred the existence of the law decades earlier. The
13 fact is that this court has never insisted on the sort of "certainty" that the dissent demands
14 in Article I, section 10, cases. See, e.g., Lawson, 339 Or at 261-62 (citing Smothers and
15 relying on "various other sources to determine the content of the common law at the time
16 of the drafting of the Oregon Constitution, including roughly contemporaneous cases
17 from other jurisdictions, as well as Oregon cases decided in the decades shortly after the
18 adoption of the constitution.").
19 Moreover, unlike the court in Smothers, we are not merely relying on four
20 cases decided well after the adoption of this state's constitution. As we have noted, there
21 are numerous cases from around the country dating from before the time of the adoption
22 of the Oregon Constitution reflecting what scholars -- both in the mid-nineteenth century
34
1 and now -- agree was the widespread acceptance of the doctrine of contributory
2 negligence as a component of a plaintiff's case at that time. It is in that context that we
3 have examined the later Oregon case law for any suggestion that Oregon courts saw the
4 law differently. We have found no such case law. To the contrary, the earliest Oregon
5 cases were consistent with what we have described as the well-established rule.
6 The dissent rejoins that, regardless of who has the better of the argument
7 about Oregon's legal history, Smothers cannot be read to "freeze in place[] every
8 repealed, overruled or outmoded argument that a defendant might have relied on in 1857
9 to resist an injured person's claim." ___ Or at ___ (slip op at 20) (De Muniz, Justice pro
10 tempore, dissenting). Smothers, however, requires that the "injury" that a modern remedy
11 must restore is "a wrong or harm for which a cause of action existed when the drafters
12 wrote the Oregon Constitution in 1857." 332 Or at 124. As we have noted, plaintiff's
13 injury in this case -- as pleaded and determined by a jury -- is not the sort for which a
14 cause of action existed at that time. Smothers does not give us liberty to pick and choose
15 which causes of action that existed in 1857 we now regard as "outmoded." It requires us
16 to take the law as we find it as of that time. That is what we have endeavored, in good
17 faith, to accomplish.
18 Finally, the dissent complains that the "substantial" remedy test that we
19 recognize in this case is standardless and lacks a "guiding principle." ___ Or at ___ (slip
20 op at 21-23) (De Muniz, Justice pro tempore, dissenting). The dissent, of course, echoes
21 precisely the same criticism that Justice Unis leveled in Greist, and that this court
22 rejected. The fact is that not every constitutional provision can be reduced to a neat
35
1 formula that avoids the necessity of applying careful judgment to the facts and
2 circumstances of each case.
3 For the foregoing reasons, we conclude that the challenged $200,000
4 damage limitation does not leave plaintiff with a constitutionally inadequate remedy
5 under Article I, section 10, of the Oregon Constitution.
6 Certified question answered.
36
1 DE MUNIZ, Justice, pro tempore, dissenting.
2 Faced with an Article I, section 10, Remedy Clause controversy, the
3 majority -- for the first time in this court's history -- upholds a legislative limitation that
4 prevents plaintiff from fully recovering the economic damages that a jury awarded to
5 restore her constitutionally protected right.1 The Remedy Clause guaranteed plaintiff a
6 "remedy by due course of law" for injury to her person -- a remedy that the jury, "by due
7 course of law," determined should include the full amount of economic damages
8 attributable to defendant.2 Yet the majority upholds, as constitutional, a standardless and
1
The Remedy Clause affords plaintiff, and every person in this state, the
right to a remedy by due course of law for personal injuries. The analysis of that right set
out in our cases, and discussed in this dissent, does not differentiate between economic or
noneconomic damages. As a matter of both history and logic, both kinds of damages
comprise the remedy that is reasonably calculated, so far as possible, to restore or repair
the right that defendant injured. I draw particular attention to the effect of the majority's
holding on plaintiff's right to recover her economic injuries for only one reason.
Plaintiff's economic damages reflect her out-of-pocket expenses, such as for medical
bills, that is the result of defendant's conduct. Assuming that causal link, the calculation
of plaintiff's economic damages requires only simple arithmetic and includes no
evaluation by a factfinder of plaintiff's mental or emotional injuries, such as her pain and
suffering. Thus, in focusing momentarily on the topic of plaintiff's economic damages,
we perhaps can see the majority's error in clearest relief. According to the majority,
Article I, section 10, does not guarantee plaintiff a right to recover a remedy reflecting
even the amount of plaintiff's monetary expenses, including her medical bills, directly
attributable to defendant's conduct. As this dissent demonstrates, the majority's novel
interpretation of Article I, section 10, departs sharply from our case law and deprives the
constitutional guarantee of a remedy by due course of law of any practical meaning.
2
This case does not call upon us to consider -- and the majority has not
considered -- the constitutionality of the trial court's action or that of the legislature under
Article I, section 17, of the Oregon Constitution. That provision prohibits interference
with the jury's assessment of damages in a common-law negligence action like this one.
Lakin v. Senco Products, Inc., 329 Or 62, 987 P2d 463 (1999).
1
1 arbitrary legislative deprivation of that remedy and does so without adherence to the text
2 and context of the Remedy Clause or this court's prior decisions.
3 In Clarke v. OHSU, 343 Or 581, 610, 175 P3d 418 (2007), this court held
4 that the same statutory damage cap at issue in this case violated the Remedy Clause
5 because we were unable to discern anything
6 "from our state's history, or from the nature, the form, or the amount of
7 recovery available for the preexisting common law claim, that would
8 permit this court to conclude that the limited remedy for permanent and
9 severe injury caused by medical negligence that is now available under the
10 OTCA meets the Article I, section 10, remedy requirement."
11 That same reasoning applies with equal force to plaintiff's common-law claim in this case
12 and the result should be the same; i.e., as applied here, the damage cap at issue in this
13 matter violates the Oregon Constitution's Remedy Clause. By essentially limiting our
14 holding in Clarke to its facts, however, the majority sidesteps the reasoning in that case
15 and, in doing so, significantly undermines the Remedy Clause protections that, until this
16 day, were enjoyed by all Oregonians.
17 According to the majority, the court explained in Clarke that
18 "Article I, section 10, does not deprive the legislature of the authority 'to
19 vary and modify both the form and the measure of recovery for an injury,'
20 so long as the legislature leaves the plaintiff with a substantial remedy."
21 __ Or at __ (slip op at 18) (quoting Clarke, 343 Or at 606) (emphasis supplied by the
22 majority). What the court actually wrote in Clarke, however, was that
23 "Article I, section 10, does not eliminate the power of the legislature to vary
24 and modify both the form and the measure of recovery for an injury, as
25 long as it does not leave the injured party with an 'emasculated' version of
26 the remedy that was available at common law."
2
1 Clarke, 343 Or at 606. The majority's efforts to replace the phrase "emasculated version
2 of the remedy" with "substantial remedy" is not an accident; it is necessary to the
3 majority's conclusion. In Clark, the court referred to an "emasculated version of the
4 remedy" advisedly because our case law had imbued the phrase with a clear meaning;
5 i.e., a remedy that was "incapable of restoring the right that has been injured." Id.
6 (quoting Smothers v. Gresham Transfer, Inc., 332 Or 83, 124, 23 P3d 333 (2001)). The
7 steps that the majority has taken to now eliminate that phrase for the purpose of purging
8 "an unfortunate, if not sexist" term from the judicial lexicon does far more than substitute
9 a nonsexist term; it abrogates Clarke or, at a minimum, severely limits its holdings. Only
10 by inserting the term "substantial" into the court's holding in Clarke is the majority able
11 to construe the Remedy Clause to permit the truncated remedy at issue here; i.e., a limited
12 cause of action and a limited scope of recovery that, applied in tandem, are incapable of
13 restoring plaintiff's economic injuries. Nothing in our case law supports that
14 construction; indeed, our precedents make clear that the Remedy Clause prohibits
15 legislative limitations that are "incapable of restoring the right that has been injured."
16 (Emphasis added.) Analyzing legislative limitations on remedies under that standard is
17 quite different from analyzing -- as the majority does -- whether an award of damages is,
18 in some way or another, quantitatively "substantial." Accordingly, I dissent.
19 Reduced to its essential elements, the majority's position appears to be that
20 Article 1, section 10, does not prohibit the legislature from enacting any limitation on
21 civil recoveries -- regardless of whether the result is capable of restoring an injured right
22 or not -- so long as the remedy that remains is "substantial." __ Or at __ (slip op at 18).
3
1 The basis for that proposition can be summed up in three broad points drawn from the
2 majority's opinion: (1) under this court's case law, the "constitutional adequacy of a
3 modern remedy may be established by the fact that the modern remedy is 'substantial' and
4 does not leave the plaintiff 'wholly without remedy.'" __ Or at __ (slip op at 18); (2)
5 under that principle, $100,000 in economic damages -- contrasted against a $382,500 jury
6 award for the same -- is, as a matter of law, a "substantial" award; and (3) plaintiff was
7 only entitled to restoration of "an injury that would have been recognized as the basis for
8 a cause of action in 1857" and, in 1857, plaintiff's contributory negligence would have
9 been a complete bar to recovery. I address each of those points in turn below.
10 I. USE OF THE WORD "SUBSTANTIAL" IN OREGON'S REMEDY CLAUSE
11 JURISPRUDENCE
12 With regard to statutory caps on civil damages, this court has used the word
13 "substantial" in its analysis in only two cases: Hale v. Port of Portland, 308 Or 508, 783
14 P2d 506 (1990), and Greist v. Phillips, 322 Or 281, 906 P2d 789 (1995). Neither case,
15 however, supports application of the term "substantial" to what plaintiff has been forced
16 to accept here: a truncated remedy that is incapable of restoring plaintiff's injured rights.
17 A. Hale v. Port of Portland
18 In Hale -- a personal injury case involving both the Port of Portland and the
19 City of Portland -- this court upheld an early version of the Oregon Tort Claims Act
20 (OTCA) that capped tort damages in actions instigated against public bodies. In doing
21 so, the court cited two cases -- Noonan v. City of Portland, 161 Or 213, 88 P2d 808
22 (1939) and Evanhoff v. State Industrial Accident Commission, 78 Or 503, 154 P 106
4
1 (1915) -- for the proposition that the resulting remedy must be substantial:
2 "Noonan and Evanhoff held only that Article I, section 10, is not
3 violated when the legislature alters (or even abolishes) a cause of action, so
4 long as the party injured is not left entirely without a remedy. Under those
5 cases, the remedy need not be precisely of the same type or extent; it is
6 enough that the remedy is a substantial one."
7 Hale, 308 Or at 523 (emphasis added). The court never explained what, exactly,
8 constituted a substantial remedy, only that Noonan and Evanhoff required as much.
9 Importantly, however, at the time Hale was decided, the OTCA did not eliminate -- as it
10 does now -- the individual liability of public employees for their negligent acts. And that
11 factor -- the availability of an alternative remedy that allowed a plaintiff to fully recover
12 damages available at common law-- was a central component in both Noonan and
13 Evanhoff.
14 In Noonan, the legislative limitation at issue was a Portland municipal
15 ordinance that completely immunized the city from liability for personal injuries caused
16 by defective city sidewalks. The provision, however, specifically provided that injured
17 persons could maintain a common-law action against the individual officers and
18 employees who were responsible for maintaining the sidewalks. From the court's
19 perspective, the existence of that alternative remedy proved to be key. Affirming the
20 validity of the immunity provision, the court wrote that
21 "all of our decisions have recognized that a city may be given, not absolute,
22 but conditional immunity from liability for street accidents -- conditioned
23 upon liability reposing in someone who owed a duty to maintain them."
5
1 Noonan, 161 Or at 247 (emphasis added).3
2 In Evanhoff, the court upheld an early iteration of Oregon's workers'
3 compensation program. Under the program, participating workers injured on the job
4 were, among other things, precluded from bringing negligence actions against their
5 employers to obtain damages beyond their medical expenses. The program, however,
6 was not compulsory; both employers and workers could elect not to participate in it and
7 opt, instead, to pursue the remedies and defenses for work-related injuries that existed
8 outside the workers' compensation framework. Again, the existence of an alternative
9 remedy in the wake of a truncated one was the dispositive factor in the court's Article I,
10 section 10 analysis. The court described it thus:
11 "The state says to the employer and employé [sic] alike:
12 'We present to you a plan of accident insurance which you may
13 accept or reject at your own pleasure. If you accept, you must be bound by
14 its terms and limitations; if you reject it, the courts are open to you with
15 every constitutional remedy intact. Take your choice between our plan and
16 such remedies as the statute gives you.'"
17 Evanhoff, 78 Or at 517-18 (emphasis added).
3
Even at that time, the basis for that holding was neither new nor novel. In
Caviness v. City of Vale, 86 Or 554, 562-63, 169 P 95 (1917) -- decided over 20 years
before -- the court had recognized, as well-settled, the rule that
"before a city can exempt itself from a liability which exists both at
common law and by virtue of our Constitution, it must provide an
equivalent remedy; one reasonably adequate to serve the purpose of the
one taken away."
(Emphasis added.)
6
1 Neither of those cases can be read for the proposition that a partial remedy -
2 - like the one the majority considers "substantial" here -- is capable of satisfying the
3 Remedy Clause. Rather, both cases upheld legislative provisions that had eliminated one
4 potential source of recovery, while leaving another equivalent source intact. In that
5 respect, Hale is no different from the cases it relied on: Although the OTCA had placed a
6 cap on the amount of civil damages available in tort from a public body, the officers,
7 employees, and agents of those bodies remained liable for the damages caused by their
8 negligent actions.4 Thus, under Hale, requiring a "substantial" remedy for purposes of
9 Article I, section 10, means that, when the legislature alters or abolishes a cause of action,
4
That similarity was not lost on Justice Hans Linde who, concurring in Hale,
wrote:
"There is nothing intrinsically absurd in the idea that although statutory and
common law remedies may be changed, they must maintain some
comparable degree of protection for those interests to which Article I,
section 10, refers."
Hale, 308 Or at 529 (Linde, J., concurring). Later in his concurrence, Justice Linde
observed that
"the court has allowed legislative immunization of cities from tort liability
only on condition that the individuals who are personally responsible for
harm qualifying as a legal injury remain liable. This is analogous to
altering or limiting the scope of respondeat superior rather than wholly
depriving a plaintiff of a remedy in due course of law for harm that no one
has declared not to be a legal injury when caused by public rather than
private negligence. Because this case presents no claim against individual
public 'officers or employees, or agents,' ORS 30.265, I concur with the
court."
Id. at 530 (internal citations omitted).
7
1 it must provide an equivalent remedy that is as capable of restoring a plaintiff's injuries as
2 was the original. That standard has not been met here.
3 B. Greist v. Phillips
4 Greist was a wrongful-death case not cognizable at common law, and this
5 court has since disavowed the application of the Remedy Clause to the circumstances of
6 that case.5 However, even assuming that Greist retains some precedential value, the
7 analysis in Greist was quite different from the analysis used by the majority in this case.
8 In Greist, a jury had awarded the plaintiff $1.5 million in noneconomic damages as the
9 representative of her deceased son's estate. This court nevertheless upheld against a
10 Remedy Clause challenge a statute that capped the plaintiff's recovery for noneconomic
11 damages at $500,000. In doing so, the court noted that the plaintiff had not been left
12 without a remedy: she had received $500,000 in noneconomic damages, plus a 100
13 percent recovery of her economic damages in the sum of $100,000 -- a category of
14 damages to which no statutory limit applied. The court went on to acknowledge that,
5
Greist is no longer good law on a number of different fronts. In 1999, the
court decided Lakin v. Senco Products, Inc., 329 Or 62, and held that the statute at issue
Greist -- ORS 18.560 -- violated the Oregon Constitution's civil jury trial guarantee. In
2002, the court decided Storm v. McClung, 334 Or 210, 47 P3d 476 (2002), and
concluded that Article I, section 10, applied only to injuries for which a cause of action
existed in 1857, effectively placing the statutorily-created wrongful death action at issue
in Greist beyond the ambit of that constitutional provision. Consequently, much of
Greist is no longer substantively applicable as a matter of Oregon law. That said, as we
acknowledged in Clarke v. OHSU, 343 Or 581, 605, 175 P3d 418 (2007), Greist remains
capable of providing a degree of guidance concerning the implementation of statutory
damage caps, a position that this dissent reiterates today.
8
1 although that remedy was less than what the plaintiff would have been entitled to before
2 the noneconomic damages cap was put in place, it was nevertheless "substantial." See
3 322 Or at 291 (citing Hale).
4 The court, however, explained exactly why that was so. It wrote:
5 "The remedy for wrongful death is substantial, not only because 100
6 percent of economic damages plus up to $500,000 in noneconomic
7 damages is a substantial amount, but also because the statutory wrongful
8 death action in Oregon has had a low limit on recovery for 113 years of its
9 133-year history. See 322 Or at 294, 906 P2d at 796, below (discussing
10 history of wrongful death action in Oregon). As noted there, the wrongful
11 death claim came into existence with a limitation, and the highest previous
12 limitation (1961-1967) was $25,000. In relation to that history, the present
13 remedy is substantial."
14 Id. (emphasis added). Consequently, in Greist -- like Hale -- the metes and bounds of a
15 "substantial" remedy were clearly defined: Where a plaintiff had no common-law
16 remedy aside from a legislatively-created statutory claim that, historically, had been
17 accompanied by low limitations on recovery, damage caps that allowed the plaintiff full
18 economic damages, plus up to $500,000 in noneconomic damages, provided a remedy
19 that was "substantial."
20 My point is that, if the new constitutional bellwether for Remedy Clause
21 controversies is now the presence of a "substantial" remedy, the remedy afforded plaintiff
22 in this case falls woefully short of that mark as defined by our case law. Unlike the
23 plaintiff in Greist, plaintiff in this case cannot pursue a wrongful death action for the
24 injuries she has suffered; consequently, there is no possibility for full recovery of her
25 economic damages and no possibility of a $500,000 maximum in noneconomic damages.
26 Unlike the plaintiff in Hale, plaintiff's recovery against the city has been statutorily
9
1 capped, and she cannot pursue a common law claim against the negligent city employee
2 Consequently, plaintiff is caught coming and going -- squeezed from one end by a
3 statutory damages cap that arbitrarily limits her recovery and on the other by the
4 complete elimination of a claim that would have permitted her a full recovery. There is
5 nothing "substantial" about that predicament. Under Oregon law, plaintiff has been left
6 with a constitutionally inadequate remedy that is incapable of restoring her injured rights,
7 a circumstance that no amount of linguistic fiddling on the majority's part can change or
8 conceal.
9 II. QUANTIFYING THE "SUBSTANTIAL" REMEDY
10 According to the majority, quantifying an award of damages as
11 "substantial" with any degree of precision is probably impossible. __ Or at __ (slip op at
12 18). Undeterred by its own observation, however, the majority decides that, in this case,
13 the sum of $200,000 has, indeed, provided plaintiff with a "substantial" remedy. To
14 reach that result, the majority seeks support by negative implication, asserting that the
15 remedy available to plaintiff in this case is "far more substantial" than the remedies that
16 this court previously has determined to be constitutionally inadequate. To that end, the
17 majority compares the limited total damages that plaintiff was allowed to recover here --
18 $200,000 -- with the respective remedies that this court held to be unconstitutional under
19 the Remedy Clause in Neher v. Chartier, 319 Or 417, 879 P2d 156 (1994), and Clarke v.
20 OHSU, 343 Or 581.
10
1 Under the majority's reading of Neher,6
2 "although the estate of the victim had not been completely deprived of a
3 remedy by virtue of the existence of a $3,000 burial benefit under workers'
4 compensation law, the parents of the victim had been totally deprived of
5 any remedy."
6
7 __ Or at __ (slip op at 19) (emphasis in original). In its reading of Clarke, the majority
8 posits that, because
9 "the statutory limitation of $200,000 deprived the plaintiffs of all but one
10 percent of the more than $17 million in damages that they would have
11 otherwise recovered, the limitation left them with a constitutionally
12 inadequate remedy."
13 Id. Those observations lead the majority to tacitly conclude that, because plaintiff in this
14 matter has (1) not been totally deprived of a remedy, as was the case in Neher, and (2)
15 recovered more than the "paltry fraction" at issue in Clarke, the $200,000 cap on her
16 recoverable damages does not offend the Oregon Constitution.
17 As a matter of both logic and law, however, the majority's position fails.
18 First, the conclusion that the limited remedies at issue in Neher and Clarke were
19 unconstitutional does not make the remedy at issue in this case constitutional.7 Second,
20 neither Neher nor Clarke were cases in which the court sought to quantify a damage
6
As I have already noted, this court's decision in Storm v. McClung clarified
that the Remedy Clause applies only to common-law claims, and not to claims created by
statute, like those for wrongful death. Consequently, Neher is, like Greist, of little
substantive value beyond the guidance we are able to draw from it here as we did in
Clarke.
7
Known generally as "denying the antecedent," that error in thinking is
usually illustrated by this example: If P, then Q. Not P. Therefore, not Q.
11
1 award as constitutionally "substantial." Instead, both cases presented the court with the
2 same two problematic points: The law had recognized a right of recovery for the injuries
3 of each respective plaintiff and, at the same time, abolished remedies that would have
4 facilitated that recovery.
5 In Neher, this court invalidated statutory provisions that had immunized
6 public bodies and their employees from the statutory wrongful death claims of persons
7 covered by the workers' compensation statutes. The court did so reasoning that the
8 statutes in question had left the parents -- and sole heirs -- of 25-year-old Julie Neher
9 without any legal remedy at all after their daughter was negligently struck and killed by a
10 Tri-Met bus. To that end, the court wrote:
11 "ORS 30.010 recognizes the existence of a right of recovery for
12 surviving parents for damages to compensate them 'for pecuniary loss and
13 for loss of the society, companionship and services of the decedent.' ORS
14 30.265(3)(a), however, operates to abolish the parents' remedy under
15 circumstances such as those present in this case, not only against the
16 municipality, but against the municipality's negligent employees. Such a
17 result is irreconcilable with this court's holdings[.]"
18 Neher, 319 Or at 428 (emphasis added; internal citations omitted).
19 In Clarke, this court held that an OTCA damages limitation violated the
20 Remedy Clause. The plaintiff had instigated a medical negligence action against Oregon
21 Health Sciences University and a number of individual physicians that it employed. The
22 plaintiff brought that action on behalf of her son who had suffered total and permanent
23 disability as the result of the negligent treatment he had received while in the hospital's
24 care. The child's economic damages alone exceeded $12 million, a sum that was
25 undisputed by OHSU, as was its negligence in the matter. At the time, however, the
12
1 OTCA immunized the individual doctors from liability and capped the damages
2 recoverable from OHSU at $200,000. This court held that the elimination of the
3 plaintiff's claim against the hospital's doctors and the substituted and limited remedy
4 against the hospital violated the Remedy Clause as an "emasculated version of the
5 remedy that was available at common law." Clarke, 343 Or at 610. In reaching that
6 conclusion, the court emphasized that the legislature had eliminated the plaintiff's
7 "preexisting right to obtain a full recovery" for the injuries sustained by her son. The
8 court wrote:
9 "We view plaintiff's economic damages of over $12 million as
10 representative of the enormous cost of life-time medical care currently
11 associated with permanent and severe personal injuries caused by the
12 medical negligence of a state officer, agent, or employee. Defendants do
13 not argue that those damages do not constitute an 'injury' within the
14 meaning of the constitution. Nor does anything in the legislation suggest
15 such a conclusion by the legislature. Yet, the legislature has completely
16 eliminated an injured person's preexisting right to obtain a full recovery for
17 those damages from the individual tortfeasors who negligently caused the
18 injuries."
19 Id. at 609 (emphasis added).
20 In short, the court's decisions in Neher and Clarke both turned on the lack
21 of a restorative remedy. And those two cases do not exist in a vacuum. This court has
22 frequently referred to that restorative quality as the benchmark of a remedy's
23 constitutionality. See Smothers v. Gresham Transfer, Inc., 332 Or 83, 124, 23 P3d 333
24 (2001) (noting that the term "remedy" refers, in part, to that which is "required to restore
25 a right that has been injured"); Davidson v. Rogers, 281 Or 219, 222, 574 P2d 624 (1978)
26 (noting that, in an action for libel, the remedy of a retraction did not offend the Remedy
13
1 Clause because "retraction can come nearer to restoring an injured reputation than can
2 money"); Holden v. Pioneer Broadcasting Co., 228 Or 405, 419, 365 P2d 845 (1961)
3 (noting that the "remedy afforded through retraction would seem to come closer to
4 providing an effective means of repairing the harm" resulting from act of defamation).
5 The majority's contrary application of Neher and Clarke scrubs the
6 restorative purpose of the Remedy Clause from this court's jurisprudence. Moreover, it
7 suggests that any recovery for damages is "substantial" so long as the amount awarded
8 falls somewhere between the sum of zero and a figure that, while not "enough," is, in the
9 court's estimation, nevertheless "substantial," whatever that means. Untethered to a
10 restorative purpose, that standard is both arbitrary and unworkable.
11 The majority, however, does not rely solely on its conclusion that the award
12 in this case was "substantial" to justify its decision here. It goes on to opine that the
13 remedy provided in this case also constitutes a "quid pro quo" because, with regard to the
14 police officer who struck plaintiff,
15 "the city remains liable for the torts of its employees committed within the
16 scope of employment. Thus, while the legislature limited the amount that
17 may be recovered from individual defendants who are municipal
18 employees, it substituted the 'deep pocket' of the municipality itself as the
19 ultimate payor. Plaintiffs, in other words, have been conferred a substantial
20 benefit in exchange for the damage limitation."
21 __ Or at __ (slip op at 19-20) (emphasis added).
22 Let me be absolutely clear: the legislature did not "limit" the amount that
23 could be recovered from Officer Boyle when it amended the OTCA in 1991; it abolished
24 any option for plaintiff to recover any amount from Officer Boyle, by immunizing him
14
1 from tort liability for negligent acts occurring in the course of his employment. And in
2 1991, the legislature did not confer any additional benefit to compensate for that
3 deprivation. The legislature previously had granted a class of plaintiffs access to the
4 "deep pockets" of the municipality for torts arising out of governmental functions, but
5 that benefit had already served as a "quid pro quo" for the cap on tort damages arising out
6 of muncipalities' proprietary functions. Having been "spent" for that purpose, municipal
7 "deep pockets" could not then serve as a benefit for a subsequent deprivation --
8 elimination of employee liability. Further, the "deep pockets" of the municipality
9 supposedly substituted in Officer Boyle's stead are only as deep as the statutory damages
10 cap, which, in this case, is not very deep at all. Consequently, there is no "this for that"
11 exchange in evidence here. Plaintiff's common-law remedy against Officer Boyle has
12 been abolished, and the remedy that has been left to her is insufficient to restore her
13 injured rights as determined by the jury. She has not, contrary to the position taken by
14 the majority, "been conferred a substantial benefit in exchange for the damage
15 limitation." In positing otherwise, the majority is simply wrong.
16 In any event, the majority takes Hale's "quid pro quo" rationale far beyond
17 its application in that case. In Hale, the court did not hold that the legislative damage
18 limitation at issue before it was constitutional based on a determination that the remedy
19 was "substantial." Instead, the court reasoned, in part, that the legislature had conferred a
20 benefit to a "class of plaintiffs" to which the plaintiff belonged in exchange for imposing
21 a "counterbalancing burden." In that trade-off, the court noted, the legislature had capped
22 previously unlimited municipal liability for torts arising out of proprietary functions in
15
1 exchange for partially waiving what had been complete municipal immunity for torts
2 arising out of governmental functions. That legislative scheme, the court wrote "may
3 work to the disadvantage of some, while it will work to the advantage of others. But all
4 who had a remedy continue to have one." 308 Or at 523. That legislative scheme did not
5 prevent any plaintiff from seeking damages from the individual municipal employees
6 who caused their injuries.
7 The majority, however, assumes that, if the legislature has provided any
8 sort of remedy with regard to municipal torts, that fact makes subsequent legislative
9 limitations constitutional, even when the substituted remedy prevents a plaintiff from
10 obtaining a full recovery from anyone. In that regard, the majority's position begs the
11 question of what constitutes a constitutionally adequate remedy. Must the quid pro quo
12 fairly trade "counterbalancing" benefits for burdens, or can the legislature satisfy the
13 constitution by providing any benefit at all? If a balanced trade between burdens and
14 benefits is required, then a quid pro quo results only when a plaintiff receives a remedy
15 that is substantially equivalent to the one that has been taken away -- and which would,
16 presumably, be capable of restoring the right that was injured. If, however, a quid pro
17 quo need not be substantially equivalent to the remedy taken away, then what
18 relationship, if any, must it bear to the common-law remedy? If the Remedy Clause
19 requires only a "substantial" remedy, then presumably a "substantial" quid pro quo --
20 whatever that is -- is all that is required. But if the Remedy Clause requires a restorative
21 remedy, then a quid pro quo will be satisfactory only to the extent that the benefit it
22 confers is restorative as well. I fail to see the utility of that tautological digression.
16
1 But, as I have already noted, there is no quid pro quo at play here. For
2 torts arising out of governmental functions, plaintiffs had access to municipal "deep
3 pockets" by virtue of the preexisting statutory waiver of municipal immunity. The 1991
4 OTCA amendments eliminated individual municipal employee liability without
5 conferring any additional benefit to injured plaintiffs. The majority ignores that fact in
6 favor of permitting the preexisting statutory waiver of municipal immunity to serve as a
7 quid pro quo for the later, additional deprivation of individual municipal employee
8 liability. According to the majority's interpretation of Hale, however, that benefit has
9 already been "spent" to justify the cap on municipal liability for proprietary functions. If
10 that supposed "benefit" is also the acceptable trade-off for the remedy plaintiff has been
11 deprived of in this case, then that "benefit" is capable of justifying virtually any future
12 reduction in the remedies available to plaintiffs injured by the acts of a public body.
13 That, in my view, is not an equitable exchange.
14 III. HISTORY AND THE LEGISLATURE'S AUTHORITY UNDER OREGON'S
15 REMEDY CLAUSE
16
17 The majority acknowledges that the Remedy Clause requires the restoration
18 of a right that has been injured, and asserts that what must be "restored" is an "injury that
19 would have been recognized as the basis for a cause of action in 1857." ___ Or at ___
20 (slip op at 26) (emphasis in original). The majority then relies on a historical analysis of
21 the contributory negligence doctrine as practiced in the nineteenth century for its
22 conclusion that, even if I am correct that the Remedy Clause mandates a restorative
23 remedy, this plaintiff "would have been entitled to recover nothing" in 1857. ___ Or at
17
1 ___ (slip op at 32). The majority’s position is that, from a historical perspective, (1)
2 contributory negligence was, at one time, an absolute bar to a plaintiff's recovery in tort,
3 and (2) establishing the absence of contributory negligence was part of a plaintiff's
4 burden of proof. Therefore, the majority concludes that,
5 "under the prevailing law at the time that the state's constitution was
6 adopted, a plaintiff was required to prove not only that his or her injuries
7 were caused by a defendant's negligence but also that his or her own actions
8 did not contribute to those injuries. Contributory negligence, in other
9 words, was a principle of causation that constituted a part of plaintiff's
10 burden of proof."
11 __ Or at __ (slip op at 27-28).
12 There are, of course, multiple pitfalls associated with the kind of historical
13 analysis that the majority undertakes. As Justice Landau has cautioned:
14 "Historical analysis, even done well, often will fail to establish with
15 anything approximating probability what the framers of a constitutional
16 provision intended. It may even show that there were multiple and
17 conflicting, intentions. Judges should be prepared to accept that and not try
18 to make history tell us more than it fairly does."
19 Jack L. Landau, A Judge's Perspective on the Use and Misuse of History in State
20 Constitutional Interpretation, 38 Val U L Rev 451, 486-87 (2004).
21 That warning is appropriate here. As the majority acknowledges, when the
22 Oregon Constitution was adopted, this court had not decided that contributory negligence
23 was a bar to a plaintiff's claim or that a plaintiff was required to plead a lack of
24 contributory negligence as an affirmative element of his or her cause of action. The first
25 Oregon case to discuss those issues was decided in 1870, and by 1885 the court had made
26 clear that it had "always understood" contributory negligence to be a defense that a
18
1 defendant must plead. Grant v. Baker, 12 Or 329, 333 (1885); see also Johnston v.
2 Oregon Short Line & U.N. Ry. Co., 23 Or 94, 99, 31 P 283 (1892) (discussing contrary
3 position set out in Walsh as a "lapsus linguae" (a slip or fault of the tongue)).8 Thus, the
4 majority cannot say, with the certainty that should be required for a decision of this
5 magnitude, that, in 1857, plaintiff would not have had a cause of action for her injuries.
6 Furthermore, even if defendant could have made arguments in 1857 that
7 had the potential to defeat plaintiff's claim had she filed it in 1857 rather than in 2007,
8 plaintiff also could have raised legal rules, such as last clear chance or that defendant had
8
The majority cites Conroy v. Oregon Constr. Co. 23 F 71, 72 (D Or 1885),
and Charles Fisk Beach, Jr.'s 1885 treatise on contributory negligence in support of its
claim that Walsh establishes that, at the time the constitution was adopted, a plaintiff
needed to prove the exercise of ordinary care as part of the plaintiff's case-in-chief. The
majority correctly notes that Judge Deady observed in Conroy that, at least in 1885, the
states were "nearly evenly divided on the question whether 'contributory negligence' is a
part of the plaintiff's case or a matter of defense." And with regard to Oregon, Judge
Deady also observed that the Walsh case indicated that plaintiff had the burden to prove
the plaintiff's absence of negligence. I would note, however, that in doing so Judge
Deady appeared skeptical of the rule, pointing out that "[t]he law does not presume that
anyone is negligent; especially when such negligence may or will result in his own
personal injury." 23 F at 72. Moreover, Judge Deady characterized the court's reference
to the rule stated in Walsh as "a dictum to that effect." Id. at 72. Judge Deady's
observations are consistent with Oregon statutory law at the time the constitution was
adopted. At that time, with regard to civil matters, there was a presumption that, "a
person takes ordinary care of his own concerns." General Laws of Oregon, Civil Code,
ch VIII, title VII, § 766, p 337 (Deady 1845-1864). With regard to the Beach treatise, I
would point out that in the third edition of the treatise in 1899 Beach still recognized
Walsh as controlling almost 15 years after that was clearly no longer the case. See
Charles Fisk Beach, Jr., A Treatise on the Law of Contributory Negligence § 422, 599-
601 (3rd ed 1899) (listing Oregon as one of the states requiring a plaintiff to prove the
absence of his own negligence). All I claim for these notations is to emphasize that
determining the exact state of Oregon law over 150 years ago is an exceeding difficult
undertaking.
19
1 acted with gross negligence -- rules that could have defeated defendant's contributory
2 negligence arguments. The majority declines to address the theoretical or practical
3 significance of those rules because, according to the majority, plaintiff failed to preserve
4 below arguments regarding those rules. That is true, but it is unsurprising: As noted,
5 contributory negligence ceased to be a part of Oregon law decades ago and plaintiff
6 therefore had no obligation to plead claims in reply to that nonexistent doctrine. It is
7 fundamentally unfair for the majority to consider how plaintiff's claim theoretically
8 would have fared in 1857 based only on arguments that a defendant could have made and
9 at the time refuse to consider, on preservation grounds, the counter arguments that a
10 plaintiff could have made.
11 In any event, regardless of who has the better argument about Oregon's
12 legal history, because the Oregon legislature abolished the contributory negligence
13 doctrine decades ago, it was not part of the "due course of law" that governed plaintiff's
14 right to a remedy at the time of her injury. Relying on Smothers, however, the majority,
15 nevertheless insists that the legislature constitutionally may deprive a plaintiff of a
16 remedy that otherwise would be guaranteed to her if a court is able to determine that the
17 plaintiff's negligence contributed to her injury. Smothers does not stand for such a
18 strained proposition. Article I, section 10, guarantees a restorative remedy for injury
19 done to one's person; it does not mention, let alone freeze in place, every repealed,
20 overruled or outmoded argument that a defendant might have relied on in 1857 to resist
21 an injured person's claim.
22 Finally, I take issue with the majority's resolution of this matter for its lack
20
1 of any guiding principle capable of aiding both bench and bar in future Remedy Clause
2 cases. Will the requirement that a remedy be "substantial" and that it provide a "quid pro
3 quo," prohibit the legislature from limiting all plaintiffs to a recovery of $200,000
4 regardless of injury? What about $20,000? $2,000?9 Will a limitation to 25 percent of
9
Since this court's decision in Clarke and the trial court decision in this case,
the legislature has increased the damages caps. The majority gives the legislature no
guidance for the future about whether its damage caps will meet constitutional muster in
individual cases. As pertinent here for claims against public bodies, ORS 30.272 now
provides:
"(1) The limitations imposed by this section apply to claims that:
"(a) Are subject to ORS 30.260 to 30.300;
"(b) Are made against a local public body, or against an officer,
employee or agent of a local public body acting within the person's scope of
employment or duties;
"(c) Arise out of a single accident or occurrence; and
"(d) Are not claims for damage to or destruction of property.
"(2) The liability of a local public body, and the liability of the
public body's officers, employees and agents acting within the scope of
their employment or duties, to any single claimant for claims described in
subsection (1) of this section may not exceed:
"(a) $500,000, for causes of action arising on or after July 1, 2009,
and before July 1, 2010.
"(b) $533,300, for causes of action arising on or after July 1, 2010,
and before July 1, 2011.
"(c) $566,700, for causes of action arising on or after July 1, 2011,
and before July 1, 2012.
"(d) $600,000, for causes of action arising on or after July 1, 2012,
and before July 1, 2013.
21
"(e) $633,300, for causes of action arising on or after July 1, 2013,
and before July 1, 2014.
"(f) $666,700, for causes of action arising on or after July 1, 2014,
and before July 1, 2015.
"(g) The adjusted limitation provided by subsection (4) of this
section, for causes of action arising on or after July 1, 2015.
"(3) The liability of a local public body, and the liability of the
public body's officers, employees and agents acting within the scope of
their employment or duties, to all claimants for claims described in
subsection (1) of this section may not exceed:
"(a) $1 million, for causes of action arising on or after July 1, 2009,
and before July 1, 2010.
"(b) $1,066,700, for causes of action arising on or after July 1, 2010,
and before July 1, 2011.
"(c) $1,133,300, for causes of action arising on or after July 1, 2011,
and before July 1, 2012.
"(d) $1,200,000, for causes of action arising on or after July 1, 2012,
and before July 1, 2013.
"(e) $1,266,700, for causes of action arising on or after July 1, 2013,
and before July 1, 2014.
"(f) $1,333,300, for causes of action arising on or after July 1, 2014,
and before July 1, 2015.
"(g) The adjusted limitation provided by subsection (4) of this
section, for causes of action arising on or after July 1, 2015.
"(4) Beginning in 2015, and every year thereafter, the State Court
Administrator shall determine the percentage increase or decrease in the
cost of living for the previous calendar year, based on changes in the
Portland-Salem, OR-WA Consumer Price Index for All Urban Consumers
for All Items as published by the Bureau of Labor Statistics of the United
States Department of Labor. On or before July 1 of the year in which the
State Court Administrator makes the determination required by this
22
1 the damages awarded by a jury be deemed constitutionally sound? Ten percent? Five
2 percent? The majority does not say, and the lack of analytical rigor in its discussion does
3 not help answer the question. The only limitations suggested by the majority's opinion
4 are that (1) plaintiffs cannot be left "wholly without a remedy," or without recourse of
5 any value whatsoever, and -- in what is essentially the same proposition stated differently
6 -- that (2) some benefit must be conferred as a "quid pro quo" in exchange for the remedy
7 taken away, regardless of the quantity, quality, or substance of the new benefit conferred.
8 Those propositions, however, are as applicable to a remedy of $10 as they are to a
9 remedy of $10,000,000 and will ultimately prove unhelpful in future cases.
10 In my view, there are no plausible arguments for holding that the Remedy
11 Clause can be satisfied by a remedy that is not capable of restoring a plaintiff's injured
12 rights and, even if there were, there are no principled bases upon which a court could find
subsection, the State Court Administrator shall adjust the limitations
imposed under subsections (2) and (3) of this section for the following
calendar year by multiplying the limitation amounts applicable to the
calendar year in which the adjustment is made by the percentage amount
determined under this subsection. The adjustment may not exceed three
percent for any year. The State Court Administrator shall round the
adjusted limitation amount to the nearest $100, but the unrounded amount
shall be used to calculate the adjustments to the limitations in subsequent
calendar years. The adjusted limitation becomes effective on July 1 of the
year in which the adjustment is made, and applies to all causes of action
arising on or after July 1 of that year and before July 1 of the subsequent
year.
"(5) The limitations imposed by this section do not apply to claims
against Oregon Health and Science University."
23
1 the remedy in this case to be "substantial" -- unless, of course, every remedy short of no
2 remedy at all is, indeed, "substantial." Here, because the constitution plainly requires that
3 plaintiff have a fully restorative remedy and because the legislative limitation on that
4 remedy is so patently insufficient to serve that purpose, I cannot join the majority in
5 upholding its constitutionality.
6 I respectfully dissent.
7 Walters, J., and Durham, Justice, pro tempore, join in this dissent.
24
1 DURHAM, Justice, pro tempore, dissenting.
2 I join fully the dissenting opinion of Justice De Muniz in this proceeding. I
3 write separately to draw attention to an issue concerning Article I, section 10, of the
4 Oregon Constitution that likely will come before this court in the future.
5 The key facts are that the jury in this case found that plaintiff and defendant
6 Boyle were each 50 percent at fault for the personal injuries that plaintiff suffered. The
7 trial court accepted the jury's finding that plaintiff had suffered economic damages in the
8 sum of $765,000 and noneconomic damages in the sum of $250,000. The court reduced
9 those sums by 50 percent to account for plaintiff's comparative negligence and entered a
10 judgment against defendants for $382,500 in economic damages and $125,000 in
11 noneconomic damages, for a total judgment for plaintiff in the sum of $507,500. Finally,
12 the trial court rejected defendants' motion to reduce further plaintiff's total damages to
13 $200,000, in accordance with ORS 31.270(1)(b) (2007). According to the trial court, that
14 further reduction would deprive plaintiff of her constitutionally guaranteed "remedy by
15 due course of law for injury done [her] in [her] person," as provided in Article I, section
16 10.
17 The majority today rejects that ruling. It concludes that Article I, section
18 10, does not prevent the legislature from imposing a "cap" of $200,000 on the jury's
19 decision that plaintiff suffered damages (adjusted for her comparative negligence) in the
20 sum of $507,000. According to the majority, Article I, section 10, entitles plaintiff not to
21 the damages that actually would restore and, thus, remedy her personal injury, but only to
22 whatever lesser sum that the legislature may designate if the court can say that that sum is
1
1 a "substantial" remedy. Howell v. Boyle, ___ Or ___, ___, ___ P3d ___ (March 14,
2 2013) (slip op at 2) (majority concludes that state constitution requires any limited
3 remedy to be "substantial," and the capped judgment that plaintiff received "satisfies that
4 constitutional requirement").
5 The majority opinion demonstrates just how far the majority has strayed
6 from the remedy guarantee that Article I, section 10, embodies. The text of that provision
7 guarantees a "remedy by due course of law;" the adjective "substantial" does not appear
8 in any form in the constitution.
9 As Justice De Muniz capably demonstrates in his dissent, the adjective
10 "substantial" is unworkable as a legal standard because it is ambiguous and amorphous in
11 the extreme. It is telling that the majority does not attempt to define or explain the
12 meaning or limits of that term in this context; that would be a fool's errand. Like the
13 meaning of "beauty," the meaning of "substantial" in this context exists only in the eye of
14 the beholder.
15 How did the court's interpretive focus shift from the constitutional text
16 (particularly the term "remedy") to the adjective "substantial"? The answer appears in
17 Hale v. Port of Portland, 308 Or 508, 783 P2d 506 (1989). That case reviewed
18 (somewhat inaccurately, as Justice Linde correctly noted in his concurring opinion)
19 earlier cases that discussed the legislature's authority to alter statutory and common law
20 claims and remedies as long as the constitutionally significant underlying interests in
21 person, property, and reputation are protected. The Hale court then stated:
22 "Under those cases, the remedy need not be precisely of the same
2
1 type or extent; it is enough that the remedy is a substantial one."
2 Id. at 523.
3 It is that sentence that has pulled the majority away from the constitutional
4 text of Article I, section 10. That sentence does not purport to construe any constitutional
5 term. But the majority now uses the adjective "substantial" to conclude that the
6 guarantee of a remedy for the injury to plaintiff's person is satisfied by a cropped sum of
7 money that, in legal terms, does not restore or repair (and thus does not remedy) the
8 injury inflicted by defendant upon to plaintiff's body and pocketbook. Instead of
9 focusing on the real issue -- whether plaintiff has received her guaranteed remedy by due
10 course of law -- the majority addresses whether the capped judgment awards a
11 "substantial" amount. I submit that there will never be a satisfactory answer to that issue
12 because it asks the wrong question. Apparently, the majority has now condemned this
13 court to repeat, over and over, that same fruitless quarrel over how to apply a standard
14 based on a mere adjective used in one unexplained sentence in Hale.
15 I conclude by inviting this court to reassess its approach to the remedy
16 guarantee by returning to the words of the constitution itself and the interests of the
17 people described therein. Those who drafted the remedy guarantee did not wish to tie the
18 legislature's hands in abolishing older forms of action and remedy so long as the people's
19 interests in person, property, and reputation remain protected through remedies provided
20 by due course of law, including the constitutional right to trial by jury. They did not
21 conceive, I submit, of a remedial scheme that would allow the legislature to cut personal
22 injury damages by more than half, as here, with no hint of an adequate or alternative
3
1 remedy to make up for that cut. That approach grants an unjustified windfall to the
2 wrongdoer here and defeats the principle of responsibility for injury caused to others that
3 Article I, section 10, embodies. Only in the topsy-turvy world occupied by the majority
4 does a capped award of $200,000 constitute a remedy for the $507,000 injury that
5 plaintiff suffered as a result of defendants' tortious conduct here.
6 Counsel who wish to invite the court to engage in that reassessment of
7 Article I, section 10, should preserve that argument at the appropriate stage and advance
8 the arguments, suggested in this court's case law, that justify a reconsideration of today's
9 unfortunate decision.
10 I respectfully dissent.
4