Michigan Supreme Court
Lansing, Michigan
Syllabus
Chief Justice: Justices:
Elizabeth T. Clement Brian K. Zahra
David F. Viviano
Richard H. Bernstein
Megan K. Cavanagh
Elizabeth M. Welch
Kyra H. Bolden
This syllabus constitutes no part of the opinion of the Court but has been Reporter of Decisions:
prepared by the Reporter of Decisions for the convenience of the reader. Kathryn L. Loomis
KANDIL-ELSAYED v F & E OIL, INC
PINSKY v KROGER CO OF MICH
Docket Nos. 162907 and 163430. Argued on application for leave to appeal March 2,
2023. Decided July 28, 2023.
In Docket No. 162907, Ahlam Kandil-Elsayed filed a negligence action based on premises
liability in the Wayne Circuit Court against F & E Oil, Inc., after she slipped and fell at a gas
station defendant operated. Plaintiff argued that the snow and ice on the premises constituted a
dangerous condition. Defendant moved for summary disposition under MCR 2.116(C)(10),
arguing that because the condition was open and obvious and had no special aspects, it did not owe
plaintiff a duty of care. Plaintiff responded that defendant did owe her a duty of care because the
condition, while open and obvious, was effectively unavoidable. The trial court, David J. Allen,
J., granted defendant summary disposition, and plaintiff appealed. The Court of Appeals, LETICA,
P.J., and CAVANAGH and FORT HOOD, JJ., affirmed in an unpublished per curiam opinion issued
March 11, 2021 (Docket No. 350220). Plaintiff applied for leave to appeal in the Supreme Court,
and the Court scheduled and heard oral argument on the application, directing plaintiff to brief
whether Lugo v Ameritech Corp, Inc, 464 Mich 512 (2001), was consistent with Michigan’s
comparative-negligence framework and, if not, what approach the Court should adopt for
analyzing premises-liability cases under a comparative-negligence framework. 509 Mich 857
(2022).
In Docket No. 163430, Renee Pinsky and her husband, David Pinsky, brought a negligence
action based on premises liability in the Washtenaw Circuit Court against Kroger Company of
Michigan after Renee Pinsky tripped over a cable that had been strung from a checkout counter to
a display basket. Defendant moved for summary disposition under MCR 2.116(C)(10), arguing
that because the hazard was open and obvious and no special aspects were present, it owed no duty
to plaintiff. The trial court, Timothy P. Connors, J., denied the motion for summary disposition,
and defendant appealed. The Court of Appeals, CAMERON, P.J., and BORRELLO and REDFORD, JJ.,
reversed in an unpublished per curiam opinion issued May 27, 2021 (Docket No. 351025), and
remanded for entry of an order granting defendant summary disposition, holding that the cable was
open and obvious and not unreasonably dangerous as a matter of law. Plaintiffs applied for leave
to appeal in the Supreme Court, and the Court scheduled and heard oral argument on the
application, having specified that plaintiffs should brief the same issues as in Docket No. 162907
and that the cases would be argued at the same session. 509 Mich 954 (2022).
In an opinion by Chief Justice CLEMENT, joined by Justices BERNSTEIN, CAVANAGH,
WELCH, and BOLDEN, the Supreme Court held:
A land possessor owes a duty to exercise reasonable care to protect invitees from an
unreasonable risk of harm caused by a dangerous condition of the land. Lugo’s holding that the
open and obvious danger doctrine is relevant to the defendant’s duty is overruled. While the open
and obvious nature of a condition remains relevant in a negligence case based on premises liability,
it is analyzed as part of breach and comparative fault, not duty. The special-aspects doctrine in
Lugo—which held that land possessors could be held liable for an open and obvious condition
only when an invitee provided evidence of special aspects of the condition, such as when the
condition was effectively unavoidable or presented a substantial risk of death or severe injury,
was overruled to the extent it was inconsistent with the standard in § 343A of the Second
Restatement of Torts, which asks whether the land possessor should have anticipated the harm.
Although defendants in both cases owed a duty to the respective injured plaintiffs, there remained
genuine issues of fact that were relevant to whether the defendants breached that duty and if so,
whether plaintiffs were comparatively at fault and should have their damages reduced. The
judgments of the Court of Appeals were reversed, and both cases were remanded for further
proceedings.
1. All negligence actions, including those based on premises liability, require a plaintiff to
prove four essential elements: duty, breach, causation, and harm. In the context of premises
liability, a landowner’s duty to a visitor depends on whether the visitor is a trespasser, a licensee,
or an invitee. Because plaintiffs in these cases were invitees, defendants owed them a duty to
exercise reasonable care to protect them from an unreasonable risk of harm caused by a dangerous
condition of the land. Whether a defendant owes an actionable legal duty to a plaintiff is a question
of law that the court decides, and whether a defendant breached that duty is a question of fact for
the jury.
2. Michigan formerly considered contributory negligence to be a complete bar to recovery
in a negligence action, and the open and obvious nature of a particular danger was relevant to a
court’s assessment of whether a plaintiff had been contributorily negligent. In developing its
premises-liability law during this era, Michigan courts treated the Restatement of Torts as
persuasive and occasionally adopted parts of the Restatement into the common law. Specifically,
courts relied on § 343 of the First Restatement of Torts for the rule that a land possessor was
subject to liability for bodily harm caused to business visitors only with respect to conditions
involving an unreasonable risk to them, but if the landowner had reason to believe the business
visitor would discover the condition or realize the risk it involved, the landowner was not subject
to liability. Neither § 343 of the First Restatement nor the cases relying on it made clear which
part of this analysis involved the element of duty and which involved breach. This analysis
changed in 1965 with the publication of the Second Restatement of Torts. Under the revised § 343,
landowners were still subject to liability to business visitors—now categorized as “invitees”—only
for conditions that involved an unreasonable risk of harm, and they were still generally not liable
for dangers that were known or obvious to the invitee. However, under § 343A, landowners would
face liability if they should have anticipated the harm despite such knowledge or obviousness. It
remained unclear which pieces of this analysis fell under duty or breach, and therefore which
aspects of the analysis should be decided by the judge versus the jury.
3. In 1979, Michigan abolished the doctrine of contributory negligence and replaced it
with the modern scheme of comparative fault, a version of which the Legislature codified in MCL
600.2957 through MCL 600.2959. While the caselaw that followed continued to muddy the waters
between which components of the open and obvious danger doctrine pertained to duty and which
to breach, the statutory scheme made clear that determinations of comparative fault were to be
made by the jury rather than the judge. In 2001, Lugo squarely situated the open and obvious
danger doctrine in the element of duty. Lugo also held that if there are “special aspects” of a
condition that make even an open and obvious risk unreasonably dangerous, then the possessor
has a duty to undertake reasonable precautions to protect invitees from that risk. This placed the
rule in § 343, the “open and obvious” exception in § 343A, and any exception to that exception
within the element of duty, which is a question of law. Lugo presented two illustrations of the type
of “special aspects” that give rise to a duty: a commercial building with only one exit for the
general public where the floor is covered with standing water, which would render the open and
obvious condition “effectively unavoidable,” and an unguarded 30-foot-deep pit in the middle of
a parking lot, which would present a substantial risk of death or severe injury. Lugo thus created
what some jurists viewed as an inherent tension between its narrow “special aspects” illustrations
and the broader anticipation-of-harm standard imposed on land possessors in § 343A of the Second
Restatement. The Third Restatement of Torts has since largely eliminated status-based categories
in its presentation of premises-liability law and created one general duty of reasonable care owed
to anyone who entered a land possessor’s property, except for certain trespassers. It also stated
that whether a dangerous condition is open and obvious bears on the assessment of whether
reasonable care was employed and does not pretermit the land possessor’s liability, thus situating
the analysis in the element of breach rather than duty. The Second Restatement approach remains
the governing approach in Michigan.
4. Reaching the conclusion that Lugo must be overruled requires an analysis of whether it
was wrongly decided, whether it defies practical workability, whether reliance interests would
work an undue hardship, and whether changes in the law or facts no longer justify the decision.
First, Lugo was wrongly decided because, by concluding that the open and obvious danger doctrine
and any exceptions to it are a part of the duty analysis, it ran afoul of Michigan’s commitment to
comparative fault. And by announcing the special-aspects test, Lugo created confusion as to what
the exceptions to the open and obvious danger doctrine would be. While the doctrine might have
been intended simply to illustrate the broader anticipation standard, it has not functioned that way
in practice. Second, Lugo defied practical workability because it generated confusion among
courts trying to apply it and sowed division. Lugo itself was a divided decision; the author of the
earlier decision on which the special-aspects doctrine purported to rely disagreed with Lugo’s
characterization of his own analysis, and jurists on the Supreme Court and the Court of Appeals
have repeatedly called it into question and disagreed over how to apply it. Third, although Lugo
has been on the books and relied on by practitioners and courts for more than 20 years, given the
uncertainty and division it has generated, it cannot be said to be so accepted and so fundamental
as to create real-world dislocations if changed. Overruling Lugo would end two decades of
uncertainty and arguments over its unclear standard and varying applications. Finally, no changes
in the law or facts weighed either for or against overruling Lugo, apart from Lugo’s own failure to
account for the shift to a comparative-fault regime. Accordingly, Lugo was overruled.
5. Several aspects of Michigan’s existing premises-liability jurisprudence remained viable
in Michigan. Land possessors continue to have a duty to exercise reasonable care to protect
invitees from an unreasonable risk of harm caused by a dangerous condition of the land. The three
traditional status-based categories—licensee, invitee, and trespasser—remained. The open and
obvious nature of a condition remained a relevant inquiry in a premises-liability case; however, to
the extent prior cases have held that it should be analyzed as a part of a land possessor’s duty,
those cases are overruled. Rather, the open and obvious nature of a danger is relevant to the
defendant’s breach and the plaintiff’s comparative fault. This change found support from caselaw
and statutory law articulating Michigan’s shift from contributory negligence to comparative fault;
from § 51 of the Third Restatement and its commentary, and from the fact that the change
effectuated the same policy goals that undergirded the Court’s premises-liability decisions
spanning before and after Lugo; namely, that landowners must act reasonably to guard against
harms that threaten those who enter their land and that landowners are not charged with
guaranteeing the safety of every person who comes onto their land. Further, the special-aspects
doctrine was overruled to the extent that it departed from the anticipation-of-harm standard in
§ 343A of the Second Restatement. Rather than conduct a narrow analysis of whether an obvious
danger is “effectively unavoidable” or poses an “unreasonable risk of severe harm,” the fact-finder
should consider whether the possessor should anticipate the harm despite such obviousness, and it
should do so in connection with its analysis of whether the land possessor breached their duty. In
sum, a land possessor owes a duty to exercise reasonable care to protect invitees from an
unreasonable risk of harm caused by a dangerous condition of the land. If the plaintiff establishes
that the land possessor owed plaintiff a duty, the next step in the inquiry is whether there was a
breach of that duty. As part of the breach inquiry, the fact-finder may consider, among other
things, whether the condition was open and obvious and whether, despite its open and obvious
nature, the land possessor should have anticipated harm to the invitee. If breach is shown, as well
as causation and harm, then the jury should consider the plaintiff’s comparative fault and reduce
the plaintiff’s damages accordingly. A determination of the plaintiff’s comparative fault may also
require consideration of the open and obvious nature of the hazard and the plaintiff’s choice to
confront it.
Court of Appeals judgments reversed, and cases remanded for further proceedings.
Justice BERNSTEIN, concurring, wrote separately to suggest that the Court consider how the
open and obvious danger test ought to apply to people with disabilities, particularly vision
impairments, given that certain conditions of the land that might be appreciated by a reasonably
prudent nondisabled person might not be appreciated by a reasonably prudent blind or otherwise
disabled person. He noted that the Court had never fully explored how the open and obvious
danger doctrine should be applied to people with disabilities and instead had held that premises-
liability actions do not allow the fact-finder to consider a plaintiff’s objective characteristics. In
the absence of clear direction from this Court, several unpublished Court of Appeals decisions had
concluded that a plaintiff’s disabilities do not alter the open and obvious danger analysis. Thus,
this state’s caselaw has placed disabled people at a disadvantage compared to their nondisabled
counterparts. Justice BERNSTEIN expressed the hope that, as the Court continued to shift its
premises-liability jurisprudence to more equitable grounds, the Court would soon take up and
resolve the jurisprudentially significant question of whether a plaintiff’s disability is a relevant
factor in an open and obvious danger analysis.
Justice ZAHRA, dissenting, agreed with Justice VIVIANO that § 343A of the Second
Restatement of Torts constituted the appropriate standard for analyzing the duty element of a
negligence action based on premises liability and that the special-aspects doctrine was simply an
application of the Restatement. He wrote to clarify that this Court was not required to adopt any
aspect of any version of the Restatement of Torts, particularly in light of the American Law
Institute’s movement away from treating its Restatements of the Law as summaries of particular
areas of the common law and toward advocating for changes in the law. He stated that Lugo’s
special-aspects exception from the general rule that open and obvious dangers do not give rise to
liability could be understood as consistent with § 343A of the Second Restatement in that even an
open and obvious condition remains unreasonable, and thus a special aspect, where the possessor
should anticipate the harm from that condition despite its obviousness. He also wrote separately
to emphasize that, even under this Second Restatement approach, the open and obvious danger
doctrine, including the special-aspects exception, should remain focused on the objective nature
of the condition of the land rather than an individual plaintiff’s ability or desire to avoid a
dangerous condition, given that the nature of a readily observable condition does not change on
the basis of a plaintiff’s personal obligations or responsibilities. He further stated that the majority
opinion failed to persuasively show why jurisprudential principles of stare decisis should be
ignored and decades of caselaw disregarded. He also echoed Justice VIVIANO’s concerns that the
majority’s ruling would expand liability and destabilize Michigan’s negligence law.
Justice VIVIANO, joined by Justice ZAHRA, dissenting, disagreed with the majority’s
decision to do away with what he described as a commonsense rule that has served Michiganders
since the nineteenth century. He stated that the open and obvious danger doctrine was premised
on the straightforward notion that, as a general rule, those who possess real property need not
rectify hazards on their property that are easy for others to see and avoid, such as plainly visible
snow or ice, because the common law has long treated the scope of a land possessor’s duty as
limited to those harms that are foreseeable. Given the nature of open and obvious conditions, it
was rightly thought that those who enter the property of another would detect such hazards and
avoid them if possible, thus rendering any resulting harm from a person’s failure to do so
unforeseeable. Justice VIVIANO also stated that the majority misleadingly suggested that this
Court’s caselaw was unclear whether the open and obvious danger doctrine was part of the duty
element. He stated that the majority largely ignored the Court’s repeated statements that the
doctrine was part of duty. He further stated that the Court’s precedent had addressed and rejected
the arguments the majority accepted that the adoption of comparative negligence affected the
application of the open and obvious danger doctrine. He further stated that the majority ignored
this Court’s caselaw holding that the fact-finder had a role in resolving questions about the scope
of duty when the doctrine was at issue. Justice VIVIANO expressed concern that, after the
majority’s decision, all those who possessed real property in Michigan would have to immediately
rectify obvious hazards on their land to avoid being subject to civil liability. He stated that the
majority had done away with any meaningful conception of the element of duty by relying on
flawed rationales and an incomplete and mistaken reading of Michigan caselaw, particularly with
regard to the effect of the shift from contributory to comparative negligence on the open and
obvious danger doctrine. Justice VIVIANO would have reconfirmed that §§ 343 and 343A of the
Second Restatement of Torts establish the test for the open and obvious danger doctrine and that
the doctrine relates to the element of duty rather than breach. He characterized the majority’s
decision as having the potential to wreak havoc in negligence law generally by expanding liability,
leading to more litigation, and destabilizing the law. He would have affirmed the decisions
granting summary disposition to defendants in both cases.
Michigan Supreme Court
Lansing, Michigan
OPINION
Chief Justice: Justices:
Elizabeth T. Clement Brian K. Zahra
David F. Viviano
Richard H. Bernstein
Megan K. Cavanagh
Elizabeth M. Welch
Kyra H. Bolden
FILED July 28, 2023
STATE OF MICHIGAN
SUPREME COURT
AHLAM KANDIL-ELSAYED,
Plaintiff-Appellant,
v No. 162907
F & E OIL, INC.,
Defendant-Appellee.
RENEE PINSKY and DAVID PINSKY,
Plaintiffs-Appellants,
v No. 163430
KROGER CO. OF MICHIGAN,
Defendant-Appellee.
BEFORE THE ENTIRE BENCH
CLEMENT, C.J.
In these combined cases, we must determine the appropriate legal framework to
apply when an invitee is harmed by a condition on a land possessor’s property. In Lugo v
Ameritech Corp, Inc, 464 Mich 512, 516-517; 629 NW2d 384 (2001), we held that courts
must analyze both the open and obvious danger doctrine and any exceptions to it under the
element of duty. The Lugo Court also held that if a danger is open and obvious, only where
an invitee “provide[s] evidence of special aspects of the condition” will the invitor still owe
a duty of care. Id. at 514. We conclude that Lugo was wrongly decided and must be
overruled in two respects. First, we overrule Lugo’s decision to make the open and obvious
danger doctrine a part of a land possessor’s duty. Rather, we hold that the open and obvious
nature of a condition is relevant to breach and the parties’ comparative fault. Second, we
overrule the special-aspects doctrine and hold that when a land possessor should anticipate
the harm that results from an open and obvious condition, despite its obviousness, the
possessor is not relieved of the duty of reasonable care.
Under the new framework announced today, we conclude that while in each case
the defendant owed the injured plaintiff a duty of care, genuine issues of material fact
remain as to whether they breached that duty and, if so, whether the plaintiffs were
comparatively at fault such that their damages must be reduced. Therefore, we reverse the
judgment of the Court of Appeals affirming the trial court’s grant of summary disposition
in both cases and remand for further proceedings consistent with this opinion.
I. FACTS AND PROCEDURAL HISTORY
A. KANDIL-ELSAYED v F & E OIL, INC
The plaintiff, Ahlam Kandil-Elsayed, stopped for gas at a gas station operated by
the defendant, F & E Oil, Inc., on a snowy evening. She parked at the pump and began
2
walking toward the gas station building to pay in advance with cash. The path between the
pump and the building was covered in snow, and it did not appear to have been shoveled
or salted. The plaintiff testified that she believed there was ice underneath the snow. She
slipped, fell, and injured herself. After recovering from her fall, she entered the building
to pay. She testified that on the way back to her car, she retraced her steps, attempting to
avoid the exact spot where she had fallen. When questioned, she acknowledged that she
“could clearly see the paved surface in front of her” and the snow on top of it.
The plaintiff filed a negligence action against the defendant based on premises
liability, arguing that the snow and ice constituted a dangerous condition on the defendant’s
premises. The defendant moved for summary disposition under MCR 2.116(C)(10),
arguing that the condition was open and obvious and contained no special aspects;
therefore, it did not owe the plaintiff a duty of care. In response, while the plaintiff
conceded that the condition was open and obvious, she argued that it was effectively
unavoidable and that therefore the defendant still owed her a duty of care. The trial court
granted summary disposition to the defendant and the plaintiff appealed. The Court of
Appeals affirmed. Kandil-Elsayed v F & E Oil, Inc, unpublished per curiam opinion of the
Court of Appeals, issued March 11, 2021 (Docket No. 350220).
The Court of Appeals agreed with the trial court that no genuine issue of material
fact remained as to whether the snow and ice were effectively unavoidable. Id. at 1.
Because the parties agreed that the plaintiff was an invitee, the panel noted that the
defendant owed her a duty “ ‘to exercise reasonable care to protect [her] from an
unreasonable risk of harm caused by a dangerous condition on the land.’ ” Id. at 2, quoting
Lugo, 464 Mich at 516. And because the parties agreed that the danger was open and
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obvious, the defendant owed no duty to the plaintiff “unless there [were] special aspects of
the condition,” which would have existed when the condition “ ‘remain[ed] unreasonably
dangerous or when it [was] effectively unavoidable.’ ” Kandil-Elsayed, unpub op at 2,
quoting Wilson v BRK, Inc, 328 Mich App 505, 513; 938 NW2d 761 (2019).
The plaintiff argued that the condition was effectively unavoidable, i.e., “ ‘one that
a person [was] required to confront under the circumstances.’ ” Kandil-Elsayed, unpub op
at 2, quoting Hoffner v Lanctoe, 492 Mich 450, 472; 821 NW2d 88 (2012). The panel
disagreed that the plaintiff was required to confront the snow and ice, concluding that the
hazard was not effectively unavoidable. Id. It noted that the plaintiff admitted she had
chosen to confront the hazard instead of simply leaving the gas station and going elsewhere,
or perhaps calling the attendant in the building to come out and assist her. Id.
The plaintiff then sought leave to appeal in this Court, and we ordered oral argument
on the application to address three issues:
(1) whether there was a question of fact concerning whether the parking lot
constituted an effectively unavoidable condition; (2) whether Lugo . . . is
consistent with Michigan’s comparative negligence framework; and if not,
(3) which approach the Court should adopt for analyzing premises liability
cases under a comparative negligence framework. [Kandil-Elsayed v F & E
Oil, Inc, 509 Mich 857 (2022) (citations omitted).]
B. PINSKY v KROGER CO OF MICH
The plaintiff, Renee Pinsky, was shopping with her husband at a grocery store
owned by Kroger Company of Michigan when she tripped, fell, and injured herself. At the
time of the accident, she was checking out and realized that she had accidentally selected
an open bag of flour. The clerk ringing up her groceries told the plaintiff that she could go
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back into the store and get a replacement bag. The plaintiff parked her shopping cart at the
end of the checkout lane and walked through the adjacent checkout lane.
The adjacent lane was wider, with a checkout counter on one side and a cigarette
display case on the other. Unbeknownst to the plaintiff, an employee had strung a thin
cable from the checkout counter to a two-tier wire basket placed in the middle of the lane
to indicate that it was closed. Both the top and bottom wire baskets had baby formula in
them, and there was a display sign attached to the top basket. The parties dispute the
precise placement and height of the cable at the time of injury. As the plaintiff turned to
head back into the store, she tripped over the cable and fell. The plaintiff testified that she
was looking forward into the store at the time and did not notice the cable. In her
deposition, she admitted that the cable was visible in the postaccident photographs.
The plaintiffs filed a premises-liability negligence action against the defendant. At
the close of discovery, the defendant moved for summary disposition under MCR
2.116(C)(10), arguing that because the hazard was open and obvious and no special aspects
were present, it owed no duty to the plaintiff. The trial court denied the motion, concluding
that issues of fact remained. The defendant then applied for leave to appeal in the Court of
Appeals, which granted leave and reversed the trial court. Pinsky v Kroger Co of Mich,
unpublished per curiam opinion of the Court of Appeals, issued May 27, 2021 (Docket No.
351025).
The Court of Appeals first held that the cable was open and obvious as a matter of
law, reversing the trial court’s denial of the defendant’s motion for summary disposition.
Id. at 2. The panel explained that determining whether a danger was open and obvious
required asking “whether the hazard was observable to the average, casual observer,” not
5
a specific plaintiff. Id. at 3. It concluded that “the evidence established that the cable over
which [the plaintiff] tripped constituted an open and obvious danger,” because there was
no evidence of insufficient lighting nor anything obstructing her view. Id. And the plaintiff
had testified that she could see the cable clearly in the postaccident photographs.
Therefore, the panel concluded, an “average person in the same situation could have seen
the cable upon casual inspection.” Id. The evidence showed that “had she been looking at
her path through the checkout lane and observed the open and obvious cable,” the plaintiff
would not have been injured. Id. at 4.
Next, the Court of Appeals concluded that the cable was not unreasonably
dangerous as a matter of law. Id. It explained that a condition is unreasonably dangerous
“if it pose[s] ‘a substantial risk of death or severe injury.’ ” Id., quoting Lugo, 464 Mich at
518. Because “[a] checkout lane closed by a cable is an everyday occurrence” that does
not create “an unreasonable risk of severe harm,” it was not unreasonably dangerous. Id.
Having concluded that the cable was open and obvious and presented no special aspects,
the panel held the defendant was entitled to summary disposition.
The plaintiffs sought leave to appeal here, and we ordered oral argument on the
application to address whether:
(1) there is a question of fact concerning whether the cable used to close off
the checkout lane was open and obvious; (2) there is a question of fact
concerning whether the condition was unreasonably dangerous; (3) under
Estate of Livings v Sage’s Investment Group, LLC, 507 Mich 328 (2021),
Lugo . . . , and 2 Restatement Torts, 2d, § 343A, the open and obvious
doctrine does not preclude relief where a land possessor should anticipate the
harm; and (4) liability should be precluded in Michigan even if the danger
posed by a condition on land is open and obvious without special aspects as
defined by Lugo, or whether the open and obvious nature of a condition
should be a consideration for the jury in assessing the comparative fault of
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the parties as set forth in the Restatement Torts, 3d. [Pinsky v Kroger Co of
Mich, 509 Mich 954, 954-955 (2022).]
II. STANDARD OF REVIEW
“ ‘We review de novo a trial court’s decision on a motion for summary
disposition.’ ” Mecosta Co Med Ctr v Metro Group Prop & Cas Ins Co, 509 Mich 276,
282; 938 NW2d 401 (2022), quoting Meemic Ins Co v Fortson, 506 Mich 287, 296; 954
NW2d 115 (2020). This Court also “ ‘review[s] de novo the interpretation of a common-
law doctrine.’ ” Mecosta, 509 Mich at 282, quoting Bertin v Mann, 502 Mich 603, 608;
918 NW2d 707 (2018).
“A motion under MCR 2.116(C)(10) tests the factual sufficiency of a complaint.”
American Civil Liberties Union of Mich v Calhoun Co Sheriff’s Office, 509 Mich 1, 9; 938
NW2d 300 (2022). A trial court “ ‘considers affidavits, pleadings, depositions, and other
evidence submitted by the parties, MCR 2.116(G)(5), in the light most favorable to the
party opposing the motion.’ ” Id., quoting Maiden v Rozwood, 461 Mich 109, 120; 597
NW2d 817 (1999). A court’s role at the summary disposition stage is narrow; “[i]n its
review of the evidence, the court cannot make findings of fact.” Doster v Covenant Med
Ctr, Inc, 509 Mich 910, 911 (2022). Only “ ‘[w]here the proffered evidence fails to
establish a genuine issue regarding any material fact’ ” is the moving party “ ‘entitled to a
judgment as a matter of law.’ ” American Civil Liberties Union, 509 Mich at 9, quoting
Maiden, 461 Mich at 120. “There is a genuine issue of material fact when reasonable minds
could differ on an issue after viewing the record in the light most favorable to the
nonmoving party.” Allison v AEW Capital Mgt, LLP, 481 Mich 419, 425; 751 NW2d 8
(2008).
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III. LEGAL BACKGROUND
A. THE BASIC CONTOURS OF DUTY AND BREACH
All negligence actions, including those based on premises liability, require a
plaintiff to prove four essential elements: duty, breach, causation, and harm. The first
element, duty, “is essentially a question whether the relationship between the actor and the
injured person gives rise to any legal obligation on the actor’s part for the benefit of the
injured person.” Simonds v Tibbitts, 165 Mich App 480, 483; 419 NW2d 5 (1987). Beyond
the relationship between the parties, courts consider additional facts to determine whether
there is a duty, including: “(1) foreseeability of the harm, (2) degree of certainty of injury,
(3) closeness of connection between the conduct and injury, (4) moral blame attached to
the conduct, (5) policy of preventing future harm, and (6) the burdens and consequences of
imposing a duty and the resulting liability for breach.” Rowland v Independence Village
of Oxford, LLC, 509 Mich 992, 992 (2022), citing Valcaniant v Detroit Edison Co, 470
Mich 82, 86; 679 NW2d 689 (2004). Overall, duty is “ ‘an expression of the sum total of
those considerations of policy which lead the law to say that the plaintiff is entitled to
protection.’ ” Buczkowski v McKay, 441 Mich 96, 100-101; 490 NW2d 330 (1992),
quoting Prosser & Keeton, Torts (5th ed), § 53, p 358. 1
1
The dissent critiques the idea that “ ‘[a]t its core, duty . . . inescapably involves matters
of policy.’ ” Post at 28, quoting Cardi, Purging Foreseeability, 58 Vand L Rev 739, 762
(2005). But the idea that duty is an expression of policy is neither new nor controversial.
See, e.g., In re Certified Question from the Fourteenth Dist Court of Appeals of Texas, 479
Mich 498, 505; 740 NW2d 206 (2007), citing Buczkowski, 441 Mich at 100-101; Brown v
Brown, 478 Mich 545, 553; 739 NW2 313 (2007), citing Buczkowski, 441 Mich at 100-
101.
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In the context of premises liability, “a landowner’s duty to a visitor depends on that
visitor’s status.” Stitt v Holland Abundant Life Fellowship, 462 Mich 591, 597; 614 NW2d
88 (2000), citing Wymer v Holmes, 429 Mich 66, 71 n 1; 412 NW2d 213 (1987), overruled
on other grounds by Neal v Wilkes, 470 Mich 661 (2004). “Historically, Michigan has
recognized three common-law categories for persons who enter upon the land or premises
of another: (1) trespasser, (2) licensee, or (3) invitee.” Stitt, 462 Mich at 596. It is
undisputed that the plaintiffs in these cases were invitees. An “invitee” is “ ‘a person who
enters upon the land of another upon an invitation which carries with it an implied
representation, assurance, or understanding that reasonable care has been used to prepare
the premises, and make [it] safe for [the invitee’s] reception.’ ” Id. at 596-597, quoting
Wymer, 492 Mich at 71 n 1 (alterations in Stitt). Generally speaking, “invitee status is
commonly afforded to persons entering upon the property of another for business
purposes.” Stitt, 462 Mich at 597.
Land possessors share a special relationship with invitees that generates “an
affirmative duty to protect.” Williams v Cunningham Drug Stores, Inc, 429 Mich 495, 499;
418 NW2d 381 (1988). It is the social policy of this state that, given this special
relationship, “an invitee is entitled to the highest level of protection under premises liability
law.” Stitt, 463 Mich at 597. Land possessors owe a duty “to exercise reasonable care to
protect invitees from an unreasonable risk of harm caused by a dangerous condition of the
land.” Bertrand v Alan Ford, Inc, 449 Mich 606, 609; 537 NW2d 185 (1995).
It is well settled in Michigan that “the question whether the defendant owes an
actionable legal duty to the plaintiff is one of law which the court decides.” In re Certified
Question from the Fourteenth Dist Court of Appeals of Texas, 479 Mich 498, 504; 740
9
NW2d 206 (2007), quoting Friedman v Dozorc, 412 Mich 1, 22; 312 NW2d 585 (1981).
And, in contrast, the question of breach—“whether defendants’ conduct in the particular
case is below the general standard of care”—is a question of fact for the jury. Rowland,
509 Mich 992, quoting Clark v Dalman, 379 Mich 251, 260-261; 150 NW2d 755 (1967). 2
B. PREMISES LIABILITY AND THE SHIFT TO COMPARATIVE FAULT
Understanding the development of and interaction between premises liability and
comparative fault is key to understanding these cases. Simply put, Michigan’s premises-
liability jurisprudence cannot be properly understood without a coordinate analysis of the
shift from contributory negligence to comparative fault in this state.
1. THE CONTRIBUTORY-NEGLIGENCE ERA
Michigan, like many other jurisdictions, once recognized the defensive doctrine of
contributory negligence in tort actions. Under a contributory-negligence scheme, where
the plaintiff’s injury “resulted from the fault or negligence of himself, or where it has
resulted from the fault or negligence of both parties,” the plaintiff was completely barred
from recovery. Williams v Mich Central R Co, 2 Mich 259, 265 (1851). No matter how
small the portion of fault attributed to the plaintiff, it served as an absolute bar to recovery.
The open and obvious nature of a particular danger was relevant to a court’s
assessment of whether the plaintiff was contributorily negligent. See Leary v Houghton
2
The default rule that duty is settled by the judge and breach is settled by the jury does not
always play out in practice. Where the evidence presented to a court concerning duty
generates a question of fact, that question can be submitted to the jury for resolution.
Correlatively, where the evidence presented to a court concerning breach generates no
questions of fact, the issue can be decided by the judge as a matter of law. See MCR
2.116(C)(10).
10
Co Traction Co, 171 Mich 365, 370; 137 NW 225 (1912) (“[I]f the defect or danger is
visible and obvious, the failure of a person to discover and avoid it amounts to contributory
negligence.”) (quotation marks and citation omitted). To determine whether a danger was
open and obvious, courts asked whether the plaintiff was “bound by [their own] knowledge
to anticipate” a danger. Boylen v Berkey & Gay Furniture Co, 260 Mich 211, 219; 244
NW 451 (1932).
Goodman v Theatre Parking, Inc, 286 Mich 80; 281 NW 545 (1938), provides a
simple illustration of these ideas in context. The plaintiff, an invitee, had been parking his
car in the defendant’s lot for years. Id. at 81. One day, when exiting the lot, he stepped on
a cinder and injured himself. Id. The Goodman Court concluded the plaintiff could not
recover because “[i]f the cinder was as large as claimed by plaintiff it was plainly
discernable.” Id. at 82. Therefore, “even if defendant was negligent in permitting the
cinder to remain upon the lot, plaintiff’s contributory negligence bars recovery.” Id. at 83.
As Goodman shows, courts looked to the open and obvious nature of a particular danger
to assess whether the plaintiff, in failing to appreciate its dangerousness, was contributorily
negligent in confronting it and therefore completely barred from recovery. 3
3
We agree completely with the dissent that “[i]n a contributory negligence regime, it did
not much matter” whether a court analyzed the open and obvious nature of a danger under
element of duty or contributory negligence because “[t]here was no need for a court to
specify the exact grounding of the doctrine” given that “the underlying theories all resulted
in dismissal.” What the dissent fails to grapple with is the seismic shift in Michigan’s
jurisprudence away from such a regime and toward our current regime of comparative
fault. Under a comparative-fault regime, the element under which a court analyzes the
open and obvious nature of a danger matters a great deal.
11
With a background rule of contributory negligence firmly in place, premises-
liability law was also developing in Michigan. And from early on, Michigan’s premises-
liability jurisprudence was in direct conversation with the Restatement of Torts. The Court
has treated the Restatement of Torts as “persuasive authority that [the Court] can look
to . . . in undertaking [its] duty to develop the common law.” Livings Estate v Sage’s
Investment Group, LLC, 507 Mich 328, 345 n 12; 968 NW2d 397 (2021). While Michigan
courts are not bound by the Restatement, in premises-liability cases, they have favorably
cited the standards contained therein and even purported to “adopt” portions of the
Restatement into our common law.
The First Restatement of Torts articulated a multipart standard for assessing when
a land possessor may be “subject to liability” for harm to a “business visitor[],” i.e.,
someone closely aligned with the modern definition of an invitee. 2 Restatement Torts,
§ 343, p 938. It stated in full:
A possessor of land is subject to liability for bodily harm caused to
business visitors by a natural or artificial condition thereon if, but only if, he
(a) knows, or by the exercise of reasonable care could discover, the
condition which, if known to him, he should realize as involving an
unreasonable risk to them, and
(b) has no reason to believe that they will discover the condition or
realize the risk involved therein, and
(c) invites or permits them to enter or remain upon the land without
exercising reasonable care
(i) to make the condition reasonably safe, or
(ii) to give a warning adequate to enable them to avoid the harm
without relinquishing any of the services which they are entitled to receive,
if the possessor is a public utility. [Id. at 938-939.]
12
Put simply, under § 343 of the First Restatement, a land possessor was “subject to
liability for bodily harm caused to business visitors” only with respect to
“condition[s] . . . involving an unreasonable risk to them[.]” Id. at § 343(a), pp 938-939.
But where the landowner had “reason to believe [the business visitor would] discover the
condition or realize the risk involved therein,” they were categorically not subject to
liability. Id. at § 343(b), p 939. Therefore, § 343 of the First Restatement included both a
liability rule and an exception to that rule.
Michigan courts relied on § 343 of the First Restatement “[a]s far back as 1938.”
Livings, 507 Mich at 343; see also id. at n 9 (collecting cases). Specifically, courts relied
on § 343 to conclude that a defendant was not subject to liability because a particular
condition did not constitute an “unreasonable risk.” See, e.g., Nash v Lewis, 352 Mich 488,
490, 492; 90 NW2d 480 (1958); Zeglowski v Polish Army Veterans Ass’n of Mich, Inc, 363
Mich 583, 586; 110 NW2d 578 (1961). And courts also relied on § 343 to assess whether
a defendant was not subject to liability because a business visitor should have “discover[ed]
the condition or realize[d] the risk involved within,” in other words, because the visitor
was contributorily negligent. See, e.g., Spear v Wineman, 335 Mich 287, 290; 55 NW2d
833 (1952); Goodman, 286 Mich at 82-83.
Unfortunately, what neither § 343 of the First Restatement nor the cases relying on
it make clear is what portion of the analysis—the rule, the exception, or both—falls under
the element of “duty” versus the element of “breach.” The ambiguity originates from the
Restatement’s choice to use the phrase “subject to liability.” Liability, after all, is an
amalgamation of all the elements of a tort; for a court to hold a defendant “liable” the
plaintiff must prove duty, breach, causation, and harm.
13
The Second Restatement of Torts was published in 1965, ushering in some
adjustments to the original standard for liability owed to an invitee. Two sections—§ 343
and § 343A—are relevant to our discussion. Section 343 of the Second Restatement states
in full:
A possessor of land is subject to liability for physical harm caused to his
invitees by a condition on the land if, but only if, he
(a) knows or by the exercise of reasonable care would discover the
condition, and should realize that it involves an unreasonable risk of harm to
such invitees, and
(b) should expect that they will not discover or realize the danger, or
will fail to protect themselves against it, and
(c) fails to exercise reasonable care to protect them against the danger.
[2 Restatement Torts, 2d, § 343, pp 215-216.]
And § 343A states in relevant part:
(1) A possessor of land is not liable to his invitees for physical harm
caused to them by any activity or condition on the land whose danger is
known or obvious to them, unless the possessor should anticipate the harm
despite such knowledge or obviousness. [Id. at p 218.]
The basic contours of § 343 of the First Restatement remained in place in the Second
Restatement’s iteration. A landowner was still “subject to liability” to invitees—a category
akin to the earlier “business visitor”—only where a condition “involve[d] an unreasonable
risk of harm[.]” 2 Restatement Torts, 2d, § 343(a), p 215. And a landowner was still “not
liable” where a danger was “known or obvious” to the invitee, id. at § 343A, p 218, an idea
that pulls from the earlier “discover the condition or realize the risk” language from
§ 343(b) of the First Restatement. The major distinction between the First and Second
Restatements pertained to “known or obvious” dangers. Whereas the First Restatement
14
precluded all liability for open and obvious dangers, the Second Restatement built in an
exception. While landowners would not generally be “subject to liability” for such
dangers, they would face liability if they “should anticipate the harm despite such
knowledge or obviousness.” 2 Restatement Torts, 2d, § 343A(1), p 218. In total, the
Second Restatement included a rule, an exception, and a new exception to that exception.
The Second Restatement used the same ambiguous “subject to liability” language
as the First Restatement, meaning that it remained unclear which pieces of its analysis fell
under duty or breach—and therefore which aspects of the analysis should be decided by
the judge versus the jury. Livings, 507 Mich at 381 (CLEMENT, J., dissenting). And
unfortunately, caselaw relying on the Second Restatement has not provided much clarity.
For example, in Quinlivan v Great Atlantic & Pacific Tea Co, Inc, 395 Mich 244,
248; 235 NW2d 732 (1975), the Court addressed what framework to apply when an invitee
was injured by the accumulation of snow and ice on a land possessor’s property. The Court
looked to an Alaska Supreme Court decision applying the Second Restatement for
guidance. Id., citing Kremer v Carr’s Food Center, Inc, 462 P2d 747 (Alas, 1969). The
Court described Kremer as providing an appropriate definition of “the legal duty owed by
the invitor to the invitee.” Quinlivan, 395 Mich at 260. But it quoted favorably from
Kremer for the idea that “ ‘[a] jury could have found’ ” that a land possessor “ ‘should have
realized that this condition involved an unreasonable risk of harm’ ” that the “ ‘business
invitees would not discover or realize’ ” or that the land possessor should otherwise
“ ‘anticipate[]’ ” would cause harm. Quinlivan, 395 Mich at 259, quoting Kremer, 462 P2d
at 749. This language suggests that the Court believed at least some of the analysis under
§ 343 and § 343A involved questions of fact for a jury to decide when determining breach
15
and contributory negligence, not duty. Quinlivan, 395 Mich at 261 (“[C]onduct of the
invitee will often be relevant in the context of contributory negligence.”).
2. THE ADVENT OF COMPARATIVE FAULT
In Placek v Sterling Hts, 405 Mich 638, 679; 275 NW2d 511 (1979), the Court
abolished the doctrine of contributory negligence and replaced it with our modern scheme
of comparative fault, finding it to be a more “just and equitable doctrine.” The Court
explained that since its inception, “the doctrine of contributory negligence has caused
substantial injustice . . . .” Id. at 652. Commentators had long criticized the contributory-
negligence rule for “ ‘visit[ing] the entire loss caused by the fault of two parties on one of
them alone . . . .’ ” Kirby v Larson, 400 Mich 585, 622; 256 NW2d 400 (1977), quoting
Prosser, Comparative Negligence, 51 Mich L Rev 465, 469 (1953). Worse still,
contributory negligence foisted the full responsibility for an injury onto “ ‘the injured
plaintiff, least able to bear it, and quite possibly much less at fault than the defendant who
goes scot free.’ ” Kirby, 400 Mich at 622, quoting Prosser, 51 Mich L Rev at 469. The
Placek Court adopted so-called “pure” comparative fault in Michigan, which attributes
percentages of fault to each party and reduces the plaintiff’s damages on the basis of their
own percentage of fault. Id. at 660-662.
Placek represented a radical shift in tort jurisprudence in Michigan. In its wake, it
was not clear whether particular aspects of the old contributory-negligence regime, like the
open and obvious danger doctrine, survived. Then, in Riddle v McLouth Steel Prods Corp,
440 Mich 85; 485 NW2d 676 (1992), the Court directly addressed the interaction between
that doctrine and comparative fault. Riddle involved an invitee who slipped on a puddle
16
of oil in a manufacturing facility. Id. at 88-89. On appeal, the defendant argued that it
owed the plaintiff no duty, because the plaintiff “had knowledge of the presence of oil.”
Id. at 90. The Court of Appeals disagreed, concluding “that the ‘no duty to warn of open
and obvious danger’ rule [was] inconsistent with comparative negligence and should be
abolished.” Id. at 95. Instead, the panel concluded that “the invitee’s knowledge of a
dangerous condition is properly considered as it relates to the invitee’s negligence and
mitigation of damages in accordance with comparative negligence principles.” Riddle v
McLouth Steel Prods Corp, 182 Mich App 259, 266; 451 NW2d 950 (1990), rev’d by
Riddle, 440 Mich 85.
But this Court disagreed, explaining that “[t]he adoption of comparative negligence
in Michigan [did] not abrogate the necessity of an initial finding that the premises owner
owed a duty to invitees.” Riddle, 440 Mich at 95. The two doctrines, in the Court’s view,
were mutually exclusive, because “[a] negligence action may only be maintained if a legal
duty exists” in the first place. Id. at 96. Therefore, the Court concluded that only once a
duty is established does it become relevant whether a plaintiff was contributorily or
comparatively at fault.
In Riddle, ambiguity and disagreement continued over which pieces of the § 343
and § 343A analysis were a part of duty or breach. The Riddle majority specifically
described § 343 as articulating the “duty” owed to an invitee, despite § 343’s more
ambiguous “subject to liability” language. Id. at 92 (“This Court adopted the definition
provided in 2 Restatement Torts, 2d, § 343 of the general legal duty that a premises owner
owes an invitee.”) (emphasis added). And it seemed to describe § 343A as also articulating
the “duty” owed, despite its more ambiguous “not liable” language. Id. at 94 (“[W]e held
17
that a possessor of land does not owe a duty to protect his invitees where conditions . . . are
so obvious and apparent that an invitee may be expected to discover them himself.”)
(emphasis added). Therefore, Riddle’s recitation of the law suggests that the entirety of
the analysis conducted under § 343 and § 343A is a question of duty. Id.
Justice LEVIN dissented, joined by then Chief Justice MICHAEL CAVANAGH, arguing
that not every piece of § 343 and § 343A of the Second Restatement relates to duty. Rather,
Justice LEVIN concluded, “[w]hether an invitor is negligent because he fails to warn an
invitee of an open and obvious danger is a question of the standard of care required in a
given set of circumstances, rather than a question of duty.” Id. at 120 (LEVIN, J.,
dissenting). He noted a “tendency to analyze virtually every aspect of negligence in terms
of ‘duty.’ ” Id. Duty, he explained, was supposed to be a threshold analysis of whether
the relationship between the parties generated an “obligation to observe some standard of
care.” Id. at 121. If that was all courts were analyzing under the duty element, then “the
adoption of comparative negligence could not supersede the need to determine, as a matter
of law, that a particular defendant did or did not owe” a duty to a particular plaintiff. Id.
After all, an analysis of comparative fault presumes that the defendant both has a duty and
has breached it. But by placing the open and obvious danger analysis in duty, Justice LEVIN
argued that the majority created a functional conflict between the duty analysis and
comparative fault:
Thus, where it is said that “no duty” is owed by a particular defendant,
in the sense that negligence or fault of the plaintiff contributed to the harm
in a particular instance, or that a danger is open or obvious because of the
plaintiff’s subjective knowledge of the danger, comparative negligence
would indeed abrogate the “no duty” rule because a plaintiff’s contributory
negligence does not bar recovery and a decision to encounter a dangerous
18
condition despite subjective knowledge of the peril is relevant in deciding
the extent of the plaintiff’s negligence. Application of comparative
negligence principles would then call for the jury to apportion fault between
the parties. [Id.]
Put simply, because the majority situated the open and obvious danger doctrine in
duty, Justice LEVIN contended that it embedded an analysis of the plaintiff’s own
negligence in a threshold inquiry with the potential to cut off liability completely. But
under a comparative-fault regime, a plaintiff’s negligence is decidedly not supposed to cut
off all liability. The solution, according to Justice LEVIN, would be to simply move the
“open and obvious” analysis of § 343A to “standard of care, not duty . . . .” Id. 4
A few years later, the Court again considered “the issue of the scope of the duty
owed” to an invitee in Bertrand, 449 Mich at 609. Chief Justice CAVANAGH, who joined
Justice LEVIN’s dissent in Riddle, authored the majority. 5 Like the Riddle majority, the
Bertrand majority reiterated that a land possessor owes a duty to “ ‘exercise reasonable
care to protect invitees from an unreasonable risk of harm caused by a dangerous condition
of the land,’ ” citing § 343 of the Second Restatement in support. Id., quoting Williams,
429 Mich at 499.
4
Interestingly, the Riddle majority seems to agree that in practice, questions of the open
and obvious nature of a particular danger, and the landowner’s anticipation of harm, are
questions of breach for the jury, even though they label § 343A as speaking to duty, not
breach. Id. at 97 (“If the conditions are known or obvious to the invitee, the premises
owner may nonetheless be required to exercise reasonable care . . . . What constitutes
reasonable care under the circumstances must be determined from the facts of the case.”).
5
Bertrand generated both a dissent and a partial concurrence, but both separate opinions
only took issue with the application to the facts, not the legal principles announced. See
id. at 625 (WEAVER, J., concurring in part); id. at 626 (LEVIN, J., dissenting).
19
Bertrand involved two cases in which the plaintiffs had tripped and injured
themselves on steps. In one, the plaintiff fell on two unmarked concrete steps just outside
a bathroom door. Id. at 618-619. In the other, the plaintiff fell on an elevated walkway
partially blocked by a vending machine. Id. at 621-622. The Court explained that “steps
and differing floor levels were not ordinarily actionable unless unique circumstances
surrounding the area in issue made the situation unreasonably dangerous” because of the
steps’ “special aspects.” Id. at 614. If there was “something unusual about the steps,
because of their ‘character, location, or surrounding conditions,’ ” the duty remained, and
the question went to whether there had been a breach of duty. Id. at 617, quoting Garrett
v WS Butterfield Theatres, 261 Mich 262, 263-264; 246 NW 57 (1933).
Bertrand’s treatment of § 343A—which contains the open and obvious danger
doctrine and the anticipation exception—continued to muddy the waters between duty and
breach. First, Bertrand explained that “[w]here a condition is open and obvious, the scope
of the possessor’s duty may be limited,” suggesting that the open and obvious danger
doctrine is part of duty. Bertrand, 449 Mich at 610. But then, the majority explained that
if “the risk of harm remains unreasonable, despite its obviousness or despite knowledge of
it by the invitee, . . . [t]he issue then becomes the standard of care and is for the jury to
decide.” Id. at 611. Quoting favorably from an illustration in the Second Restatement, the
majority explained that in some cases, the fact that a danger is open and obvious “ ‘is
not . . . conclusive in determining the duty of the possessor,’ ” because it “ ‘is important in
determining whether the invitee is to be charged with contributory negligence . . . .’ ” Id.
at 612, quoting 2 Restatement Torts, 2d, § 343A, comment f, p 220 (emphasis omitted).
20
This analysis suggests that the open and obvious danger doctrine will at times go to duty,
and at other times, breach. 6
Shortly after the Bertrand decision, the Legislature codified a modified
comparative-fault regime by statute. Under MCL 600.2957(1), in a tort action, “the
liability of each person shall be allocated . . . by the trier of fact and . . . in direct proportion
to the person’s percentage of fault.” And “a plaintiff’s contributory fault does not bar the
plaintiff’s recovery of damages.” MCL 600.2958. Rather, “the court shall reduce the
damages by the percentage of comparative fault of [the plaintiff].” MCL 600.2959. 7 These
statutory sections not only made clear that comparative fault was the rule in Michigan, but
they also emphasized that a determination of comparative fault was for the jury, not the
judge.
6
The dissent reads Bertrand as only discussing duty, not breach. It interprets Bertrand’s
mention of questions of fact to mean that “questions of fact . . . concerning the scope of the
duty under the doctrine” would go to the jury. (Emphasis added.) Notably, Bertrand’s
author disagreed with the dissent here and instead agreed with our interpretation. See Lugo,
464 Mich at 539 (CAVANAGH, J., concurring) (“I continue to believe that Bertrand
correctly focused on liability and on breach.”) (emphasis added). Ultimately, what our
disagreement over interpreting Bertrand proves is not necessarily that one interpretation is
right and the other wrong, but that our caselaw has been mired in ambiguities that our
decision aims to set straight.
7
While irrelevant to the issues presented here, it’s worth noting that the Legislature did
modify Placek’s pure comparative-fault regime slightly. MCL 600.2959 explained that if
the plaintiff’s “percentage of fault is greater than the aggregate fault of the other person or
persons, whether or not parties to the action, the court shall reduce economic damages by
the percentage of comparative fault . . . and noneconomic damages shall not be awarded.”
Put simply, a plaintiff who is more than 50% at fault is barred from recovering
noneconomic damages.
21
3. LUGO v AMERITECH CORP
In 2001, the Court again stepped in to address the appropriate legal framework to
apply when an invitee was injured on a land possessor’s property in Lugo v Ameritech
Corp, Inc, 464 Mich 512. While walking across the defendant’s parking lot, the plaintiff
“apparently stepped in a pothole and fell.” Id. at 514. The defendant successfully moved
for summary disposition under MCR 2.116(C)(10), arguing that it had no duty to protect
the plaintiff because the pothole was open and obvious. Id. at 515. On appeal, this Court
affirmed, framing the case around “the extent of the open and obvious doctrine in premises
liability cases.” Id. at 516.
Once again, the Lugo majority reaffirmed the general duty owed to an invitee to
“exercise reasonable care to protect . . . from an unreasonable risk of harm caused by a
dangerous condition on the land.” Id. But, unlike the somewhat ambiguous analysis in
Riddle and Bertrand, the Lugo majority squarely situated the open and obvious danger
doctrine in the element of duty, explaining that the doctrine “should not be viewed as some
type of ‘exception’ to the duty generally owed invitees, but rather as an integral part of the
definition of that duty.” Id.
Next, the Lugo majority explained that while a land possessor generally “is not
required to protect an invitee from open and obvious dangers,” if there are “special aspects
of a condition [that] make even an open and obvious risk unreasonably dangerous,” then
the possessor “has a duty to undertake reasonable precautions to protect invitees from that
risk.” Id. at 517. The majority made two major moves with this analysis. First, it restricted
the exceptions to the open and obvious danger doctrine to so-called “special aspects.”
Second, it clarified that whether these “special aspects” exist in any given case is a question
22
of duty. Therefore, under Lugo, § 343’s rule, § 343A’s “open and obvious” exception, and
any exception to that exception all fall within duty, which is a question of law.
To define “special aspects,” the majority looked to Bertrand. Bertrand involved
plaintiffs injured on steps. The Bertrand majority had reasoned that while “ ‘the danger of
tripping and falling on a step is generally open and obvious, . . . there may be special
aspects of these particular steps that make the risk of harm unreasonable . . . .’ ” Id.,
quoting Bertrand, 449 Mich at 614 (emphasis in Lugo). Lugo universalized this idea of
“special aspects” to apply in all premises-liability cases, not just cases about steps and
stairs.
The Lugo majority then provided what it called “illustrations” of special aspects.
First, it proposed that “a commercial building with only one exit for the general public
where the floor is covered with standing water” would present a special aspect because
“the open and obvious condition is effectively unavoidable.” Id. at 518. Second, it
suggested that “an unguarded thirty foot deep pit in the middle of a parking lot” would
present a special aspect because, while open and obvious, “this situation would present
such a substantial risk of death or severe injury . . . .” Id. While these illustrations appear
to come from left field, the majority explained that it intended the approach to be
“consistent with § 343A of the [Second] Restatement” because “there must be something
out of the ordinary, in other words, special, about a particular open and obvious danger in
order for a premises possessor to be expected to anticipate harm from that condition.” Id.
at 525.
Justice CAVANAGH, joined by Justice KELLY, concurred in the result but took issue
with the majority’s analysis in two respects. Id. at 527 (CAVANAGH, J., concurring). First,
23
he disagreed with the majority’s conclusion that the open and obvious danger doctrine and
any exceptions to it were part of duty. Id. at 531 (“In my view, § 343 and § 343A assume
that a duty has been imposed by virtue of the possessor and invitee relationship, but that
liability nonetheless can be limited under certain circumstances.”); id. at 533 (“The open
and obvious danger doctrine . . . relies on the standard of care.”). Notably, Justice
CAVANAGH—the author of the Bertrand majority—also criticized the majority for using
Bertrand to support its conclusion that the open and obvious danger doctrine is a matter of
duty. Rather, he explained: “I continue to believe that Bertrand correctly focused on
liability and on breach.” Id. at 539.
Second, he took issue with the majority’s “special aspects” concept, which also
drew from his own analysis in Bertrand. Id. at 541-542. Bertrand, he explained, “in no
way implies that the possessor only has a duty to undertake reasonable precautions to
protect his invitees when a condition has special aspects.” Id. at 542. He believed that the
special-aspects analysis presented an unnecessary departure from the Second
Restatement’s emphasis on anticipation. 8
4. THE POST-LUGO ERA
This Court’s jurisprudence following Lugo continued to be fractious. In part, it
grappled with what some justices saw as an inherent tension between Lugo’s narrow
8
Justice WEAVER also took issue with the majority’s analysis. Id. at 544 (WEAVER, J.,
concurring in result). First, she questioned the concept of “severe harm” in the majority’s
special-aspects analysis, noting that the Court had never before “suggested . . . that the
degree of potential harm is relevant to whether the risk of harm posed by a condition
remains unreasonable despite its obviousness.” Id. at 545. Second, she questioned the
necessity of “unlikely hypothetical examples” in a case about an ordinary pothole. Id.
24
“special aspects” illustrations and the broader anticipation-of-harm standard contained in
§ 343A of the Second Restatement.
In Hoffner v Lanctoe, 492 Mich at 455, the Court addressed the “limited exception”
for “effectively unavoidable” conditions. The plaintiff, a member of a gym, was walking
into the gym’s only entrance when she slipped and fell on an icy sidewalk. Id. at 456-457.
The Hoffner majority explained that for the condition to be considered effectively
unavoidable, it “must be unavoidable or inescapable in effect or for all practical purposes,”
meaning that the plaintiff “must be required or compelled to confront a dangerous hazard”
and have no choice to avoid it. Id. at 468-469. Because the plaintiff “was not forced to
confront the risk,” the majority concluded that the open and obvious danger was not
effectively unavoidable and the land possessor owed her no duty. Id. at 473.
The Hoffner majority, like the Lugo majority, argued that the special-aspects
doctrine was entirely consistent with the Second Restatement. Id. at 479. But Justice
CAVANAGH disagreed, characterizing the decision as “yet another unwarranted departure”
from precedent relying on the Second Restatement. Id. at 483 (CAVANAGH, J., dissenting).
He criticized the special-aspects doctrine both for failing to conform with § 343A’s
anticipation standard and for “narrowing . . . the traditional exceptions to the open-and-
obvious doctrine by creating an illogical and unworkable standard.” Id. at 488.
There also continued to be disagreement over which aspects of the analysis ought
to be considered as part of duty or breach. In her dissent, Justice HATHAWAY added that
because the special-aspects analysis was a part of duty, not breach, it “diminishes the role
of juries in favor of judicial fact-finding, in direct contravention of the specific mandate of
the Michigan Constitution.” Id. at 495 (HATHAWAY, J., dissenting). She agreed with
25
Justice CAVANAGH that the Court had needlessly retreated from the Second Restatement
by situating the open and obvious danger doctrine within duty and establishing the special-
aspects exceptions. Id. at 498.
After Hoffner, the Third Restatement of Torts announced a radical new approach to
premises liability. 2 Restatement Torts, 3d, § 51. Section 51 of the Third Restatement
eliminated status-based categories and created one general duty of care owed to anyone
who entered a land possessor’s property. Section 51 states in full:
Subject to § 52,[9] a land possessor owes a duty of reasonable care to
entrants on the land with regard to:
(a) conduct by the land possessor that creates risks to entrants on the
land;
(b) artificial conditions on the land that pose risks to entrants on the
land;
(c) natural conditions on the land that pose risks to entrants on the
land; and
(d) other risks to entrants on the land when any of the affirmative
duties provided in Chapter 7 is applicable. [Id. at p 242.]
The commentary accompanying § 51 directly addressed the open and obvious
danger doctrine, explaining that “the fact that a dangerous condition is open and obvious
bears on the assessment of whether reasonable care was employed, but does not pretermit
the land possessor’s liability.” 2 Restatement Torts, 3d, § 51, comment k, p 251. 10 In other
9
Section 52 creates a separate duty for “flagrant trespassers” who enter a land possessor’s
property. 2 Restatement Torts, 3d, § 52, p 304.
10
In particular, comment k accompanying § 51 of the Third Restatement provides helpful
commentary on the issues presented here. Comment k directly addresses open and obvious
dangers, explaining, as we have done here, the difference in treatment under the Second
26
words, the Third Restatement asserts that the question of whether a hazard was open and
obvious is relevant to whether a duty was breached, not whether the defendant owed a duty
to the injured party.
The Third Restatement changed several aspects of the older approach embodied in
§ 343 and § 343A of the Second Restatement. First, the status of the plaintiff as a
trespasser, invitee, or licensee became immaterial; only if a plaintiff is a “flagrant
trespasser” does their legal status change the duty owed. 2 Restatement Torts, 3d, § 52,
p 304. Second, the duty owed to anyone formerly categorized as an invitee became
broader. Rather than a duty only with respect to conditions that involve an “unreasonable
risk of harm,” the Third Restatement contemplated a duty that extended to any and all
“risks.” And while the Second Restatement carved out an exception to the “open and
obvious” exception for scenarios in which the land possessor should “anticipate” harm, the
Third Restatement contemplated no specific exception.
While some justices have suggested that the Court consider adopting the Third
Restatement, because a majority has not yet embraced it, the Second Restatement approach
remains the governing approach in Michigan. See Livings, 507 Mich at 360-361
(MCCORMACK, C.J., concurring) (“[P]erhaps it is time for this Court to consider the Third
Restatement and the Third Restatement given the corresponding shift from contributory
negligence to comparative fault. Comment k explains that when an invitee encounters an
open and obvious danger and “fails to exercise reasonable self-protective care,” they are
“contributorily negligent.” 2 Restatement Torts, 3d, § 51, comment k, p 252. But
“[b]ecause of comparative fault, . . . the issue of the defendant’s duty and breach must be
kept distinct from the question of the plaintiff’s negligence.” Id. Therefore, “[t]he rule
that land possessors owe no duty with regard to open and obvious dangers sits more
comfortably—if not entirely congruently—with the older rule of contributory negligence
as a bar to recovery.” Id.
27
Restatement’s approach, which aligns more neatly with comparative negligence principles
by imposing a blanket reasonable duty of care standard.”).
Most recently, the Court addressed the special-aspects doctrine in Livings. The
question before the Court was whether “a hazard one must confront to enter his or her place
of employment should be considered effectively unavoidable.” Id. at 333 (opinion of the
Court). The majority concluded that the fact that an employee must confront a hazard to
get to work can make the condition effectively unavoidable such that the land possessor
owes a duty even if the condition is open and obvious. Id. In reaching this conclusion, the
majority pointed to comment f accompanying the Second Restatement § 343A, which
described a “ ‘slippery waxed stairway, whose condition is visible and quite obvious,’ ”
that is the only way for an employee to enter an office. Id. at 340, quoting 2 Restatement
Torts, 2d § 343A, comment f. According to the Second Restatement, under such a
circumstance, “a possessor might expect a reasonable person to confront an obvious
hazard,” and therefore, the majority suggested, the possessor would owe the invitee a duty.
Id. As the majority noted, the Court had long relied on the Restatement for guidance, and
Lugo itself emphasized that “the special-aspects test was ‘consistent with § 343A of the
Restatement . . . .’ ” Id. at 344, quoting Lugo, 464 Mich at 525.
Not everyone agreed with the Court’s continued endorsement of the special-aspects
doctrine. See id. at 350 (MCCORMACK, C.J., concurring) (“I write separately . . . to express
my reservations about the continued reliance on the judicially created special aspects
doctrine.”). Then Chief Justice MCCORMACK argued that while the special-aspects
doctrine “may not appear to deviate in any important way from the Second Restatement
approach[,] . . . the scheme it created has little basis in the language of the Restatement or
28
this Court’s precedent.” Id. at 356-357. Nor did everyone agree with reinvigorating the
Second Restatement’s comment f as a means of concluding that a special aspect existed.
See id. at 361 (ZAHRA, J., dissenting) (“Rather than adopting the Restatement illustration,
I would apply this Court’s well-established open and obvious danger jurisprudence . . . .”);
Id. at 384 (CLEMENT, J., dissenting) (“Whatever the faults of this duty-based open and
obvious danger analysis in premises-liability actions, it appears to me to at least have the
benefit of greater clarity and ease of application than the Second Restatement.”).
Which brings us to today, when we conclude that Lugo, which established our
current framework for addressing a land possessor’s duty of care, was wrongly decided in
several respects and must be overruled.
IV. ANALYSIS
A. STARE DECISIS
Reaching the conclusion that Lugo must be overruled requires an analysis of
whether it was wrongly decided, “whether [it] defies ‘practical workability,’ whether
reliance interests would work an undue hardship, and whether changes in the law or facts
no longer justify the questioned decision.” Robinson v Detroit, 462 Mich 439, 464; 613
NW2d 307 (2000).
First, we conclude Lugo was wrongly decided in two respects. First, the Lugo Court
erred by situating the open and obvious danger doctrine and any exceptions to it in duty.
Before Lugo, there was ambiguity as to whether all or some of the analysis under § 343
and § 343A of the Second Restatement fell under the umbrella of duty or breach. See
Livings, 507 Mich at 381 (CLEMENT, J., dissenting) (“The basic confusion . . . is this: if a
premises owner faces no liability whatsoever for injuries caused by at least some obvious
29
hazards, what aspect of a premises-liability action does the obviousness of such a hazard
relate to—duty or breach?”). While Lugo certainly provided clarity, it failed to grapple
with how situating the open and obvious danger doctrine and its exceptions in duty—rather
than breach—would operate in practice. In particular, it failed to account for the inherent
tension with Michigan’s clear policy of comparative fault.
Duty is a threshold question of law for the court to decide before a case can get to a
jury. In re Certified Question, 479 Mich at 504. Therefore, where there is no duty owed
to a particular plaintiff, the case is dismissed and the plaintiff does not proceed to trial, let
alone recover damages for any injuries sustained. Michigan is a comparative-fault
jurisdiction, meaning that it is the policy of our state that when a plaintiff is at fault, it does
not bar recovery, but rather reduces the amount of damages they can recover by their
percentage of fault. MCL 600.2959. It is of course true that technically, duty and
comparative fault are two separate elements of a premises-liability claim. See Riddle, 440
Mich at 95-96. But functionally, by situating the open and obvious danger doctrine in duty,
the plaintiff’s comparative fault has become an integral part of the duty analysis.
Practically, what this means is that a plaintiff’s fault works to cut off liability in full,
directly against the policy of this state.
The test for whether a danger is open and obvious asks “whether it is reasonable to
expect that an average person with ordinary intelligence would have discovered it upon
casual inspection.” Hoffner, 492 Mich at 641. The test is designed to be “an objective
standard” that looks only to the “ ‘objective nature of the condition of the premises at
issue.’ ” Id., quoting Lugo, 464 Mich at 523-524. But in practice, courts frequently rely
on the plaintiff’s own negligence as a reason to find that a condition was open and obvious.
30
For example, courts often point to the plaintiff’s testimony about their knowledge of a
particular danger and their failure to avoid it to conclude that the danger was open and
obvious. 11 Or courts will conclude that a danger is open and obvious even if a plaintiff did
not see it, because had they been looking (i.e., not negligent), they would have known to
avoid it. 12 Put differently, and contrary to the dissent’s assertions, by placing the “open
and obvious” inquiry in the duty analysis, courts look primarily at the plaintiff’s actions,
instead of the defendant’s duty to take reasonable care. Improperly muddling the plaintiff’s
11
See, e.g., Hoffner, 492 Mich at 473 (“Plaintiff freely admits that she knew that the ice
posed a danger, but that she saw the danger as surmountable . . . .”); Joyce v Rubin, 249
Mich App 231, 239-240; 642 NW2d 360 (“[The plaintiff] stated that she watched where
she walked on the sidewalk and walked very carefully because she knew the sidewalk was
‘not very safe.’ . . . Thus, subjectively and objectively, no reasonable juror could have
concluded that . . . the danger . . . was not open and obvious.”); Finazzo v Fire Equip Co,
323 Mich App 620, 626; 918 NW2d 200 (2018) (“[P]laintiff was indeed warned of the
cable; he could see it, and he could have easily avoided it by simply stepping over it.”);
Trueblood Estate v P&G Apartments, LLC, 327 Mich App 275, 287; 933 NW2d 732
(“Indeed, plaintiff acknowledged that it had snowed the night before and testified that he
was wearing winter clothing and winter boots when he left his apartment, showing that he
was well aware of the wintry conditions outside.”); Davidson v Steve’s Family Dining II,
Inc, unpublished per curiam opinion of the Court of Appeals, issued March 2, 2023 (Docket
No. 361730), p 3 (“Plaintiff admitted . . . that she was aware that the floor was wet before
she walked across it.”).
12
See, e.g., Pinsky, unpub op at 3 (“The evidence indicates that [the plaintiff] would not
have been injured had she been looking at her path through the checkout lane . . . .”);
Kennedy v Great Atlantic & Pacific Tea Co, 274 Mich App 710, 713-714; 737 NW2d 179
(2007) (“[P]laintiff testified that after he slipped, ‘I could see the grapes [on the
floor].’ . . . Plaintiff’s own deposition testimony establishes that he would have noticed
the potentially hazardous condition had he been paying attention.”); Ward v Misty Farm,
LLC, unpublished per curiam opinion of the Court of Appeals, issued September 22, 2022
(Docket No. 358544), p 4 (“[The plaintiff] testified that she could have ‘[p]ossibly’ seen
the crack at issue had she been looking at the floor when she walked.”); Saban v Henry
Ford Health Sys, unpublished per curiam opinion of the Court of Appeals, issued April 30,
2020 (Docket No. 347844), p 6 (“Plaintiff admitted that he would have seen the defect—
from his position in the wheelchair—if he had been looking at his path of travel.”).
31
fault with the defendant’s duty has largely eliminated the duty of a land possessor to take
the required reasonable care.
To reiterate: the open and obvious danger doctrine is objective. We have said so
many times. But the problem is that courts, including us, routinely say one thing (it’s
objective) and do another (look to the plaintiff’s subjective response). Lugo itself provides
an example of this. The Lugo majority went out of its way to criticize the trial court for
finding that the danger was open and obvious because “the plaintiff ‘was walking along
without paying proper attention to the circumstances where she was walking,’ ” explaining
that the court should have focused on the objective nature of the condition. Lugo, 464
Mich at 523. But in reaching its own conclusion that the pothole was open and obvious,
the Lugo majority noted the plaintiff’s deposition testimony that she “ ‘wasn’t looking
down’ ” and concluded that she tripped on the pothole because she “failed to notice it.” Id.
at 521-522. It’s hard to parse the difference between these two analyses, given that both
refer to the plaintiff’s own fault in causing the injury.
Situating the “open and obvious” analysis in duty, therefore, poses two problems.
First, it puts the judge—not the jury—in charge of deciding an issue that functionally
includes an analysis of the plaintiff’s negligence. But under MCL 600.2957, “the liability
of each person shall be allocated . . . by the trier of fact . . . .” (Emphasis added.) Because
the plaintiff’s own potential liability so often factors into the “open and obvious” analysis,
the court, not the jury, is analyzing the plaintiff’s liability, in direct contravention of MCL
600.2957. Second, because duty is a threshold requirement that must be met before a case
can proceed, the plaintiff’s own liability functions as an absolute bar to recovery. In
practice, “open and obvious” cases wind up looking much like they did in the era of
32
contributory negligence, when a plaintiff’s contribution to the injury—such as their own
failure to avoid or to notice an obvious danger—served as an absolute bar to recovery.
Second, Lugo was also wrongly decided in announcing the special-aspects doctrine.
At the outset, we note that the relationship between the § 343A of the Second
Restatement’s anticipation-of-harm standard and the Court’s own special-aspects standard
has been subject to considerable debate. Since Lugo first announced the special-aspects
test, a majority of this Court has maintained that it is consistent with § 343A of the Second
Restatement. See Lugo, 464 Mich at 525; Hoffner, 492 Mich at 478-480; Livings, 507
Mich at 340. But not everyone has agreed. 13
It well may be that the intention behind Lugo’s special-aspects test was to provide
just two examples of scenarios in which “the possessor should anticipate harm from a
known or obvious danger . . . .” 2 Restatement Torts, 2d, § 343A, p 218. The Lugo Court
may have intended the concepts of “effectively unavoidable” conditions and conditions
posing “a substantial risk of death or severe injury” to be two illustrations of a broader
class of scenarios in which harm should be anticipated. But regardless of intention, the
special-aspects test most often does not work this way in practice. Instead, courts
frequently ask whether an open and obvious danger either (1) is effectively unavoidable,
13
See Lugo, 464 Mich at 527 (CAVANAGH, J., concurring); id. at 544-545 (WEAVER, J.,
concurring); Mann v Shusteric Enterprises, Inc, 470 Mich 320, 336; 683 NW2d 573 (2004)
(CAVANAGH, J., concurring in part and dissenting in part); Hoffner, 492 Mich at 483
(CAVANAGH, J., dissenting); id. at 494-495 (HATHAWAY, J., dissenting); Livings, 507 Mich
at 350 (MCCORMACK, C.J., concurring); id. at 369 (ZAHRA, J., dissenting). We have also
managed to confuse the lower courts. See, e.g., Bragan ex rel Bragan v Symanzik, 263
Mich App 324, 331; 687 NW2d 881 (describing Lugo as “replac[ing]” the Restatement
approach with the special-aspects analysis).
33
or (2) poses a substantial risk of death or severe injury. 14 If neither special aspect is present,
the inquiry is over; the danger is open and obvious, and the land possessor owes no duty. 15
Moreover, the illustrations provided in Lugo—the standing water in front of a single
entrance and the 30-foot-deep pit—have become litmus tests for recovery. If the open and
obvious danger does not resemble these scenarios, courts commonly conclude that the land
possessor owes no duty. 16 Then again, in a small subset of cases, courts have treated Lugo’s
special aspects as mere illustrations of the broader category of scenarios in which a land
possessor should anticipate the harm. 17 The incongruity in how Lugo is applied generates
unfairness, with some courts interpreting special aspects much more narrowly than others.
14
The dissent states that the Lugo majority identified one of the special aspects as “those
in which the danger is unreasonable . . . .” But this is not what Lugo said, and it is not how
it has subsequently been applied. Rather, Lugo defined a special aspect as one in which
the danger “present[s] . . . a substantial risk of death or severe injury.” Lugo, 464 Mich at
518. There is significant daylight between dangers that are unreasonable and those that
present a substantial risk of death or severe injury.
15
See, e.g., Pinsky, unpub op at 4; Robertson v Blue Water Oil Co, 268 Mich App 588,
593; 708 NW2d 749; Finazzo, 323 Mich App at 627; Cox v America Multi-Cinema, Inc,
unpublished per curiam opinion of the Court of Appeals, issued November 10, 2022
(Docket No. 357588), p 3.
16
See, e.g., Livings, 507 Mich at 358 (MCCORMACK, C.J., concurring) (“Not surprisingly,
since Lugo, 30-foot pits and standing water traps became the barometer for lower courts
applying the special aspects doctrine.”); Moyer v Sieloff, unpublished per curiam opinion
of the Court of Appeals, issued June 30, 2009 (Docket No. 285587), p 2 (“Slipping and
falling on ice, even from a porch, does not present the same risk of death or injury as falling
into a 30-foot deep pit.”); Bredow v Land & Co, 307 Mich App 579, 594; 862 NW2d 232
(2015) (WHITBECK, J., concurring) (“The Supreme Court’s hypothetical 30-foot-deep pit
is not even remotely similar to the situation we have here.”), vacated in part on other
grounds 498 Mich 890 (2015).
17
See, e.g., Kenny v Kaatz Funeral Home, Inc, 264 Mich App 99, 112; 689 NW2d 737
(2004), rev’d 472 Mich 929 (2005) (“There is no indication in Lugo that the examples or
illustrations of special aspects provided in the opinion reflect the only situations where
34
This Court’s own decisions applying Lugo have unfortunately not provided
additional clarity on the special-aspects doctrine. In Hoffner, the Court narrowed the
“effectively unavoidable” special aspect only to scenarios in which a person is “required
or compelled to confront a dangerous hazard” and has no choice to avoid it. Hoffner, 492
Mich at 469. While the Hoffner majority argued that the decision was consistent with the
Second Restatement, its interpretation of “effectively unavoidable” conditions as those that
a plaintiff had no choice but to encounter does not appear anywhere in the Second
Restatement—not even in the accompanying comments and illustrations. In fact, one
illustration suggests that even if a plaintiff technically has a choice to confront an open and
obvious danger, but the alternative path is inconvenient, then the defendant would still be
“subject to liability.” See 2 Restatement Torts, 2d, § 343A, comment g, illustration 8,
p 222 (describing an open and obvious snow-and-ice-covered footbridge from a railcar
where the only other approach requires a detour of six blocks as generating liability for the
defendant). Therefore, Hoffner claimed to be consistent with the Second Restatement, but
it was considerably narrower in terms of which scenarios it would exempt from the open
and obvious danger doctrine.
Then, in Livings, the Court directly quoted an illustration from the Second
Restatement to explain that a danger could become effectively unavoidable if an employee
had to confront it to enter their workplace for work purposes. Livings, 507 Mich at 340.
special aspects can arise.”); O’Donnell v Garasic, 259 Mich App 569, 576; 676 NW2d 213
(2003) (treating the unique features of the sleeping loft from which the plaintiff fell as
“special aspects,” even though they did not fit the rigid categories from Lugo).
35
These decisions create a sense of whiplash: in one, the Second Restatement appears to be
a background consideration at best; in the other, it is front and center.
Moreover, Lugo, Hoffner, and Livings all cited the plaintiff’s own choices to explain
why “special aspects” were or were not present. And yet, all three claimed that the special-
aspects doctrine centered only on the nature of the condition itself. Case in point, under
Hoffner and Livings, assuming hypothetically that a gym had a single, ice-covered
entrance, the “condition” would be transformed into an “effectively unavoidable” condition
that would subject the defendant to liability only when an employee of the gym, rather than
a patron, approached. This is a far cry from the stability that Lugo intended. See Livings,
507 Mich at 364-365 (ZAHRA, J., dissenting); Lugo, 464 Mich at 525-526 (“[W]e believe
that our approach, focusing on the existence or absence of special aspects of an open and
obvious danger, will [better] guide the trial courts in considering whether particular open
and obvious conditions posed an unreasonable risk of harm . . . .”).
In sum, we conclude that Lugo was wrongly decided because, by concluding that
the open and obvious danger doctrine and any exceptions to it are a part of the duty analysis,
it runs afoul of Michigan’s commitment to comparative fault. And by announcing the
special-aspects test, Lugo created confusion as to what the exceptions to the open and
obvious danger doctrine would be. While the doctrine may have been intended simply to
illustrate the broader anticipation standard, it has not functioned that way in practice.
Next, we conclude that Lugo defies practical workability. A decision defies
practical workability when it generates confusion among courts trying to apply it and sows
division. See Devillers v Auto Club Ins Ass’n, 473 Mich 562, 585-586; 702 NW2d 539
(2005). Lugo itself was a divided decision; the justices disagreed with respect to both
36
central holdings. 18 Tellingly, the author of the decision on which the special-aspects
doctrine purported to rely—Bertrand—disagreed with the majority’s characterization of
his own analysis. 19 Since Lugo was decided, jurists on this Court and the Court of Appeals
have repeatedly called it into question. 20 Court of Appeals panels frequently disagree over
how to apply Lugo, 21 and this Court has at times stepped in to reverse their work. 22
18
Lugo, 464 Mich at 527 (CAVANAGH, J., concurring) (“I write separately to express my
disagreement with the majority’s ‘special aspects’ analysis.”); id. at 531 (“The second
imperative point to understand about Restatement §§ 343 and 343A is that they refer to the
imposition of liability; they do not discuss whether a duty exists.”); id. at 544 (WEAVER,
J., concurring) (calling the special-aspects doctrine into question).
19
Lugo, 464 Mich at 542 (CAVANAGH, J., concurring) (“[T]he quoted language [from
Bertrand] in no way implies that [a] possessor only has a duty to undertake reasonable
precautions to protect his invitees when a condition has special aspects.”).
20
See, e.g., Dorsey v Taubman Auburn Hills Assoc, unpublished per curiam opinion of the
Court of Appeals, issued April 13, 2017 (Docket No. 330690) (GLEICHER, J., concurring)
(highlighting the tension between Michigan’s “open and obvious” jurisprudence and
comparative fault); Branch v D & S Prop Mgt, LLC, unpublished per curiam opinion of the
Court of Appeals, issued December 26, 2019 (Docket No. 345882) (GLEICHER, J.,
concurring in part and dissenting in part), p 5 (“[T]he “effectively unavoidable” doctrine
contradicts bedrock tort principles, and should be jettisoned for that reason.”); Mann, 470
Mich at 336 (CAVANAGH, J., concurring in part and dissenting in part); Hoffner, 492 Mich
at 483 (CAVANAGH, J., dissenting); Hoffner, 492 Mich at 494-495 (HATHAWAY, J.,
dissenting); Livings, 507 Mich at 350 (MCCORMACK, C.J., concurring).
21
See, e.g., Barrett v Discount Tire & Battery, unpublished per curiam opinion of the Court
of Appeals, issued August 26, 2004 (Docket No. 250213) (SCHUETTE, J., dissenting), pp 1-
2 (calling the majority’s interpretation of Lugo’s “open and obvious” analysis into
question); Young v Walton Oil, Inc, unpublished per curiam opinion of the Court of
Appeals, issued February 6, 2018 (Docket No. 333794) (MURRAY, P.J., dissenting), p 4
(highlighting disagreement about Lugo’s application to wintry conditions).
22
See, e.g., Kenny, 264 Mich App 99, rev’d 472 Mich 929. This Court has also been
divided over when the Court of Appeals has erred in its application of Lugo. See, e.g.,
Galliher v Trinity Health-Mich, 480 Mich 1072, 1072 (2008) (MARKMAN, J., dissenting)
(“Because I cannot imagine any more ‘open and obvious’ condition than a pothole in a
37
Notably, this Court has even been divided over whether and when Lugo and its progeny
need clarification. 23 Lugo defies practical workability because it has generated
considerable confusion and division.
Next, we must consider whether reliance on Lugo makes it unwise to overrule it.
“As to the reliance interest, the Court must ask whether the previous decision has become
so embedded, so accepted, so fundamental, to everyone’s expectations that to change it
would produce not just readjustments, but practical real-world dislocations.” Robinson,
462 Mich at 466. Where overruling a decision would “produce chaos,” the Court should
not do so. Id. at 466 n 26. Lugo has been on the books for a long time—more than 20
years. Practitioners and courts alike have relied on it in thousands of premises-liability
cases. But given the uncertainty and division it has generated in our caselaw, it cannot be
said to be “so accepted” and “so fundamental” as to create “real-world dislocations” if
changed. Id. at 466. The sheer number of appellate decisions applying Lugo, clarifying
Lugo, and adjusting Lugo shows that it did not create enough stability to generate a reliance
interest strong enough to keep us from reconsidering it today. We therefore disagree with
driveway during daylight hours, I would reverse the Court of Appeals judgment . . . .”);
Schooley v Consol Roadhouse of Taylor, LLC, 488 Mich App 981, 982 (2010) (MARKMAN,
J., dissenting) (“I continue to believe that an ordinary toilet paper dispenser does not
constitute a ‘dangerous condition’ causing ‘an unreasonable risk of harm’ on a business
premises.”).
23
See, e.g., Lymon v Freedland, 501 Mich 933, 933 (2017) (MARKMAN, C.J., dissenting)
(explaining that he would have granted leave to appeal to “provide greater clarity
concerning the circumstances in which an ‘open and obvious’ condition contains a ‘special
aspect’ ”); Wiater v Great Lakes Recovery Centers, Inc, 477 Mich 896, 896 (2006)
(WEAVER, J., dissenting) (explaining that she would have granted leave to ask whether
Mann, 470 Mich 320, a decision applying Lugo, was correctly decided).
38
the dissent that retaining Lugo will avoid litigation. Instead, overruling it ends two decades
of uncertainty and arguments, where parties and lower courts have had to navigate an
unclear standard and varying applications.
Finally, there are no changes in the law or facts that either weigh for or against
overruling Lugo. But we do note that part of the problem with Lugo, of course, was its
own failure to account for a significant change in the law that predated it—the shift to a
comparative-fault regime. Overall, we conclude that Lugo should be overruled. It was
wrongly decided and has generated a whole host of practical-workability problems. While
it has been on the books for more than two decades, it has not created reliance interests
strong enough to cut against a decision to overrule it.
B. THE NEW (AND NOT-SO-NEW) FRAMEWORK FOR PREMISES LIABILITY
Today, we begin by reiterating that several aspects of our existing premises-liability
jurisprudence remain viable in Michigan. First, we reaffirm the traditional duty owed to
invitees: the “duty to exercise reasonable care to protect [them] from an unreasonable risk
of harm caused by a dangerous condition of the land.” Williams, 429 Mich at 499. We
also hold that the three traditional status-based categories—licensee, invitee, and
trespasser—remain, reserving the question of whether to adopt the Third Restatement’s
blanket reasonable-care standard for a later time.
The open and obvious nature of a condition remains a relevant inquiry in a premises-
liability case. However, to the extent prior cases have held that it should be analyzed as a
part of a land possessor’s duty, those cases are overruled. Rather, the open and obvious
nature of a danger—i.e., whether it is “reasonable to expect that an average person with
39
ordinary intelligence would have discovered it upon casual inspection,” Hoffner, 492 Mich
at 461—is relevant to the defendant’s breach and the plaintiff’s comparative fault.
Contrary to the dissent’s repeated, erroneous assertions that our decision somehow
eliminates or dispenses with the open and obvious danger doctrine, we are simply moving
the doctrine from duty to breach where it legally should lie. And we find support for the
shift from duty to breach in several places.
First, the change finds support from caselaw and statutory law articulating
Michigan’s shift from contributory negligence to comparative fault. See Placek, 405 Mich
at 650; MCL 600.2957. Because an “open and obvious” analysis frequently includes an
analysis of the plaintiff’s own behavior—a failure to see a danger, appreciate a danger, or
avoid a danger—situating the doctrine in the breach/comparative-fault analysis will allow
the plaintiff’s potentially negligent response to an open and obvious danger to reduce their
damages, rather than cut off all recovery. The Legislature made clear when it enacted MCL
600.2957 nearly 30 years ago that it intended the jury to allocate the “liability of each
person” in all tort actions. MCL 600.2957(1). To be clear: the standard for assessing
whether a danger is open and obvious is, and remains, objective. But in practice, the
plaintiff’s own account of their response to the danger is a key piece of evidence used by
courts to determine whether, objectively, a danger was open and obvious. And this makes
good sense. An actual person’s response to a danger, in most cases, will be relevant to
what a reasonable person might perceive about a danger. 24
24
While MCL 600.2957 provides support for shifting the open and obvious danger doctrine
from duty to breach, we do not argue, as the dissent suggests, that the statute somehow
“abrogated” earlier caselaw holding otherwise. Given our decision that Lugo was wrongly
40
Second, the shift finds support in the Third Restatement. See 2 Restatement Torts,
Third, § 51, comment k, p 251. While we decline to adopt the Third Restatement in its
entirety today, 25 we find its commentary useful in reaching our conclusion that the open
and obvious danger doctrine belongs in breach, not duty. Unlike the First and Second
Restatements, which were drafted during the bygone era of contributory negligence, the
Third Restatement has a background of comparative fault in mind. With respect to open
and obvious dangers, the Third Restatement explains that “[t]he rule that land possessors
owe no duty with regard to open and obvious dangers sits more comfortably—if not
entirely congruently—with the older rule of contributory negligence as a bar to recovery.”
2 Restatement Torts, 3d, § 51, comment k, p 252. Therefore, the Third Restatement
recognizes that “the fact that a dangerous condition is open and obvious bears on the
assessment of whether reasonable care was employed, but it does not pretermit the land
possessor’s liability.” Id. at p 251. We agree.
decided and must be overruled, the task before us today is to articulate the appropriate legal
framework for courts to employ when an invitee is harmed by a condition on a land
possessor’s property. In announcing the framework today, our state’s commitment to
comparative fault—as articulated by both caselaw and statutory law—serves as helpful
guidance in aligning our framework with the clear goal of our Legislature to ensure that a
plaintiff’s own fault does not serve as an absolute bar to recovery in tort litigation.
25
Contrary to the dissent’s assertion, there is certainly “daylight” between the Third
Restatement and the framework we adopt today. Most glaringly, we do not adopt a blanket
“duty of reasonable care.” Instead, we retain the decades-old duty that land possessors take
reasonable care to protect only against unreasonable risks of harm caused by dangerous
conditions of the land. Williams, 429 Mich at 499. Unlike under Lugo, however, liability
is not limited to those dangers that present a substantial risk of death or serious injury or
dangers that are effectively unavoidable.
41
Third, shifting the open and obvious danger doctrine to breach will effectuate the
very same policy goals undergirding this Court’s premises-liability decisions spanning
before and after Lugo. In Hoffner, 492 Mich at 459, this Court articulated two key
principles of Michigan premises law: “First, landowners must act in a reasonable manner
to guard against harms that threaten the safety and security of those who enter their land.
Second, . . . landowners are not insurers; that is, they are not charged with guaranteeing the
safety of every person who comes onto their land.” The Court explained that these two
principles had been used to establish the well-recognized rules that govern the rights and
duties of both landowners and those who enter their land, stating:
Underlying all these principles and rules is the requirement that both the
possessors of land and those who come onto it exercise common sense and
prudent judgment when confronting hazards on the land. These rules balance
a possessor’s ability to exercise control over the premises with the invitees’
obligation to assume personal responsibility to protect themselves from
apparent dangers. [Hoffner, 492 Mich at 459-460 (citations omitted).]
See also Bradley v Burdick Hotel Co, 306 Mich 600, 604; 11 NW2d 257 (1943).
We agree with the notion that “landowners are not insurers” and that “both the
possessors of land and those who come onto it” must “exercise common sense and prudent
judgment when confronting hazards on the land.” Hoffner, 492 Mich at 459. The problem
with our current framework, however, is that the analysis of each party’s common sense is
imbalanced; while the invitee’s own negligence can cut off liability in full, the land
possessor’s cannot. By shifting the open and obvious danger doctrine to breach, it will
allow the jury to do just what this Court—and the Legislature—intend: conduct a
comparative analysis of each party’s fault.
42
Next, we hold that the special-aspects doctrine is overruled to the extent that it
departed from the anticipation-of-harm standard in § 343A of the Second Restatement. 26
Rather than conduct a narrow analysis of whether an obvious danger is “effectively
unavoidable” or poses an “unreasonable risk of severe harm,” the fact-finder should
consider whether “the possessor should anticipate the harm despite such . . . obviousness.”
2 Restatement Torts, 2d, § 343A, p 218. While we reiterate the viability of the anticipation
exception today, as articulated in the Second Restatement, we make clear that whether a
land possessor should anticipate harm from an otherwise open and obvious danger is a
relevant inquiry under breach, not duty. 27
To summarize, a land possessor owes a “duty to exercise reasonable care to protect
invitees from an unreasonable risk of harm caused by a dangerous condition of the land.”
Williams, 429 Mich at 499. If the plaintiff establishes that the land possessor owed plaintiff
26
In the dissent’s view, the special-aspects test in its current form is entirely consistent
with the Second Restatement’s anticipation standard, but this, as we have explained, is
inaccurate. The dissent’s “proper approach,” therefore, would require changing the law,
not merely following it as it is.
27
Likewise, the dissent overstates the impact of this opinion on the question of
foreseeability. By reaffirming the traditional duty owed to an invitee, we also reaffirm that
all the factors used to assess duty remain relevant: “(1) foreseeability of the harm, (2)
degree of certainty of injury, (3) closeness of connection between the conduct and injury,
(4) moral blame attached to the conduct, (5) policy of preventing future harm, and (6) the
burdens and consequences of imposing a duty and the resulting liability for breach.”
Rowland, 509 Mich 992. Therefore, foreseeability is still a relevant inquiry; i.e., if it is
foreseeable for an invitee to confront a hazard on the land, despite its open and obvious
nature, a landowner may owe a duty. Indeed, if a hazard is open and obvious, it should be
more foreseeable for a defendant to notice the hazard, anticipate the danger it would cause
to an invitee, and exercise reasonable care to remove or repair the danger.
43
a duty, the next step in the inquiry is whether there was a breach of that duty. 28 Our decision
does not alter the standard of reasonable care owed to an invitee, meaning that it’s not
necessary for land possessors to heed the dissent’s advice to “immediately . . . rectif[y]”
hazards on their property to avoid liability. Rather, as has always been true, a land
possessor need only exercise reasonable care under the circumstances. As part of the
breach inquiry, the fact-finder may consider, among other things, whether the condition
was open and obvious and whether, despite its open and obvious nature, the land possessor
should have anticipated harm to the invitee. If breach is shown, as well as causation and
harm, then the jury should consider the plaintiff’s comparative fault and reduce the
plaintiff’s damages accordingly. A determination of the plaintiff’s comparative fault may
also require consideration of the open and obvious nature of the hazard and the plaintiff’s
choice to confront it.
V. APPLICATION
A. KANDIL-ELSAYED v F & E OIL, INC
We hold that under the framework announced today, questions of material fact
remain as to whether the defendant breached its duty. Therefore, the decision granting
summary disposition to the defendant is reversed, and the case is remanded for further
proceedings. Here, the central facts presented to the court, which are not in dispute,
revealed that the plaintiff had stopped for gas on a snowy day and walked across snow-
and-ice-covered ground to pay inside. She slipped and fell on the snow. At the time of the
28
Whether a duty is breached will generally require consideration of various factual
questions properly resolved by a jury. However, if there are no genuine issues of material
fact remaining, a court may properly grant summary disposition under MCR 2.116(C)(10).
44
accident, the roads were still snow-covered, although the plaintiff could not recall when it
had started snowing or whether the snow had stopped.
It is undisputed that the plaintiff was an invitee, and therefore the defendant owed
“a duty to exercise reasonable care to protect [her] from an unreasonable risk of harm
caused by a dangerous condition of the land.” Williams, 429 Mich at 499. Long before
Lugo, this Court held that a land possessor owes a duty “to use reasonable care to protect
against hazards arising from natural accumulation of ice and snow.” Quinlivan, 395 Mich
at 248. The Quinlivan Court applied the same general duty standard we employ today to
the specific condition of ice and snow, explaining that such a duty “will require that
reasonable measures be taken within a reasonable time after an accumulation of ice and
snow to diminish the hazard of the injury to the invitee.” Id. at 261. Applying Quinlivan,
we hold that the defendant owed a duty to the plaintiff to take reasonable care to protect
against the hazards of the natural accumulation of ice and snow on the property. 29
Next, we must ask whether the defendant breached the duty owed to the plaintiff.
We conclude that questions of fact remain as to whether the defendant’s failure to address
the ice and snow in the parking lot was reasonable. The factual record does not make clear
when it began snowing or whether it had stopped snowing when the plaintiff was injured.
Indeed, under Lugo, such factual development would have been futile where the open and
obvious danger doctrine eliminated the land possessor’s duty. Therefore, it is impossible
to know at this stage whether the defendant took “reasonable measures . . . within a
29
The dissent suggests that “[a]fter (or perhaps even during) every snowstorm, property
owners and possessors must now find a way to shovel, salt, and clear their properties of
snow and ice” or be subject to civil liability. Only a distorted reading of this opinion could
support such a conclusion.
45
reasonable time after an accumulation of ice and snow” to reduce the hazard. Id. In
addition, questions of fact remain whether the ice and snow were open and obvious, i.e.,
“whether it is reasonable to expect that an average person with ordinary intelligence would
have discovered it upon casual inspection,” Hoffner, 492 Mich at 461, and if so, whether
the defendant should have anticipated that an invitee would be harmed by the condition.
If this case proceeds to trial and a jury concluded that the defendant breached its
duty, the jury may reduce the plaintiff’s damages if it concludes that the danger was open
and obvious and the plaintiff’s decision to confront it was negligent. Here, the plaintiff’s
own testimony about her clear ability to see the snow is relevant, as is the fact that she
stated it was well lit at the time. The prevalence of wintry conditions in Michigan more
generally is also relevant.
Because several questions of fact remain, we conclude there is insufficient evidence
before us to decide whether the defendant breached its duty as a matter of law. Therefore,
we reverse the judgment of the Court of Appeals and remand the case to the trial court for
further proceedings.
B. PINSKY v KROGER CO OF MICH
Like in Kandil-Elsayed, we hold that questions of fact remain as to whether the
defendant breached its duty to the plaintiff. Therefore, we reverse the judgment of the
Court of Appeals and remand for further proceedings. The evidence presented shows that
the plaintiff, while walking through a grocery store checkout lane toward the store’s aisles,
tripped over a thin cable and fell. The cable was strung between an adjoining, closed
checkout lane and a two-tier metal display basket with a large poster fastened to the top.
46
The parties disputed how low the cable was strung at the time of the accident. The plaintiff
testified that she saw the basket, but not the cable, and that just before she tripped, she was
“looking ahead into the store.”
Just as in Kandil-Elsayed, it is undisputed that the plaintiff was an invitee and that
the defendant therefore owed her a “duty to exercise reasonable care to protect [her] from
an unreasonable risk of harm caused by a dangerous condition of the land.” Williams, 429
Mich at 499. We have previously held that an obstruction in a checkout lane, like the two-
tier basket here, constitutes a dangerous condition. See Clark v Kmart Corp, 465 Mich
416, 417; 634 NW2d 347 (2001) (holding that “several loose grapes . . . scattered on the
floor” of a checkout lane constituted a dangerous condition). Here, viewing the evidence
in a light most favorable to the plaintiffs, we conclude that the defendant owed a duty to
protect the plaintiff from the unreasonable risk of harm caused by a dangerous obstruction
in the checkout lane.
Next, we must decide whether the defendant breached its duty. We conclude that
because questions of fact remain as to breach, summary disposition is unwarranted at this
time. The evidence presented at this stage in the proceedings does not establish how low
the cable was strung at the time of the accident. The height of the cable is relevant to
whether it was open and obvious—i.e., whether “it is reasonable to expect that an average
person with ordinary intelligence would have discovered it upon casual inspection.”
Hoffner, 492 Mich at 461. A thin white cable strung at ankle height would be much less
visible to an “average person with ordinary intelligence” than, say, a cable strung at waist
height. Indeed, given the dissent’s significantly different interpretation of the factual
record here, it is clear that reasonable minds could differ as to whether this hazard was
47
open and obvious. Moreover, choosing to block off a checkout lane with a thin cable placed
low may present a situation in which the defendant should have “anticipate[d] the harm”
despite the open and obvious nature of the cable. Therefore, questions of fact remain
regarding whether the defendant breached its duty to guard against dangerous conditions
on the land that pose an unreasonable risk of harm to invitees. Accordingly, we reverse
the decision granting summary disposition to the defendant and remand for further
proceedings. 30
VI. CONCLUSION
We conclude that Lugo was wrongly decided and must be overruled. We hold, in
accordance with decades of precedent prior to Lugo, that a land possessor owes “a duty to
exercise reasonable care to protect invitees from an unreasonable risk of harm caused by a
dangerous condition of the land.” Williams, 429 Mich at 499. Lugo’s holding that the open
and obvious danger doctrine is relevant to the defendant’s duty is overruled. While the
open and obvious nature of a condition, assessed by asking whether “it is reasonable to
expect that an average person with ordinary intelligence would have discovered it upon
causal inspection,” remains relevant, it is a question of breach and comparative fault, not
duty. Hoffner, 492 Mich at 461. Lastly, the special-aspects doctrine is overruled to the
extent it is inconsistent with the Second Restatement’s anticipation standard. We hold that
instead, when assessing whether a defendant has breached their duty to take reasonable
30
Similarly to Kandil-Elsayed, if this case proceeded to trial, a jury that found the
defendant liable could also reduce any awarded damages if it found that the plaintiff was
comparatively at fault. Part of this inquiry would also necessarily involve consideration of
the open and obvious nature of the condition and the plaintiff’s choice to confront it.
48
care to protect invitees from an open and obvious danger, courts should ask whether the
possessor “should anticipate the harm.” 2 Restatement Torts, 2d, § 343A.
Although we conclude that the defendants in both Kandil-Elsayed and Pinsky owed
a duty to the respective injured plaintiffs, there are genuine issues of fact remaining that
are relevant to whether the defendants breached that duty and if so, whether the plaintiffs
were comparatively at fault and should have their damages reduced. Therefore, we reverse
the judgment of the Court of Appeals in both cases and remand for further proceedings.
We do not retain jurisdiction.
Elizabeth T. Clement
Richard H. Bernstein
Megan K. Cavanagh
Elizabeth M. Welch
Kyra H. Bolden
49
STATE OF MICHIGAN
SUPREME COURT
AHLAM KANDIL-ELSAYED,
Plaintiff-Appellant,
v No. 162907
F & E OIL, INC.,
Defendant-Appellee.
RENEE PINSKY and DAVID PINSKY,
Plaintiffs-Appellants,
v No. 163430
KROGER CO. OF MICHIGAN,
Defendant-Appellee.
BERNSTEIN, J. (concurring).
I concur fully with the majority opinion but write separately to highlight a
complication in this state’s premises-liability jurisprudence that I believe merits future
scrutiny—how the open and obvious danger test ought to apply to disabled communities,
particularly those who have vision impairments.
To start, I concur in today’s holding that a premises-liability cause of action employs
an objective standard to determine whether a danger is open and obvious. That is to say,
the inquiry considers the condition of the land. I also recognize that previous courts have
often misconstrued this test by considering a plaintiff’s subjective response to the land.
However, it goes without saying that certain conditions of the land that may be appreciated
by a reasonably prudent person may not be appreciated by a reasonably prudent blind—or
otherwise disabled—person. In my judgment, a flaw of the reasonably prudent person
standard, as it has developed in our state’s jurisprudence, is that it suggests that a
“reasonably prudent person” must be someone without vision impairments. See, e.g.,
Garrett v WS Butterfield Theatres, 261 Mich 262, 263-264; 246 NW 57 (1933) (holding
that “[d]ifferent floor levels in private and public buildings, connected by steps, are so
common that the possibility of their presence is anticipated by prudent persons. The
construction is not negligent unless, by its character, location, or surrounding conditions, a
reasonably prudent person would not be likely to expect a step or see it”) (emphasis added);
Bertrand v Alan Ford, Inc, 449 Mich 606, 616; 537 NW2d 185 (1995) (explaining that
“because steps are the type of everyday occurrence that people encounter, under most
circumstances, a reasonably prudent person will look where he is going, will observe the
steps, and will take appropriate care for his own safety”) (emphasis added).
However, in the instance of disability, I believe that the objective characteristics of
a plaintiff are both relevant and fair to consider in addition to the condition of the land. Yet
this Court has never fully explored how the open and obvious danger doctrine should be
applied to people with disabilities. See Sidorowicz v Chicken Shack, Inc, 469 Mich 912
(2003) (CAVANAGH, J., dissenting) (“[W]hat is open and obvious to the sighted is not
necessarily open and obvious to the blind . . . . Leave should be granted to explore how
this Court’s explanation of the open and obvious doctrine in Lugo v Ameritech Corp, Inc,
464 Mich 512; 692 NW2d 384 (2001), relates to those with disabilities.”). Instead, we
have previously explained that premises-liability actions have not allowed the fact-finder
2
to consider a plaintiff’s objective characteristics. Mann v Shusteric Enterprises, Inc, 470
Mich 320, 329; 683 NW2d 573 (2004) (in holding that a visibly intoxicated person is held
to the same standard of reasonable conduct as a sober person, this Court explained that “in
a premises liability action, the fact-finder must consider the condition of the premises, not
the condition of the plaintiff”) (quotation marks and citation omitted). In the absence of
clear direction from this Court, several unpublished Court of Appeals decisions have
concluded that a plaintiff’s disabilities do not alter the open and obvious danger analysis.
See Sidorowicz v Chicken Shack, Inc, unpublished per curiam opinion of the Court of
Appeals, issued January 17, 2003 (Docket No. 239627), p 3 (holding that a plaintiff’s
blindness was irrelevant to the application of the open and obvious danger doctrine); Cox
v America Multi-Cinema, Inc, unpublished per curiam opinion of the Court of Appeals,
issued November 10, 2022 (Docket No. 357588), p 7 (recognizing the plaintiffs’ “claim
that [the invitee] did not see the steps because of her vision issues, not because they could
not be seen by an average person of ordinary intelligence,” and concluding that “[a]lthough
[the invitee’s] subjective characteristics may well have impaired her ability to see the steps,
the law is clear that openness and obviousness is to be determined by reference to an
objective standard, and the trial court was not at liberty to disregard that standard”). As
such, this state’s caselaw has placed disabled people at a disadvantage compared to their
nondisabled counterparts. See Bragan v Symanzik, 263 Mich App 324, 333; 687 NW2d
881 (2004) (“Taken to its logical conclusion, the cases that followed Lugo disallowed
liability to individuals laden with . . . physical disabilities[.]”). 1
1
In contrast to our approach, some of our sister states have recognized that vision
impairments are properly considered under an open and obvious danger analysis. For
instance, Louisiana has recognized that “a completely blind man cannot be held to the
3
It is no secret that Michigan’s premises-liability jurisprudence has been
unnecessarily complicated for far too long. For this reason, it has been quite challenging
for courts to engage with the many specific and significant questions that arise from this
doctrine. Today, this Court attempts to steer our premises-liability jurisprudence onto a
straighter path. However, I remain skeptical that this opinion will place all plaintiffs on an
equal playing field. I believe that a jurisprudentially significant question exists as to
whether a plaintiff’s disability is a relevant factor in an open and obvious danger analysis.
My hope is that, as this Court continues to shift premises-liability jurisprudence to more
equitable grounds, we soon take up this salient question and provide clarity for the litigants
of our state.
Richard H. Bernstein
‘open and obvious’ legal concept because he is completely blind and can neither see nor
discern an open and obvious hazard.” Hams v Boh Bros Constr Co, LLC, 322 So 3d 397,
403-404; 2020-0248 (La App 4 Cir 5/26/21) (citation and quotation marks omitted). The
Supreme Court of Montana has recognized that “blindness is one of the facts which the
jury must consider in determining whether [a plaintiff] acted with the care which a
reasonably prudent person would ordinarily exercise when burdened with such an
infirmity.” Gohn v Butte Hotel Co, 88 Mont 599, 610; 295 P 262 (1931). The court also
held that “[w]hile a blind person must take his infirmity into consideration when moving
about and must do more,” the duty to use greater care is mutual between the premises
owner and the invitee. Id. at 611 (citation omitted). Delaware courts have also recognized
that “what is an open and obvious condition to a blind person depends upon what, if any,
tools or aids the blind person utilizes to discover the condition, and the degree to which
such aids are used.” Coker v McDonald’s Corp, 537 A2d 549, 551 (Del Super, 1987). The
foregoing cases endorse a commonsense concept—visual impairments necessarily alter the
open and obvious danger analysis.
4
STATE OF MICHIGAN
SUPREME COURT
AHLAM KANDIL-ELSAYED,
Plaintiff-Appellant,
v No. 162907
F & E OIL, INC.,
Defendant-Appellee.
RENEE PINSKY and DAVID PINSKY,
Plaintiffs-Appellants,
v No. 163430
KROGER CO. OF MICHIGAN,
Defendant-Appellee.
ZAHRA, J. (dissenting).
I join Justice VIVIANO’s dissenting opinion, particularly his conclusion that
Restatement Torts, 2d, § 343A constitutes “the appropriate standard” for analyzing the duty
element of a negligence action based on premises liability and that “the ‘special aspects’
test” to determine whether a danger that is open and obvious nevertheless gives rise to a
duty “is simply an application of the Restatement.” I write to clarify that this Court is not
required to adopt any aspect of any version of the Restatement of Torts. The American
Law Institute’s Restatements of the Law were originally secondary sources of law that
were merely intended to summarize particular areas of the common law. More recently,
however, the American Law Institute has departed from simply providing compilations of
the law and instead advocates for changes in the law. 1 In fact, it has been said that the
American Law Institute
is no longer merely restating the common law. Rather it is promulgating and
advocating for legal dogmas that exist well outside of the legal mainstream,
or where there is a lack of clear consensus in state courts. In a growing
number of cases, the [American Law Institute] is purporting to “restate” law
that has never been clearly stated in the first place.[2]
To be clear, although this Court has never adopted the Second Restatement of Torts
in full, 3 this Court has historically looked to the Second Restatement to provide context to
the common law of torts in Michigan. But this Court’s decision to afford some deference
to the Second Restatement in our premises-liability law, while not required, is
understandable, because that Restatement is more in line with a traditional treatise in that
it constitutes a compilation and survey of then-existing law that could be considered by
state courts in the interpretation of their common law. In contrast, the Third Restatement
at times resembles an essay on where its authors think the law should be heading. 4 Unlike
1
See American Tort Reform Association, From Legal Scholarship to Legal Advocacy: The
Evolving Role of the American Law Institute in State Court Jurisprudence (April 28, 2022),
available at (accessed
July 24, 2023).
2
Id. at 3.
3
See Hoffner v Lanctoe, 492 Mich 450, 478-479; 821 NW2d 88 (2012) (“[T]his Court has
never adopted wholesale the Restatement approach. While this Court has looked to the
Restatement for guidance, it is our caselaw, as developed through the years, that provides
the rule of law for this State.”).
4
See From Legal Scholarship to Legal Advocacy, pp 3-5; FindLaw, The 3rd Restatement
of Torts—Shaping the Future of Products Liability Law (last reviewed May 26, 2016)
(accessed July 22, 2023); post at 28 n 15 (VIVIANO, J.,
dissenting).
5
As this Court explained in Price v High Pointe Oil Co, Inc, 493 Mich 238, 258; 828
NW2d 660 (2013), “ ‘[t]his Court is the principal steward of Michigan’s common law, and
it is ‘axiomatic that our courts have the constitutional authority to change the common law
in the proper case[.]’ ” (Citations omitted.)
6
“The common law is always a work in progress and typically develops incrementally, i.e.,
gradually evolving as individual disputes are decided and existing common-law rules are
considered and sometimes adapted to current needs in light of changing times and
circumstances.” Id. at 243. “[A]lteration of the common law should be approached
cautiously with the fullest consideration of public policy and should not occur through
sudden departure from longstanding legal rules.” Id. at 259. A prudential principle guiding
our common-law jurisprudence is the attempt to “avoid capricious departures from bedrock
legal rules as such tectonic shifts might produce unforeseen and undesirable
consequences.” Id. (quotation marks and citations omitted).
7
Livings Estate v Sage’s Investment Group, LLC, 507 Mich 328, 369; 968 NW2d 397
(2021) (ZAHRA, J., dissenting).
3
Restatement. Rather than radically alter Michigan’s common law by rejecting decades of
this Court’s premises-liability jurisprudence like the majority opinion does, Justice
VIVIANO reasonably reconciles our caselaw with those portions of the Restatement on
which we relied. That is, the special-aspects exception from the general rule that open and
obvious dangers do not give rise to liability, which this Court set forth in Lugo v Ameritech
Corp, Inc, 8 can be understood as consistent with § 343A of the Second Restatement in that
even an open and obvious condition remains unreasonable, and thus a special aspect, where
“the possessor should anticipate the harm” 9 from that condition despite its obviousness.
The “unreasonably dangerous” and “effectively unavoidable” components of our special-
aspects exception are best understood as two examples of where harm should be anticipated
despite the open and obvious nature of a condition, although they are not necessarily the
sole examples of such special aspects. This interpretation, while faithful to our caselaw
and seemingly consistent with the intent of this Court in developing the special-aspects
exception, also helps to alleviate concern that the open and obvious danger doctrine has
been applied too narrowly. 10
Moreover, this interpretation constitutes the exact type of cautious clarification that
is required of this Court in shaping our common law. A majority of this Court acts abruptly
8
Lugo v Ameritech Corp, Inc, 464 Mich 512, 514; 629 NW2d 384 (2001).
9
Second Restatement, § 343A(1), p 218.
10
Lower courts have frequently applied the “30-foot pit” and “standing water” illustrations
of a special aspect that this Court set forth in Lugo, 464 Mich at 518-520. While those
illustrations were surely intended to represent examples of a special aspect, I doubt that the
Court in Lugo intended that courts would simply compare the pertinent condition on the
land to a 30-foot pit in deciding whether it possesses a special aspect, which is how the
exception has at times been applied.
4
rather than incrementally and cautiously in discarding the Second Restatement test. Worse,
notably absent from the majority opinion is any explanation that whatever portion of the
Third Restatement adopted by the Court today is consistent with the mores and policies of
Michigan, such that it should be adopted. Justice VIVIANO appropriately highlights the
likely undesirable consequences that will result from the majority opinion’s “tectonic shift”
in our premises-liability law. 11
For these same reasons, the majority’s stare decisis analysis is unpersuasive. The
majority opinion engages in a self-serving application of the Robinson v Detroit 12 stare
decisis factors, piling together citations of dissenting opinions to demonstrate that the law
has not been workable. This is folly. By characterizing the open and obvious danger
doctrine as part of the duty element, precluding liability where the disputed condition is
open and obvious and lacking a special aspect, Lugo and Hoffner v Lanctoe 13 have set forth
a rule that is predictable and exceedingly workable. And it is a framework that has
undoubtedly been relied on by property owners for decades. A majority of this Court
simply does not like the current Second Restatement test, but that is not a sufficient basis
to toss aside decades of precedent. “[W]hen it comes to alteration of the common law, the
traditional rule must prevail absent compelling reasons for change. This approach ensures
11
Price, 493 Mich at 259 (quotation marks and citations omitted).
12
Robinson v Detroit, 462 Mich 439; 613 NW2d 307 (2000).
13
Hoffner, 492 Mich 450.
5
continuity and stability in the law.” 14 The majority has failed to provide compelling
reasons for such a dramatic change in our premises-liability law.
I also write separately to emphasize that, even under this Second Restatement
approach, our open and obvious danger doctrine, including the special-aspects exception,
should remain focused on the objective nature of the condition of the land. As I stated in
Livings, “in applying the special-aspects doctrine, this Court has consistently and narrowly
focused on the objective characteristics of the condition on the premises itself, not on the
characteristics and considerations unique to the particular plaintiff encountering that
condition.” 15 This is the proper focus because “[t]he nature of a readily observable
condition does not change on the basis of a plaintiff’s personal obligations or
responsibilities[.]” 16 To ensure predictability in the law, it is important that a property
owner need only assess “the potential harms of an open and obvious risk from a single
14
Price, 493 Mich at 260.
15
Livings, 507 Mich at 364. See Lugo, 464 Mich at 523-524 (“[I]t is important for courts
in deciding summary disposition motions by premises possessors in ‘open and obvious’
cases to focus on the objective nature of the condition of the premises at issue, not on the
subjective degree of care used by the plaintiff.”); Hoffner, 492 Mich at 471 (“[A]n invitee’s
subjective need or desire” to enter a premises does not “affect[] an invitee’s choice whether
to confront an obvious hazard. To conclude otherwise would impermissibly shift the focus
from an objective examination of the premises to an examination of the subjective beliefs
of the invitee.”); Perkoviq v Delcor Homes–Lake Shore Pointe Ltd, 466 Mich 11, 19-20;
643 NW2d 212 (2002) (“In short, plaintiff has presented no evidence that the condition of
the roof was unreasonably dangerous for purposes of premises liability. The mere
presence of ice, snow, or frost on a sloped rooftop generally does not create an
unreasonably dangerous condition.”) (emphasis added); Mann v Shusteric Enterprises, 470
Mich 320, 329; 683 NW2d 573 (2004), quoting Lugo, 464 Mich at 518 n 2 (“[I]n a premises
liability action, the fact-finder must consider the ‘condition of the premises,’ not the
condition of the plaintiff.”).
16
Livings, 507 Mich at 364.
6
objective standard, focused on the condition of the premises itself rather than from a
potentially limitless number of standards defined by the individual circumstances and
inclinations of every Michigan citizen.” 17
I disagreed with the Court’s adoption of the specific illustration at issue in Livings, 18
because that illustration “is concerned with an individual plaintiff’s ability or desire to
avoid a dangerous condition” rather than the characteristics of the supposed dangerous
condition itself. 19 For the same reasons, I would decline to adopt any other portion of the
Second Restatement that likewise focuses on the subjective characteristics of the person
encountering a condition on the land. But the clarification of the special-aspects exception
set forth by Justice VIVIANO does not require the consideration of subjective characteristics
17
Id. at 365.
18
Livings narrowly held that “an open and obvious condition can be deemed effectively
unavoidable when a plaintiff must confront it to enter his or her place of employment for
work purposes.” Livings, 507 Mich at 333. In so holding, a majority of this Court adopted
Illustration 5 to comment f of § 343A of the Second Restatement. Comment f explains that
a reasonable person might be expected to confront an obvious hazard when “the advantages
of doing so would outweigh the apparent risk,” Second Restatement, p 220, and Illustration
5 to that comment states as follows:
A owns an office building, in which he rents an office for business
purposes to B. The only approach to the office is over a slippery waxed
stairway, whose condition is visible and quite obvious. C, employed by B in
the office, uses the stairway on her way to work, slips on it, and is injured.
Her only alternative to taking the risk was to forgo her employment. A is
subject to liability to C. [2 Restatement Torts, 2d, § 343A, comment f,
illustration 5, p 221.]
Contrary to the majority opinion’s suggestion, I simply dissented from the Court’s
application of this illustration in Livings. I did not reject any reliance on § 343A of the
Second Restatement.
19
Livings, 507 Mich at 370.
7
personal to a particular plaintiff. Indeed, he appropriately notes that, unlike the
contributory-negligence defense, “[a]t issue is ‘the nature of the dangerous condition itself,
as opposed to the nature of the plaintiff’s conduct in encountering it.’ ” 20 In my view, in
applying § 343A of the Second Restatement, the inquiry should continue to be whether a
premises possessor should reasonably anticipate harm based on the objective
characteristics of a known or obvious danger rather than whether harm should be
anticipated based on some characteristic unique to a particular plaintiff.
In sum, I agree with Justice VIVIANO’s interpretation of our longstanding special-
aspects exception. I would continue to focus on the objective nature of the pertinent
condition on the premises when applying the open and obvious danger doctrine and its
special-aspects exception. Moreover, the majority opinion fails to persuasively show why
jurisprudential principles of stare decisis should be ignored and decades of caselaw
disregarded. I fully echo Justice VIVIANO’s concerns that the majority opinion’s
dismantling of our duty requirement will expand liability and destabilize our negligence
law. For these reasons, I dissent.
Brian K. Zahra
20
Post at 19 (VIVIANO, J., dissenting) (citation omitted).
8
STATE OF MICHIGAN
SUPREME COURT
AHLAM KANDIL-ELSAYED,
Plaintiff-Appellant,
v No. 162907
F & E OIL, INC.,
Defendant-Appellee.
RENEE PINSKY and DAVID PINSKY,
Plaintiffs-Appellants,
v No. 163430
KROGER CO. OF MICHIGAN,
Defendant-Appellee.
VIVIANO, J. (dissenting).
The majority’s unprecedented decision sweeps away a commonsense rule that has
served Michiganders since the nineteenth century. The open and obvious doctrine is
premised on the straightforward notion that, as a general rule, those who possess real
property need not rectify hazards on their property that are easy for others to see and avoid,
such as plainly visible snow or ice. Given the nature of such conditions, it was rightly
thought that those who enter the property of another would detect obvious hazards and
avoid them if possible. After today, however, all those who possess real property in
Michigan can no longer rely on this commonsense notion. Instead, obvious hazards on the
land—including snow and ice—must immediately be rectified by property possessors or
they will be subject to civil liability. After (or perhaps even during) every snowstorm,
property owners and possessors must now find a way to shovel, salt, and clear their
properties of snow and ice, lest they be sued by individuals who choose to confront these
clearly dangerous conditions.
This transformation of our premises liability law practically does away with any
meaningful conception of duty, a core element in these cases and in negligence actions
more generally. And the majority does this by relying on flawed rationales, including an
incomplete and mistaken reading of our caselaw. I would instead confirm what we have
said time and again: §§ 343 and 343A of the Second Restatement of Torts establish the test
for our open and obvious doctrine. While our recent caselaw discusses special aspects as
exceptions to the general “no duty” rule for open and obvious hazards, the special aspects
are best understood as examples of this general standard from the Second Restatement.
Under that standard—or nearly any reasonable standard—plaintiffs in the present cases
would lose. It is only by the majority’s fundamental recasting of our premises liability law
that life could be breathed into these otherwise moribund cases. For these reasons, I
strongly dissent.
I. DUTY
These cases involve the first and perhaps most fundamental element of a negligence
action: a duty owed by the defendant to the plaintiff. Without such a duty, even negligent
conduct cannot give rise to liability. See Clark v Dalman, 379 Mich 251, 260-261; 150
NW2d 755 (1967) (“Actionable negligence presupposes the existence of a legal
2
relationship between parties by which the injured party is owed a duty by the other, and
such duty must be imposed by law.”); Esper & Keating, Abusing “Duty”, 79 S Cal L Rev
265, 265-266 (2006) (“As the first element of a plaintiff’s case[,] . . . duty seems to stand
out even among the elements of the prima facie case. If a plaintiff cannot establish that the
defendant was under a duty to exercise at least some care to ensure that its actions did not
impose an unreasonable risk of injury on the plaintiff, then we need not ask” about any of
the other elements.). Therefore, to succeed on a negligence claim, including one based on
premises liability, “plaintiffs must establish that defendants owed them a duty of care. . . .
The duty element represents the legal obligation that arises from the relationship between
the parties.” Livings Estate v Sage’s Investment Group, LLC, 507 Mich 328, 337; 968
NW2d 397 (2021). Generally, however, more than a relationship is necessary to impose a
duty—courts must consider various factors, including “the relationship of the parties, the
foreseeability of the harm, the burden that would be imposed on the defendant, and the
nature of the risk presented.” In re Certified Question from the Fourteenth Dist Court of
Appeals of Texas, 479 Mich 498, 508; 740 NW2d 206 (2007). We have, in fact, said that
the harm must be foreseeable in order for a duty to be found. Id. at 507-508.
In so holding, we followed at least a century’s worth of precedent, including the
principles set forth in the seminal case of Palsgraf v Long Island R Co, 248 NY 339; 162
NE 99 (1928). There, railroad employees jostled a passenger while trying to help him
board a moving train, causing him to drop his unmarked package, which contained
fireworks. Id. at 340-341. The fireworks exploded, causing a scale to tip over onto the
plaintiff, who was about 10 feet away on the platform. Id. at 341. Writing for the majority,
then Chief Judge Cardozo concluded that the defendant railroad company owed no duty to
3
the plaintiff because any harm to the plaintiff resulting from negligence the employees
might have committed toward the boarding passenger was unforeseeable. Id. at 344-345
(“The risk reasonably to be perceived defines the duty to be obeyed, and risk imports
relation; it is risk to another or to others within the range of apprehension . . . .”). In other
words, the scope of the duty was limited to foreseeable harms.
This has been blackletter law across the country at least since Palsgraf, if not before.
See Cardi, The Hidden Legacy of Palsgraf: Modern Duty Law in a Microcosm, 91 BU L
Rev 1873, 1884 (2011) (noting that out of the 43 jurisdictions with a multifactor duty test
like ours, only five appear not to consider foreseeability, while the rest do and “often cite[]
[foreseeability] as the most important factor in duty”); see also 2 Restatement Torts, 2d,
§ 281, comment c, pp 4-5 (“In order for the actor to be negligent with respect to the other,
his conduct must create a recognizable risk of harm to the other individually, or to a class
of persons. . . .”); id., comment g, p 7 (“In determining whether a particular harm or hazard
is within the scope of the risk created by the actor’s conduct, ‘risk’ must be understood in
the broader sense of including all of those hazards and consequences which are to be
regarded as normal and ordinary.”).
II. OPEN AND OBVIOUS DANGERS
In this context, the open and obvious doctrine fits nicely, as it reflects the general
lack of any foreseeable risks of harm from open and obvious hazards. To invitees such as
plaintiffs here, we have determined that “a possessor of land owes a duty to exercise
reasonable care to protect invitees from dangerous conditions on the land.” Livings, 507
Mich at 337. This duty has been based, in part, on the possessor’s superior knowledge of
4
the property and potential defects. See 2 Premises Liability 3d (Sept 2022 ed), § 38:11;
James, Jr., Tort Liability of Occupiers of Land: Duties Owed to Licensees and Invitees, 63
Yale L J 605, 627 n 130 (1954). But we have long held that “this duty does not extend to
dangerous conditions that are open and obvious.” Livings, 507 Mich at 337, citing Riddle
v McLouth Steel Prod Corp, 440 Mich 85, 95-96; 485 NW2d 676 (1992). This is the open
and obvious doctrine.
A primary rationale for the doctrine is that the “the dangers are known to the invitee
or are so obvious that the invitee might reasonably be expected to discover them . . . .”
Riddle, 440 Mich at 96. In other words, because the invitee should find the hazards, it is
not foreseeable that he or she will be harmed by them. 1 In addition, when faced with an
open or obvious danger, the defendant possessing the land is not generally in any better
position to know of the hazard than is the plaintiff invitee. See Kentucky River Med Ctr v
McIntosh, 319 SW3d 385, 390 (Ky, 2010) (noting the common view that there is no duty
when a danger is open and obvious because “the basis for placing a duty on the land
possessor—his superior knowledge—does not exist”).
1
See Bruns v Centralia, 2014 IL 116998, ¶ 19; 21 NE3d 684 (2014) (“Where the condition
is open and obvious, the foreseeability of harm and the likelihood of injury will be slight,
thus weighing against the imposition of a duty.”); Lugo v Ameritech Corp, Inc, 464 Mich
512, 524-525; 629 NW2d 384 (2001) (noting that our approach was consistent with the
view that a possessor is liable for injuries resulting from open and obvious hazards only if
the possessor should nevertheless “ ‘anticipate the harm’ ”) (citation omitted); Ward v K
Mart Corp, 136 Ill 2d 132, 143-144; 554 NE2d 223 (1990) (noting that one of the “only
sound explanation[s] for the ‘open and obvious’ rule must be . . . that the defendant in the
exercise of reasonable care would not anticipate the plaintiff would fail to notice the
condition, appreciate the risk, and avoid it”); 62 Am Jur 2d, Premises Liability, § 170,
p 545 (explaining that courts find the obviousness of such hazards to be ample warning of
their danger, thus relieving land possessors from “liability for failing to foresee or
anticipate that such hazard will cause injury to someone”).
5
A. EARLY CASELAW AND THE RESTATEMENTS
Despite the open and obvious doctrine’s clear doctrinal fit within our jurisprudence
on the duty element, the majority suggests that the doctrine stemmed from the now-
discarded rule of contributory negligence and that the doctrine only recently, and fitfully,
came to be seen as part of the duty element. Under a contributory negligence regime, a
plaintiff was barred from recovering if his or her own negligence contributed to the injury.
See Nezworski v Mazanec, 301 Mich 43, 62; 2 NW2d 912 (1942). The majority essentially
reasons, in part, that because the open and obvious doctrine can be thought of as relating
to contributory negligence, and because both this Court and the Legislature have replaced
that rule with a comparative negligence regime under which a plaintiff is not automatically
barred from recovery by his or her negligence, it follows that the open and obvious doctrine
must also be discarded.
The majority’s characterization of the caselaw is incomplete at best. To be sure, in
our very early caselaw the obviousness of a hazard was sometimes discussed in relation to
the plaintiff’s contributory negligence. For example, as the majority discusses, we held in
Goodman v Theatre Parking, Inc, 286 Mich 80, 82-83; 281 NW 545 (1938), that the
obviousness of the hazard leading to injury meant that the plaintiff was negligent in
confronting it and that recovery was thus barred by contributory negligence. Sometimes
we suggested that the obviousness of the danger meant that the defendant was not
negligent, i.e., did not breach the relevant standard of care, in failing to warn a plaintiff of
it. See, e.g., Hollingshead v Detroit, GH & M R Co, 181 Mich 547; 148 NW 171 (1914).
But we also often treated the obviousness of the hazard as applicable to the duty
element—and to foreseeability in particular. In 1882, Justice COOLEY wrote for the Court
6
that “[e]very man who expressly or by implication invites others to come upon his
premises . . . assumes to all who accept the invitation the duty to warn them of any danger
in coming, which he knows of or ought to know of, and of which they are not aware.”
Samuelson v Cleveland Iron Mining Co, 49 Mich 164, 170; 13 NW 499 (1882) (emphasis
added). In other words, the defendant’s duty did not extend to hazards of which the invitee
was aware.
Similarly, in Batterson v Chicago & Grand Trunk R Co, 53 Mich 125; 18 NW 584
(1884), we suggested the obviousness of a hazard related to the defendant’s duty of care. 2
There, a railroad worker was injured when standing on unballasted railroad ties; he sued
the railway and claimed that the injury would have been prevented if the track had been
graded and ballasted. Id. at 126-127. We noted our earlier conclusion in the case “that
such an open and obvious break in the surface of the ground could not be regarded as
involving the same duty in an employer towards his men, as one which was known to him
[i.e., the employer,] but not likely to be known to them.” Id. at 127. We then stated that
the plaintiff knew of the condition and should have expected the risk it posed. Id. at 129.
Casting the case in terms of duty, we said that the defendant’s duty to the plaintiff
was not to see that he actually did know what the exact condition was at this
point. They had a right to rest on the probability that any one would know
what was generally to be seen by his own observation, or by information
2
Discussions relevant to the open and obvious doctrine appear in various contexts outside
what is now pure premises liability. Today, although the doctrine mostly arises in premises
liability contexts, the obviousness of hazards is relevant in other areas of tort law as well.
See, e.g., Owens v Allis-Chalmers Corp, 414 Mich 413; 326 NW2d 372 (1982) (addressing
the open and obvious doctrine in the context of a products liability claim). Thus, early
caselaw from outside the premises liability context helps illuminate the modern doctrine.
7
from those who were on the spot working with him, and who might fairly be
expected to do their duty. [Id.]
A similar case is Caniff v Blanchard Navigation Co, 66 Mich 638, 639-640; 33 NW
744 (1887), in which a sailor sued a boat owner after falling through an open hatchway.
We stated that “no negligence can be imputed to the defendant in leaving the hatch off
from the hatchway” because the accident arose from the plaintiff’s own carelessness. Id.
at 644. In the dispositive portion of the opinion, however, we indicated that the case came
down to the defendant’s “duty.” We repeated the rule from Samuelson that the defendant’s
duty did not extend to hazards of which the plaintiff was aware. Id. at 647. We then said
that the rule establishing a duty in these circumstances “has no application to a case where
a person who from his experience, through many years, in sailing a vessel, knows that it is
customary to leave the hatchways of vessels open while lying in port, and whom
observation teaches that they are liable to be open rather than closed, and are sources of
danger which he must avoid at his peril.” Id.; see also Walker v Ginsburg, 244 Mich 568,
569; 222 NW 192 (1928) (“That plaintiff might fall, and that the bar might slip were
dangers so obvious that defendants had no duty to warn of them.”).
Thus, while our early caselaw on obvious dangers sometimes referred to
contributory negligence, it also relied on the concept of duty. In a similar manner, the First
and Second Restatements of Torts left the basis for the open and obvious doctrine
somewhat unclear. Neither specifically discussed the underlying theory of the doctrine,
leaving courts to variously relate it to duty, contributory negligence, and even whether the
defendant breached its duty. See 2 Restatement Torts, § 343; 3 2 Restatement Torts, 2d,
3
Section 343 of the First Restatement, pp 938-939, provides:
8
§ 343; 4 see generally Marks, The Limit to Premises Liability for Harms Caused by ‘Known
or Obvious’ Dangers: Will it Trip and Fall Over the Duty-Breach Framework Emerging
A possessor of land is subject to liability for bodily harm caused to
business visitors by a natural or artificial condition thereon if, but only if, he
(a) knows, or by the exercise of reasonable care could discover, the
condition which, if known to him, he should realize as involving an
unreasonable risk to them, and
(b) has no reason to believe that they will discover the condition or
realize the risk involved therein, and
(c) invites or permits them to enter or remain upon the land without
exercising reasonable care
(i) to make the condition reasonably safe, or
(ii) to give a warning adequate to enable them to avoid the harm
without relinquishing any of the services which they are entitled to receive,
if the possessor is a public utility.
4
Section 343 of the Second Restatement, pp 215-216, states:
A possessor of land is subject to liability for physical harm caused to
his invitees by a condition on the land if, but only if, he
(a) knows or by the exercise of reasonable care would discover the
condition, and should realize that it involves an unreasonable risk of harm to
such invitees, and
(b) should expect that they will not discover or realize the danger, or
will fail to protect themselves against it, and
(c) fails to exercise reasonable care to protect them against the danger.
Section 343A of the Second Restatement, p 218, specifically pertains to known or
obvious dangers:
(1) A possessor of land is not liable to his invitees for physical harm
caused to them by any activity or condition on the land whose danger is
known or obvious to them, unless the possessor should anticipate the harm
despite such knowledge or obviousness.
9
in the Restatement (Third) of Torts?, 38 Tex Tech L Rev 1, 27-28 (2005) (“Theories
underlying the First Restatement’s bright-line exemption for known or obvious dangers are
varied, courts couching the invariable result, no liability, sometimes under the rubric of no
duty, sometimes no breach, and sometimes under the old defense doctrines of contributory
negligence or assumption of risk.”); Livings, 507 Mich at 376-377, 381 (CLEMENT, J.,
dissenting) (noting that the Second Restatement did not answer the question whether the
obviousness of a hazard related to the duty element or the breach element and appeared to
be “structured around” the rule of contributory negligence).
Still, a leading treatise concluded that, historically, “ ‘[u]nder the mainstream
theory, . . . the obvious danger rule was not a matter of contributory negligence or assumed
risk.” The Limit to Premises Liability, 38 Tex Tech L Rev at 28, quoting Dobbs & Hayden,
Torts and Compensation: Personal Accountability and Social Responsibility for Injury
(2005), pp 362-363. “ ‘It was instead a no duty rule,’ ” created by the courts on “ ‘the
theory . . . that if the danger was obvious, the invitee could avoid it and thus protect
himself, so that the landowner would foresee no harm.’ ” The Limit to Premises Liability,
38 Tex Tech L Rev at 28, quoting Dobbs & Hayden, pp 362-363. 5
(2) In determining whether the possessor should anticipate harm from
a known or obvious danger, the fact that the invitee is entitled to make use of
public land, or of the facilities of a public utility, is a factor of importance
indicating that the harm should be anticipated.
As the majority explains, unlike the First Restatement, the Second Restatement allows for
liability even for certain open and obvious dangers if the possessor could foresee that an
invitee would nevertheless confront the hazard and be harmed.
5
Although the treatise questioned this rationale, its historical analysis confirms that courts
created the rule as a “no duty” rule.
10
Even to the extent there was some doctrinal confusion about the grounding of the
doctrine, such confusion comes as no great surprise. In a contributory negligence regime,
it did not much matter what the specific doctrinal rationale was: “[b]y any name, a bright-
line rule of nonliability triggered by one finding of fact, knowledge or obviousness,
essentially operates as . . . immunity . . . .” The Limit to Premises Liability, 38 Tex Tech
L Rev at 28. There was no need for a court to specify the exact grounding of the doctrine
because the underlying theories all resulted in dismissal.
Consequently, contrary to the majority’s suggestion, the early caselaw does not
uniformly support the assertion that the doctrine related to the contributory negligence
defense. Instead, as discussed herein, a number of cases lend support for the conclusion
that the open and obvious doctrine relates to the concept of duty.
B. MORE RECENT CASELAW
The majority asserts that the more recent caselaw, applying the Second Restatement,
“has not provided much clarity” as to whether the doctrine applies to the duty or the breach
element. This is simply not true. Consider the prime case cited by the majority, Quinlivan
v Great Atlantic & Pacific Tea Co, Inc, 395 Mich 244; 235 NW2d 732 (1975). The
majority clutches onto dicta in the case while ignoring the actual holding and legal
principles at issue. The case was a typical parking lot slip-and-fall action involving snow
and ice. But rather than dealing with the open and obvious doctrine, it involved a related
but separate principle known as the natural-accumulation-of-ice rule.
The basic rule was that snow and ice were not a defect in the property unless the
possessor’s conduct somehow made the condition worse. See Hutchinson v Ypsilanti, 103
11
Mich 12, 14; 61 NW 279 (1894) (MCGRATH, C.J., concurring); Comment, Expansion of
Landowner Liability through Rejection of the Natural Accumulation Rule, 61 Iowa L Rev
1447, 1447 (1976). It was generally a bright-line rule, like that in the First Restatement, in
cases involving natural accumulations of snow and ice. But it was not a perfect match for
the open and obvious doctrine because it essentially represented a duty “to not increase
these natural hazards or create a new hazard by any affirmative act . . . .” Bard v
Weathervane of Mich, 51 Mich App 329, 331; 214 NW2d 709 (1974); Weider v Goldsmith,
353 Mich 339, 341; 91 NW2d 283 (1958) (“The sine qua non of this doctrine is that a new
element of danger, not theretofore present, be introduced by the acts of the defendants.”).
Thus, the rule was not about the obviousness of the danger, as is the open and obvious
doctrine, but simply focused on the source of the danger. See Papadopoulous v Target
Corp, 457 Mass 368, 380; 930 NE2d 142 (2010) (“[T]he openness and obviousness of
snow and ice have nothing to do with whether such accumulations are natural rather than
unnatural . . . .”). And even to the extent the accumulation rule relates to the doctrine, it is
significant that the rule was articulated as a matter of “duty” rather than as a matter of
breach. See Bard, 51 Mich App at 331; see also Selby v Conquistador Apartments, Ltd,
990 P2d 491, 494 (Wy, 1999) (“The application of the natural accumulation rule relates to
the threshold question of whether a duty exists on the part of the defendant.”).
Quinlivan replaced this rule with the rule from the Second Restatement—which, as
noted, allowed liability for certain open and obvious hazards if it was foreseeable that an
invitee would confront them—via our adoption of an Alaska Supreme Court decision.
Quinlivan, 395 Mich at 258-261, citing Kremer v Carr’s Food Ctr, Inc, 462 P2d 747 (Alas,
12
1969). We noted that Kremer adopted the Second Restatement’s approach and quoted key
language from the opinion:
“Section 343 is controlling here. A jury could have found: (a) that
Carr’s possessed the parking lot and knew the condition of its surface, (b)
that Carr’s should have realized that this condition involved an unreasonable
risk of harm to its business invitees, (c) that Carr’s should have expected that
its business invitees would not discover or realize the danger, or should have
anticipated that they would fail to protect themselves against a danger they
did discover or realize, or should otherwise have anticipated harm to invitees
despite the fact that the danger was known or obvious to them, and (d) that
Carr’s failed to exercise reasonable care to protect business invitees, such as
Kremer, from the dangerous surface conditions in its parking lot.”
[Quinlivan, 395 Mich at 259, quoting Kremer, 462 P2d at 759-750.]
Item (c) in the list reflects Restatement Second, § 343A, which, as noted, provides that an
open and obvious hazard will not lead to liability unless the possessor of land can
reasonably foresee that an invitee will confront the hazard. Indeed, although we did not
mention it, Kremer quoted Restatement Second, § 343A in a footnote immediately after
Item (c). Kremer, 462 P2d at 749 n 8.
The core holding of Quinlivan, then, was simply that some natural accumulations
of ice and snow could lead to liability under the Second Restatement test. And in line with
the prior caselaw treating this as an issue of duty, we stated that “[i]n our view the Alaska
Court has appropriately conceived the legal duty owed by the invitor to the invitee.”
Quinlivan, 395 Mich at 260. We also said, “The general description of the duty owed
appearing in the Restatement is a helpful exposition of the duty described in” our past
caselaw. Id. at 261. 6 It is true that, in dicta, we suggested that “[t]he conduct of the invitee
6
Somewhat strangely, despite endorsing the Restatement and its general open and obvious
rule, Quinlivan suggested that the possessor’s duty required “reasonable measures be taken
within a reasonable time after an accumulation of ice and snow to diminish the hazard of
13
will often be relevant in the context of contributory negligence.” Id. at 261. But we
nowhere said that the obviousness of the danger was relevant to contributory negligence. 7
And again, because either a no-duty rule or a contributory negligence rule led to the same
result, there was no need to specify the theoretical grounds for why the obviousness of the
danger was relevant.
injury to the invitee.” Quinlivan, 395 Mich at 261. The majority makes much of this line
and suggests it directly applies here in Pinsky v Kroger Co of Mich. However, we do not
appear to have seriously considered caselaw outside the context of the natural-
accumulation rule, nor is it clear the parties even raised the issue of how the open and
obvious doctrine applied in this context. Also, we offered no support or reasoning for the
suggestion that, after some unspecified amount of time, the possessor must remove snow.
To top it off, the Court subsequently narrowed Quinlivan, explaining that it “must be
understood in light of this Court’s subsequent decisions in Bertrand [v Alan Ford, Inc, 449
Mich 606; 537 NW2d 185 (1995)] and Lugo,” which as discussed below, addressed the
open and obvious doctrine. Hoffner v Lanctoe, 492 Mich 450, 464 n 24; 821 NW2d 88
(2012). When we have applied the doctrine to open and obvious accumulations of snow
and ice, we have never suggested that a duty might exist if the accumulation persists long
enough—rather, the Court has flatly deemed such conditions to be outside the scope of the
possessor’s duty. See id.
7
The majority here also notes that the portion of Kremer we quoted in Quinlivan said that
“ ‘[a] jury could have found’ ” the listed items, including that the obvious hazard was
foreseeable. Quinlivan, 395 Mich at 259 (citation omitted). From this, the majority reasons
that we must have believed the obviousness of the harm was a question of fact for the jury
and that, as such, it must relate to the breach element. This is because questions of duty
traditionally are considered legal questions for the court. See Williams v Cunningham
Drug Stores, Inc, 429 Mich 495, 500; 418 NW2d 381 (1988). It is a stretch, however, to
claim that by endorsing an entire block quote we somehow opined on the relationship of
the open and obvious doctrine—which was not even directly at issue—to the duty element.
Moreover, as will be discussed more later, it is perfectly consistent to treat the issue of duty
as sometimes becoming a question for the fact-finder—our present caselaw does just that.
See Bertrand, 449 Mich at 617.
14
While the majority suggests Quinlivan was ambiguous as to the present issue, it is
significant that courts have not struggled to understand it. Courts have, to the present,
continued to cite Quinlivan to describe the duty element. 8
1. COMPARATIVE NEGLIGENCE
The majority’s treatment of two more central cases is worse still. In the lead-up to
those cases, we continued to describe the open and obvious doctrine as applying to the duty
element. See Williams v Cunningham Drug Stores, Inc, 429 Mich 495, 500; 418 NW2d
381 (1988) (“The duty a possessor of land owes his invitees is not absolute, however. It
does not extend to conditions from which an unreasonable risk cannot be anticipated or to
dangers so obvious and apparent that an invitee may be expected to discover them
himself.”), citing, among other things, Restatement Torts, 2d, § 343A. Likewise, in the
first of the two key cases, Riddle, 440 Mich at 93-94, we described Quinlivan, Williams,
and the Second Restatement as applying to the duty element. Specifically, we noted that
8
See, e.g., Orel v Uni-Rak Sales Co, Inc, 454 Mich 564, 567; 563 NW2d 241 (1997) (citing
Quinlivan as pertaining to the duty owed by an invitor); Allison v AEW Capital Mgt, LLP,
481 Mich 419, 448; 751 NW2d 8 (2008) (CAVANAGH, J., dissenting) (describing Quinlivan
as defining the duty owed); see, e.g., Dep’t of Civil Rights v Beznos Corp, 421 Mich 110,
122 n 5; 365 NW2d 82 (1984) (citing Quinlivan as “discussing duties of landlords to those
on their property”); Merritt v Nickelson, 407 Mich 544, 552-553; 287 NW2d 178 (1980)
(citing Quinlivan as describing the duty element); see also Mrozinski v Wal-Mart Stores,
Inc, unpublished per curiam opinion of the United States Court of Appeals for the Sixth
Circuit, issued May 11, 2000 (Docket No. 99-1633); 215 F3d 1327 (Table); 2000 WL
659136, p 2 (citing Quinlivan as describing “the duty owed to a business invitee by a
business owner”); Wilkerson v Dayton Hudson Corp, unpublished per curiam opinion of
the United States Court of Appeals for the Sixth Circuit, issued July 17, 1997 (Docket No.
96-1708); 121 F3d 710 (Table); 1997 WL 413646, p 2 (citing Quinlivan as pertaining to
duty); Gresko v Southland Joint Venture, 859 F Supp 1089, 1092 (ED Mich, 1994) (citing
Quinlivan for the proposition that this Court “has adopted the definition of the duty owed
by a premises owner to an invitee promulgated by the” Second Restatement).
15
Williams had discussed Second Restatement, § 343A and had, along with the other cases,
“correctly define[d] the law regarding a premises owner’s duty of care to invitees.” Riddle,
440 Mich at 95. The majority suggests that “ambiguity and disagreement continued over
which pieces of the § 343 and § 343A analysis were a part of duty or breach.” This is
misleading—the only disagreement or ambiguity cited by the majority is the fact that
Justice LEVIN dissented. But a dissent does not mean the law was unsettled. The majority
opinion in Riddle could not have been clearer that the Second Restatement and our caselaw
on the open and obvious doctrine relate to the duty element. 9
9
The majority’s description of what Riddle “seemed to describe” or “suggests” is
confusing. (Emphasis added.) One need only quote the majority opinion, which includes
the relevant lines from Riddle, to demonstrate how spurious those descriptors are:
And it seemed to describe § 343A as also articulating the “duty” owed,
despite its more ambiguous “not liable” language. [Riddle, 440 Mich] at 94
(“[W]e held that a possessor of land does not owe a duty to protect his
invitees where conditions . . . are so obvious and apparent that an invitee may
be expected to discover them himself.”) (emphasis added). Therefore,
Riddle’s recitation of the law suggests that the entirety of the analysis
conducted under § 343 and § 343A is a question of duty. Id. [Second
alteration in original.]
In a footnote, the majority also suggests that “the Riddle majority seems to agree that in
practice, questions of the open and obvious nature of a particular danger, and the
landowner’s anticipation of harm, are questions of breach for the jury, even though they
label § 343A as speaking to duty, not breach. [Riddle, 440 Mich] at 96-97.” In full, the
line from Riddle stated: “If the conditions are known or obvious to the invitee, the premises
owner may nonetheless be required to exercise reasonable care . . . . What constitutes
reasonable care under the circumstances must be determined from the facts of the case.”
Id. at 97 (citation omitted). This does not at all indicate that the open and obvious doctrine
involves breach. Recall that under the Second Restatement, § 343A—which we had long
since adopted by the time of Riddle—it remains possible for a duty of care to exist
regarding an open and obvious hazard if the defendant should foresee that an invitee will
choose to confront that hazard despite its obviousness. We referred to exactly that scenario
in Riddle: “However, where the dangers are known to the invitee or are so obvious that the
invitee might reasonably be expected to discover them, an invitor owes no duty to protect
16
What makes Riddle even more significant is that we addressed and rejected the
arguments adopted by the majority today concerning comparative negligence. The primary
issue in Riddle was the effect upon the open and obvious doctrine of our adoption of
comparative negligence in Placek v Sterling Hts, 405 Mich 638; 275 NW2d 511 (1979).
That system, unlike contributory negligence, does not bar a plaintiff from recovering even
if he was at fault—instead, the percentage of a plaintiff’s fault generally reduces the
defendant’s liability.
In Riddle, we directly held that this change in law left the open and obvious doctrine
in place. Riddle, 440 Mich at 95. In so holding, we simply described the fundamental
principles that every first-year law student learns about the prima facie elements of
negligence, in particular that duty and breach are separate elements, both of which must be
established for the plaintiff to succeed. We noted that the open and obvious doctrine was
“a defensive doctrine that attacks the duty element that a plaintiff must establish in a prima
facie negligence case.” Id. at 95-96. “Conversely, comparative negligence is an
affirmative defense” that did not alter the defendant’s initial duty. Id. at 98. Without a
duty, there can be no negligence. Id. at 96. The reasoning is straightforward: negligence
actions can succeed only if there is a duty; no duty exists if the hazard is open and obvious
unless it is foreseeable the invitee will nevertheless confront the hazard; therefore, a
or warn the invitee unless he should anticipate the harm despite knowledge of it on behalf
of the invitee.” Id. at 96 (emphasis added). In those circumstances, a duty of care exists,
and what is reasonable under the circumstances will of course depend on the facts of the
case. This does not mean, however, that every instance of an open and obvious hazard
pertains to the breach element.
17
negligence action must fail when the hazard is open and obvious unless the foreseeability
exception is satisfied.
The fact that contributory negligence could no longer absolutely bar a plaintiff’s
recovery was irrelevant, we explained. Id. at 99, quoting Ward v K Mart Corp, 136 Ill 2d
132, 143-144; 554 NE2d 223 (1990). Although the obviousness of the hazard might affect
the determination of whether a plaintiff was negligent, “ ‘the obviousness of a condition is
also relevant to the existence of a duty on the part of defendant.’ ” Riddle, 440 Mich at 99,
quoting Ward, 136 Ill 2d at 143. Whereas the adoption of comparative negligence might
affect defenses available to the defendant, the concern here is “ ‘with the existence of a
duty on the part of defendant in the first instance.’ ” Riddle, 440 Mich at 99, quoting Ward,
136 Ill 2d at 145. Relatedly, as the Supreme Court of Pennsylvania has observed,
“[w]hereas duty is a question of whether any liability may attach to the defendant for the
plaintiff’s harm, comparative negligence is a method for determining how much
responsibility should be allocated to the defendant in light of the plaintiff’s conduct.”
Krentz v Consol Rail Corp, 589 Pa 576, 589; 910 A2d 20 (2006) (emphasis omitted).
Ward also explained that “the advent of comparative negligence did not affect the
basic duty a defendant owes a plaintiff in negligence cases.” Ward, 136 Ill 2d at 144; see
also Thompson v Stearns Chem Corp, 345 NW2d 131, 134 (Iowa, 1984) (“Adoption of
comparative negligence principles, while possibly mitigating the defense available to a
tortfeasor, does not change [the] legal duty.”). Nor does the viability of the open and
obvious defense resurrect a contributory negligence defense: “The scope of defendant’s
duty is not defined by reference to plaintiff’s negligence or lack thereof. The focus must
be on defendant. A major concern is whether defendant could reasonably have foreseen
18
injury to plaintiff.” Ward, 136 Ill 2d at 148. This is how we have subsequently described
the analysis. See Livings, 507 Mich at 346 (“[T]he overall analysis centers on whether a
reasonable premises possessor in the defendant’s circumstances could reasonably foresee
that the employee would confront the hazard despite its obviousness.”) (collecting cases).
What is foreseeable will be determined by the objective nature of the conditions. Cf. Lugo
v Ameritech Corp, Inc, 464 Mich 512, 523-524; 629 NW2d 384 (2001) (“[I]t is important
for courts in deciding summary disposition motions by premises possessors in ‘open and
obvious’ cases to focus on the objective nature of the condition of the premises at issue,
not on the subjective degree of care used by the plaintiff.”); Livings, 507 Mich at 363
(ZAHRA, J., dissenting) (“This Court has repeatedly maintained that application of the open
and obvious danger doctrine . . . turns on the objective nature of the condition on the
premises itself.”).
The open and obvious doctrine thus has a different focus than the contributory
negligence defense. At issue is “the nature of the dangerous condition itself, as opposed to
the nature of the plaintiff’s conduct in encountering it.” Armstrong v Best Buy Co, Inc, 99
Ohio St 3d 79, 82; 788 NE2d 1088; 2003-Ohio-2573 (2003). “The fact that a plaintiff was
unreasonable in choosing to encounter the danger is not what relieves the property owner
of liability. Rather, it is the fact that the condition itself is so obvious that it absolves the
property owner from taking any further action to protect the plaintiff.” Id. 10
10
The different focuses of duty and contributory negligence can lead to different results.
An invitee who is not negligent in confronting an obvious risk might nevertheless be barred
by the open and obvious doctrine under a “no duty” rationale; by contrast, the contributory
negligence defense would not bar recovery in those circumstances. Note, Premises
19
The majority also seems to assert that the legislative enactment of comparative
negligence at least supports, if not requires, its holding today. Under MCL 600.2957(1),
“[i]n an action based on tort . . . , the liability of each person shall be allocated under this
section by the trier of fact . . . in direct proportion to the person’s percentage of fault. In
assessing percentages of fault under this subsection, the trier of fact shall consider the fault
of each person . . . .” In MCL 600.2958, the Legislature made explicit that “a plaintiff’s
contributory fault does not bar that plaintiff’s recovery of damages.”
The majority points to nothing in these statutes that regulates the duty owed by land
possessors, nor can I discern anything in the statutes that speaks to a land possessor’s duty.
One would expect that if the Legislature meant to abrogate a common-law principle like
the open and obvious doctrine, it would have done so in a clearer manner. See Dawe v Dr
Reuven Bar-Levav & Assoc, PC, 485 Mich 20, 28; 780 NW2d 272 (2010) (“The abrogative
effect of a statutory scheme is a question of legislative intent, and ‘legislative amendment
of the common law is not lightly presumed.’ Rather, the Legislature ‘should speak in no
uncertain terms’ when it exercises its authority to modify the common law.”) (citations
omitted). Other courts have examined similar acts and concluded that they, too, leave the
duty element untouched. 11 Moreover, although subsequent legislation is not always a good
Liability: The Disappearance of the Open and Obvious Doctrine, 64 Mo L Rev 1021, 1027-
1028 (1999).
11
See Hale v Beckstead, 116 P3d 263, 271; 2005 UT 24 (2005) (“The legislature did not
abolish the open and obvious danger rule as found in the Restatement when it instituted a
comparative negligence system of liability in Utah. Instead of acting as a bar to a plaintiff’s
recovery where the plaintiff invitee was injured on the defendant’s property as a result of
both parties’ negligence, the rule simply defines the duty of care a possessor of land owes
his invitees.”); Eiselein v K-Mart, Inc, 868 P2d 893, 896 (Wy, 1994) (“The plain language
of the statute cannot be read to impose new duties of care on prospective defendants. Since
20
tool for interpreting earlier statutes, see People v Arnold, 508 Mich 1, 14 n 26; 973 NW2d
36 (2021), it is also significant that the Legislature subsequently authorized municipalities
to raise the open and obvious defense. MCL 691.1402a(5) (“In a civil action, a municipal
corporation that has a duty to maintain a sidewalk under subsection (1) may assert, in
addition to any other defense available to it, any defense available under the common law
with respect to a premises liability claim, including, but not limited to, a defense that the
condition was open and obvious.”). Therefore, the comparative negligence statutes do not
dictate the majority’s holding today. 12
2. WHO GETS TO DECIDE
The majority nevertheless emphasizes the Legislature’s intent to have the fact-
finder, rather than the judge, weigh fault. The majority suggests that courts, in practice,
rely on evidence of the plaintiff’s subjective actions and negligence when deciding whether
a hazard was open and obvious. This is a problem, according to the majority, because
we presume the legislature enacts statutes with full knowledge of existing law and with
reference to it, we must assume the legislature understood that there exists no duty to warn
of or remove natural accumulations of ice and snow. Therefore, had the legislature
intended to impose that duty upon prospective defendants, the legislature would have
expressly provided for such a result in the statute. However, by adopting the comparative
negligence statute, the Wyoming legislature simply instituted a fair system of
apportionment of damages.”).
12
The majority makes the confusing claim that I do not grasp the significance of the state’s
“seismic shift” to comparative negligence. But regardless of how large or small one
considers our state’s change to a comparative negligence regime, our caselaw makes one
thing very clear: it had no impact on the open and obvious doctrine. See Riddle, 440 Mich
at 100. The only “seismic shift” I can perceive is the one wrought by today’s majority
opinion, which ignores the holding of Riddle, jettisons the open and obvious doctrine, and
endeavors to create a new analysis for premises liability claims in our state—one that is
undeveloped and unclear and that will spawn many decades of litigation to clarify the scope
of the new obligations it imposes on landowners and possessors.
21
factual issues must be handled by the jury, whereas questions of duty relating to the open
and obvious doctrine should be for the judge. In other words, situating the doctrine in the
duty element deprives the plaintiff of the chance to have the case decided by a jury.
This is simply not so. Courts should not be considering a plaintiff’s subjective
actions and negligence rather than the objective nature of the condition itself. In any event,
the majority cites numerous cases as evidence that courts consider a plaintiffs’ negligence
when applying the doctrine. But none of those cases actually describes the plaintiffs as
negligent. See ante at 31 nn 11 & 12 (opinion of the Court). The courts were simply using
the evidence at hand—largely from the plaintiffs—to describe the condition, including
whether it was visible and whether it posed an appreciable danger. See, e.g., Hoffner v
Lanctoe, 492 Mich 450, 473; 821 NW2d 88 (2012) (“Plaintiff freely admits that she knew
the ice posed a danger, but that she saw the danger as surmountable . . . .”); Kennedy v
Great Atlantic & Pacific Tea Co, 274 Mich App 710, 713, 714; 737 NW2d 179 (2007)
(“[P]laintiff testified that after he slipped, ‘I could see the grapes [on the floor]’ . . . .”
Indeed, “[p]laintiff’s own deposition testimony establishes that he would have noticed the
potentially hazardous condition had he been paying attention.”). What else can a court use
to determine the objective characteristics of the hazard if not the testimony and statements
of those who saw it at the time of the accident?
More importantly, the majority is incorrect that the questions pertaining to the
doctrine are always for the judge rather than the jury. We expressly held to the contrary in
Bertrand v Alan Ford, Inc, 449 Mich 606, 609; 537 NW2d 185 (1995). In that case, we
reaffirmed Riddle and once again placed the doctrine within the duty element, defining it
22
based on the Second Restatement. 13 The majority largely ignores these repeated statements
and instead misleadingly suggests we “continued to muddy the waters between duty and
breach.” It points to our statement that, “if the risk of harm remains unreasonable, despite
its obviousness or despite knowledge of it by the invitee, then the circumstances may be
such that the invitor is required to undertake reasonable precautions. The issue then
becomes the standard of care and is for the jury to decide.” Bertrand, 449 Mich at 611.
For support, we cited Second Restatement, § 343A, comment f, p 220, which noted that if
a duty exists despite the obviousness of the danger, then questions of contributory
negligence might arise. Bertrand, 449 Mich at 611-612.
The majority claims this muddies the waters. But once again, the majority entirely
misunderstands the Second Restatement. To repeat: under the Second Restatement, a duty
can exist despite the obviousness of the hazard when the defendant should anticipate that
the invitee will nevertheless confront the hazard. As explained, that rule is the essential
13
Bertrand, 449 Mich at 609 (“These two premises liability cases present the issue of the
scope of the duty owed by an owner or occupier of land to its business invitees regarding
steps on its premises.”); id. (“The invitor’s legal duty is ‘to exercise reasonable care to
protect invitees from an unreasonable risk of harm caused by a dangerous condition of the
land’ that the landowner knows or should know the invitees will not discover, realize, or
protect themselves against.”), citing Williams, 429 Mich at 499; Bertrand, 449 Mich at
610-611 (“Where a condition is open and obvious, the scope of the possessor’s duty may
be limited. While there may be no obligation to warn of a fully obvious condition, the
possessor still may have a duty to protect an invitee against foreseeably dangerous
conditions. Thus, the open and obvious doctrine does not relieve the invitor of his general
duty of reasonable care.”); id. at 612-613 (discussing Riddle as pertaining to duty); id. at
614 (discussing Quinlivan as pertaining to duty); id. at 614-617 (discussing older caselaw
regarding hazards on steps and concluding that they precluded imposing a duty on
possessors of land to make the steps “ ‘foolproof’ ”).
23
function of Second Restatement, § 343A, which retreated from the harder line in the First
Restatement. Indeed, the comment we quoted from in Bertrand explains as much:
“There are, however, cases in which the possessor of land can and
should anticipate that the dangerous condition will cause physical harm to
the invitee notwithstanding its known or obvious danger. In such cases the
possessor is not relieved of the duty of reasonable care which he owes to the
invitee for his protection. This duty may require him to warn the invitee, or
to take other reasonable steps to protect him, against the known or obvious
condition or activity, if the possessor has reason to expect that the invitee
will nevertheless suffer physical harm.
Such reason to expect harm to the visitor from known or obvious
dangers may arise, for example, where the possessor has reason to expect
that the invitee’s attention may be distracted, so that he will not discover what
is obvious, or will forget what he has discovered, or fail to protect himself
against it. Such reason may also arise where the possessor has reason to
expect that the invitee will proceed to encounter the known or obvious danger
because to a reasonable man in his position the advantages of doing so would
outweigh the apparent risk. In such cases the fact that the danger is known,
or is obvious, is important in determining whether the invitee is to be charged
with contributory negligence, or assumption of risk. . . . It is not, however,
conclusive in determining the duty of the possessor, or whether he has acted
reasonably under the circumstances.” [Bertrand, 449 Mich at 611-612
(emphasis omitted), quoting 2 Restatement, 2d, § 343A, comment f, p 220.]
See also Livings, 507 Mich at 340-341 (explaining these provisions of the Second
Restatement).
These circumstances—where the risk of harm from an obvious hazard can be
anticipated—encompass the “unreasonable” risks of harm we referred to in Bertrand. This
does not suggest that all questions regarding the open and obvious doctrine are for a jury.
Instead, as discussed multiple times above, this is simply the definition of the duty. Thus,
where the Second Restatement, § 343A applies because the risk of harm remains, the duty
element is satisfied, and the analysis can proceed to the other factual questions. As the
24
Restatement’s comment f indicates, that further analysis might also involve or be
determined by the obviousness of the hazard. But those are factual questions involving
breach, which can be reached only because a duty exists.
Critically, the majority ignores the section of Bertrand in which we held that the
fact-finder had a role in resolving questions about the scope of duty when the doctrine was
at issue. We stated that if a duty persists because the risk remained unreasonable despite
its obviousness, i.e., the risk was foreseeable under Second Restatement, § 343A, “then the
duty of the possessor of land to exercise reasonable care remains.” Bertrand, 449 Mich at
617. But “[i]f the proofs create a question of fact that the risk of harm was unreasonable,
the existence of duty as well as breach become questions for the jury to decide. . . . If the
jury determines that the risk of harm was unreasonable, then the scope of the defendant’s
duty to exercise reasonable care extended to this particular risk.” Id. “[Y]et [if] no
reasonable juror would find that the danger was not open and obvious,” then the court could
decide the question as a matter of law. Id. In other words, when questions of fact exist
concerning the scope of the duty under the doctrine, those questions go to the fact-finder.
To be sure, this is a rare exception from the general rule that courts decide questions
of duty as a matter of law. See generally Williams, 429 Mich at 500. But we are not alone
in providing this exception. The Wyoming Supreme Court has “recognized that in certain
instances the question of duty hinges upon the determination of certain basic facts and, in
those rare circumstances, the question of the existence of a duty is properly placed before
the trier of fact.” Selby, 990 P2d at 494. In Selby, the court concluded that a jury question
existed as to whether the defendant aggravated the accumulation of ice, which would
determine whether a duty existed. Id. at 495-496; see also id. at 495, citing Endsley v
25
Harrisburg Med Ctr, 209 Ill App 3d 908, 911; 568 NE2d 470 (1991) (noting that a fact
question can exist whether an accumulation of ice formed naturally even though this
involves duty).
By allowing duty questions regarding the doctrine to be decided by the fact-finder,
Bertrand takes off the table one of the majority’s major criticisms of the doctrine. Because
issues involving the doctrine are subject to consideration by the fact-finder, it cannot be
the case that the majority is truly concerned that our current law deprives plaintiffs of their
chance to get before a jury.
III. THE SIGNIFICANCE OF THE MAJORITY’S DECISION
Since Bertrand, this Court has continued to characterize the open and obvious
doctrine as part of the duty element. 14 The majority’s holding today thus strikes down a
long line of caselaw stretching back decades, if not also the earlier caselaw starting in the
nineteenth century. In doing so, the Court has radically disrupted premises liability law in
our state. Regardless of whether the doctrine reflected duty or contributory negligence, we
14
See Livings, 507 Mich at 337 (“[The land possessor’s] duty does not extend to dangerous
conditions that are open and obvious.”); Hoffner, 492 Mich at 460-461 (“The possessor of
land ‘owes no duty to protect or warn’ of dangers that are open and obvious because such
dangers, by their nature, apprise an invitee of the potential hazard, which the invitee may
then take reasonable measures to avoid.”) (citation omitted); Mann v Shusteric Enterprises,
Inc, 470 Mich 320, 331; 683 NW2d 573 (2004) (“Under Lugo, a premises possessor has a
duty to ‘protect’ an invitee from dangers that are either not ‘open and obvious,’ or, although
‘open and obvious,’ contain ‘special aspects’ that make such dangers ‘unreasonably
dangerous.’ ”), quoting Lugo, 464 Mich at 516-517; Singerman v Muni Serv Bureau, Inc,
455 Mich 135, 143; 565 NW2d 383 (1997) (opinion by WEAVER, J.) (noting that “[u]nder
the general rule there would be no duty because the danger was open and obvious”); Lugo,
464 Mich at 516 (“[T]he open and obvious doctrine should not be viewed as some type of
‘exception’ to the duty generally owed invitees, but rather as an integral part of the
definition of that duty.”).
26
have consistently treated it as dispositive of claims of liability. That is, if the condition
was obvious (and the risk of harm could not be anticipated despite its obviousness), then
no matter the underlying theory, the defendant would not be liable. Today, for the first
time, that is no longer the law. The effect of the majority’s decision is to create a vast
expanse of liability where none existed before.
And the Court accomplishes this by hollowing out the duty element in premises
liability cases while at the same time claiming to reject what it recognizes as the “radical
new approach to premises liability” in the Third Restatement. Yet it is hard to see much
daylight between the majority’s novel approach here and the “radical” Third Restatement.
Under the Third Restatement, land possessors owe “a duty of reasonable care to entrants”
concerning risks created by the possessor, artificial and natural conditions on the land
posing risks, and other specific risks relating to affirmative duties specified elsewhere. 2
Restatement Torts, 3d, § 51, p 242. As with the majority’s approach here, there is no longer
an open and obvious exception to this duty. Instead, just as with our new standard, the
obviousness of the risk “bears on the assessment of whether reasonable care was
employed” and thus “does not pretermit the land possessor’s liability” on the basis of a no-
duty finding. Id., comment k, p 251. The result, therefore, is that for present purposes our
test is nearly the same as the one in the “radical” Third Restatement. 15
What the majority does not say is that the Restatement Third’s approach to duty in
premises liability cases—the same basic approach the majority adopts here—reflects
15
The only notable difference is that the majority has, for now at least, retained the
traditional classifications of entrants to the land, i.e., invitees, licensees, and trespassers,
each of which is owed a different level of care.
27
sweeping changes to the very concept of duty across negligence law, specified elsewhere
in the Restatement. The Third Restatement provides that “[a]n actor ordinarily has a duty
to exercise reasonable care when the actor’s conduct creates a risk of physical harm.” 1
Restatement Torts, 3d, § 7(a), p 77.
This is a duty owed to the world at large, and there are no principled measures for
limiting it. Rather, the Restatement treats duty as a matter of pure policy, and thus
exceptions to it are ad hoc, based on a court’s perception of better policy: “In exceptional
cases, when an articulated countervailing principle or policy warrants denying or limiting
liability in a particular class of cases, a court may decide that the defendant has no duty or
that the ordinary duty of reasonable care requires modification.” Id. at § 7(b), p 77. This
represents “a reconceptualization of duty that converts what the courts regard as an
essential element of a negligence case into a grant of discretionary authority to individual
judges to dismiss or allow negligence suits.” Goldberg & Zipursky, The Restatement
(Third) and the Place of Duty in Negligence Law, 54 Vand L Rev 657, 668 (2001)
(discussing an earlier, similar draft of the Restatement). The duty element therefore is
almost always satisfied unless a court divines some policy argument to the contrary. Id.
This rendering of the duty element is largely based on the view, long held by some
academics, that “[a]t its core, duty . . . inescapably involves matters of policy.” Cardi,
Purging Foreseeability, 58 Vand L Rev 739, 762 (2005); see Prosser, Palsgraf Revisited,
52 Mich L Rev 1, 11 (1953). Under this theory, “duty is meaningless—a piece of
‘artificial’ gibberish.” Goldberg & Zipursky, The Moral of MacPherson, 146 U Pa L Rev
1733, 1758 (1998), quoting Prosser, Handbook of the Law of Torts (1941), § 31, pp 179-
180. This is the losing conception of duty from the dissent in Palsgraf, which contended
28
that “[e]very one owes to the world at large the duty of refraining from those acts that may
unreasonably threaten the safety of others.” Palsgraf, 248 NY at 350 (Andrews, J.,
dissenting); see generally The Moral of MacPherson, 146 U Pa L Rev at 1766. The court
there—and countless courts since, as noted earlier—rejected this universal conception of
duty and favored instead a more limited model of duty as involving foreseeability. 16 Thus,
accepting this new approach to duty, as the majority seems to do, is a fundamental shift in
our basic law of negligence. See Purging Foreseeability, 58 Vand L Rev at 742 (“Should
courts adopt the proposed Restatement Third, it will radically change many courts’
understanding of duty and foreseeability in negligence cases.”). 17
16
Indeed, the Third Restatement can hardly be called a true restatement of the law because
its “position on foreseeability [i.e., its exclusion from the duty calculus] does not conform
to the preponderance of existing practice; most jurisdictions couch their statement of the
ordinary duty as contingent on there being a foreseeable risk of harm.” Cardi & Green,
Duty Wars, 81 S Cal L Rev 671, 729 (2008).
17
The majority claims that the idea that duty involves policy is not new. What is new,
however, is the Court’s acceptance of the view that duty should be made to have little
substantive content or limiting force because it is grounded in policy. The majority goes
so far as to suggest that the foreseeability of the harm is still a relevant inquiry to the duty
analysis. But the majority has entirely inverted the law on this point. Foreseeability is now
relevant only to expanding liability: “Indeed, if a hazard is open and obvious, it should be
more foreseeable for a defendant to notice the hazard, anticipate the danger it would cause
to an invitee, and exercise reasonable care to remove or repair the danger.” This not only
turns the traditional application of foreseeability on its head, it also gets the broader concept
of foreseeability in the duty analysis wrong. As noted above, Palsgraf’s canonical
explanation of foreseeability in the duty analysis focuses on the foreseeability of harm to
the plaintiff, not the foreseeability that the defendant will be aware of a defect. Palsgraf,
248 NY at 344, 346-347 (“The risk reasonably to be perceived defines the duty to be
obeyed, and risk imports relation; it is risk to another or to others within the range of
apprehension[.]”); see also 2 Restatement 2d, § 343A, p 218 (“A possessor of land is not
liable to his invitees for physical harm caused to them by any activity or condition on the
land whose danger is known or obvious to them, unless the possessor should anticipate the
29
With these changes, there is no principled content to the duty element, and the
element would seem to be satisfied in nearly every case. While the majority here professes
that it has not yet adopted this approach, we are at least on a parallel path. The duty element
in premises liability cases no longer has much substantive content: if the plaintiff is an
invitee, a duty exists without any apparent exception.
This now distinguishes duty in the premises liability sphere from duty in other areas
of negligence law, where foreseeability continues to play a role in shaping and limiting this
element. See In re Certified Question, 479 Mich at 508-509. The open and obvious
doctrine served that function in premises liability law, but it will no longer. The shift in
this area of the law portends greater changes ahead, for I can see no principled reason why
the majority would think the foreseeability analysis (as encompassed by the open and
obvious doctrine) is inappropriate in premises liability but is appropriate in negligence law
more broadly. That is to say, there is no apparent rationale for why the majority’s logic
here should not extend across negligence law, draining the duty element of any meaning
or limiting force. The majority has thus set us on a course to radically reconceptualize the
duty element in ways that will impose new costs, greatly expand liability, and increase
litigation.
Consider the impact of the present cases, for example. Not only businesses but also
individual homeowners will need to clear ice and snow during or soon after a storm, or
they will face lawsuits from invitees. Faced with the increased threat of liability,
businesses and individuals will incur new costs. And “[w]e fool ourselves when we think
harm despite such knowledge or obviousness.”). It seems apparent that the majority has
not stopped to carefully consider what the current law is.
30
that the landowner is going to carry the brunt of the financial and human cost in relaxing
the open and obvious principle.” See Shelton v Kentucky Easter Seals Society, Inc, 413
SW3d 901, 919 (Ky, 2013) (Cunningham, J., dissenting). The costs get pushed to tenants
and consumers.
And while the majority suggests that our current law in this area is rife with
confusion, who knows what problems will come when we dispense with the open and
obvious doctrine. It seems almost certain that more and more cases will go to a jury, and
there will be many more disputes concerning the proper allocation of fault. See id. at 920
(Scott, J., dissenting) (“[B]ecause the standard for termination is now more difficult [after
the majority ended the open and obvious doctrine and held that considerations of
obviousness went to comparative fault], many of these cases will proceed on to trial with
the concomitant increase in litigation costs and expenses for both sides . . . .”). It is also
possible that the focus of trial and appellate courts’ attention will now be on another
element that contains a foreseeability analysis: proximate causation. See generally Skinner
v Square D Co, 445 Mich 153, 163; 516 NW2d 475 (1994) (noting that proximate causation
“involves examining the foreseeability of consequences”). No doubt defendants will make
some of the same basic arguments to the judge that there is no triable issue of fact
concerning proximate causation. See Purging Foreseeability, 58 Vand L Rev at 742-743. 18
The supposed problem might simply mutate and persist.
It is worth adding the lament of a fellow jurist dissenting from a decision similar to the
18
majority’s decision today:
It [i.e., the open and obvious doctrine] was a doctrine that was based
on personal responsibility and common sense; yet, one that was unforgiving
of inattention, forgetfulness, or risky conduct. Still, it protected those whose
31
The result is that far from clarifying the law, the majority has unsettled an important
area of the law and vastly expanded the scope of liability to which possessors of land are
exposed.
IV. THE PROPER APPROACH
A. THE STANDARD
Under any standard with a meaningful duty element, plaintiffs in the present cases
would lose. Nevertheless, I believe it is proper to briefly explain my view that the test set
forth in §§ 343 and 343A of the Second Restatement is the appropriate standard for the
duty element and that the “special aspects” test is simply an application of this portion of
the Restatement. As the majority discusses, this Court in Lugo, 464 Mich at 517, began to
emphasize “special aspects” as exceptions to the doctrine. The Court has identified two
such aspects—those in which the danger is unreasonable and those in which the danger is
effectively unavoidable. Hoffner, 492 Mich at 463.
It is apparent to me that these special aspects formed as examples of the Second
Restatement approach. As already stated, and as was discussed in Livings, we have
distractions were warranted, as well as those who could not reasonably
perceive the real danger around or underlying what they could see. . . .
Simply put, it was a doctrine crafted within the perceptions of the Americans
of its time: a doctrine that negated the considerable time and expense of
litigation in cases that otherwise generally could not have been won in front
of the juries of the day, and a doctrine that kept property liability insurance
premiums within its confines. It was a doctrine whose lifetime spanned the
greatest opportunity and economic growth this nation has ever known. It was
not the cause of this growth, personal responsibility was—but it did play its
part along with many, many other factors of our social, economic, and
political structures of the time. [Shelton, 413 SW3d at 920 (Scott, J.,
dissenting).]
32
repeatedly claimed to have adopted portions of the Second Restatement approach and that
the special-aspects test is consistent with that Restatement. 19 In Bertrand, we indicated our
approval of §§ 343 and 343A and stated that they amounted to the rule that there was no
duty to protect against open and obvious defects unless “the risk of harm remains
unreasonable, despite its obviousness or despite knowledge of it by the invitee . . . .”
Bertrand, 449 Mich at 611. While we did not directly describe how a risk could remain
unreasonable despite its obviousness, it is clear in context what we meant: by quoting and
citing § 343A, we signified that such a risk remained unreasonable when “the possessor
19
Livings stated:
Our open-and-obvious jurisprudence has long been informed by the
Restatement. As far back as 1938, we began relying on the relevant section
and comments of the First Restatement. And we have often utilized the
Second Restatement since its appearance in 1965, going so far as to say that
§ 343 and § 343A had been “adopted” into our law. In fact, our caselaw has
already incorporated one of other the illustrations listed in comment f to
§ 343A. See Bertrand, 449 Mich at 624 (applying Illustration 3).
Despite the fact that our current framework uses different
terminology, we have stressed that our law remains consistent with the
Restatement approach. In Lugo, we stated that the special-aspects test was
consistent with § 343A of the Restatement, which indicates
that a possessor of land is only liable to invitees for harm
caused by an obvious condition if the possessor should
“anticipate the harm.” . . . Simply put, there must be something
out of the ordinary, in other words, special, about a particular
open and obvious danger in order for a premises possessor to
be expected to anticipate harm from that condition. [Lugo, 464
Mich at 525.]
See also Hoffner, 492 Mich at 479 (noting that our standard reflects caselaw
that relied on § 343 and § 343A of the Restatement and remains consistent
with those provisions). [Livings, 507 Mich at 343 (citations omitted).]
33
should anticipate the harm despite such knowledge or obviousness.” 2 Restatement, 2d,
§ 343A, p 218. Bertrand later used the term “special aspects” to refer to features of the
hazard that made the risk of harm unreasonable. Bertrand, 449 Mich at 614. 20 In the
context of our endorsement of Restatement Second, § 343A, it seems plain that the special
aspects we referred to rendered the danger unreasonable because they made it foreseeable
(to the possessor) that an invitee would confront it despite its obviousness.
Lugo simply employed the discussion from Bertrand and emphasized the “special
aspects” phrasing. See Lugo, 464 Mich at 516-518. It broadly stated the rule as providing
that, with regard to open and obvious dangers, the critical question is whether
there is evidence that creates a genuine issue of material fact regarding
whether there are truly “special aspects” of the open and obvious condition
that differentiate the risk from typical open and obvious risks so as to create
an unreasonable risk of harm, i.e., whether the “special aspect” of the
condition should prevail in imposing liability upon the defendant or the
openness and obviousness of the condition should prevail in barring liability.
[Id. at 517-518.]
The phrasing is almost straight from Restatement Second, § 343A, with the addition of the
term “special aspect.”
20
Elsewhere, Bertrand indicated that these features represented “something unusual” about
the condition concerning its “ ‘character, location, or surrounding conditions[.]’ ”
Bertrand, 449 Mich at 617, quoting Garrett v WS Butterfield Theatres, Inc, 261 Mich 262,
263-264; 246 NW 57 (1933). We took the quoted line from Garrett, which more fully
stated that “ ‘steps [connecting floors in a building] are so common that the possibility of
their presence is anticipated by prudent persons. The construction is not negligent unless,
by its character, location, or surrounding conditions, a reasonably prudent person would
not be likely to expect a step or see it.’ ” Bertrand, 449 Mich at 615, quoting Garrett, 261
Mich at 263-264. This seems like just another way of saying that steps are usually open
and obvious but that some steps might not be.
34
Lugo’s two examples of “special aspects” are consistent with the Restatement
Second, § 343A because each involves a scenario in which the possessor might anticipate
that the invitee will confront an obvious hazard. The first was an unavoidable condition—
standing water at the only exit of a commercial building. Id. at 518. The location of the
hazard, trapping the invitees, would make it clear that some might confront the hazard to
leave. Likewise, the second example relates to situations in which the possessor might
foresee injury. The example given of a condition entailing “an unreasonably high risk of
severe harm” was “an unguarded thirty foot deep pit in the middle of a parking lot.” Id.
Most people do not expect to confront deadly threats in everyday settings. We might expect
some dips or holes in a parking lot, but not life-threatening ones. So an invitee might not
be sufficiently on guard for these sorts of hazards, and a premises possessor might
reasonably anticipate this. 21 The two examples thus seemed designed to capture a number
of the scenarios covered by Restatement Second, § 343A. They are instances of when “the
‘obviousness’ of a condition or the fact that the injured party may have been in some sense
‘aware’ of it may not always serve as adequate warning of the condition and the
consequences of encountering it.” Ward, 136 Ill 2d at 148-149.
It is worth noting that under this approach, “foreseeability is not boundless. That
something ‘might conceivably occur,’ does not make it foreseeable.” Bruns v Centralia,
21
It also seems that this special aspect was motivated by general considerations of when a
duty should exist. As noted, under In re Certified Question, 479 Mich at 508-509, courts
determine whether a duty exists by analyzing, among other things, the burden on the
defendant and the nature of the risk. Here, the burden on the defendant to avoid things like
30-foot pits would seem, in general, rather minimal, compared to the nature of the risk and
severity of potential harm to the invitees, which is serious bodily harm or death.
35
2014 IL 116998, ¶ 33; 21 NE3d 684 (2014) (citations omitted). Rather, “under Michigan
common law, foreseeability depends on whether a reasonable person could anticipate a
given event might occur under certain conditions.” Illiades v Dieffenbacher North America
Inc, 501 Mich 326, 331; 915 NW2d 338 (2018). The anticipation must be reasonable and
tethered to the circumstances. See Bruns, 2014 IL 116998 at ¶ 33. “An approach based
on foreseeability has the further benefit that it is common in the law” across numerous
areas. Bertin v Mann, 502 Mich 603, 616; 918 NW2d 707 (2018). 22
Given our uninterrupted assertions that the open and obvious test is consistent with
§§ 343 and 343A of the Second Restatement, and given our long use of that portion of the
Second Restatement, I think the only sensible reading of our caselaw is that the “special
22
It is true that we have suggested that foreseeability is not a consideration in the special-
aspects analysis. In Mann, 470 Mich at 331-332, we stated that “ ‘special aspects’ are not
defined with regard to whether a premises possessor should expect that an invitee will not
‘discover the danger’ or will not ‘protect against it,’ . . . but rather by whether an otherwise
‘open and obvious’ danger is ‘effectively unavoidable’ or ‘impose[s] an unreasonably high
risk of severe harm’ to an invitee . . . .” (Citation omitted; alteration in original.) And in
Hoffner, 492 Mich at 474-475, we rejected the argument that
mere anticipation of an injury creates, per se, a duty of care and a jury-
submissible question of fact . . . because harm can be anticipated from any
number of common conditions. Indeed, when could it ever be said that harm
could not be reasonably anticipated from an open and obvious condition?
Ordinary open and obvious conditions are categorically conditions from
which harm may be anticipated . . . .
It is evident that in Mann, and especially in Hoffner, we were concerned with a
foreseeability test because we thought it was no limitation at all given that harm could arise
from every open and obvious hazard.
Such a concern misses the point of the Restatement Second: the thrust of the rule is
not that the injury alone could be anticipated. Rather, it is that the possessor could foresee
that a reasonable person in the invitee’s circumstances would confront the hazard given the
characteristics of that hazard, resulting in harm.
36
aspects” test is simply an application of the Second Restatement, which should continue to
govern. 23 The majority abruptly departs from more than a century of caselaw in which the
obviousness of a hazard generally cuts off the defendant’s liability. By contrast, my view
gives meaning and continuity to our entire body of caselaw on the doctrine. And as
explained, it makes the duty element in premises liability cases coherent with our general
approach to duty, in that each would require foreseeability for a duty to arise. Finally, this
approach better reflects the prudence and caution necessary in cases involving the common
law. As stewards of this body of law, we are obligated to exercise restraint and avoid major
shifts that will no doubt have unforeseen effects. See Bauserman v Unemployment Ins
Agency, 509 Mich 673, 734-735; 983 NW2d 855 (2022) (VIVIANO, J., dissenting). The
majority today exercises no such restraint.
B. APPLICATION
As applied to the present cases, the Second Restatement, as framed by our caselaw,
precludes relief. Kandil-Elsayed v F & E Oil, Inc, is a simple slip-and-fall-on-ice case. A
straightforward application of Hoffner, which would remain good law under my view,
precludes relief. Plaintiff was attempting to enter a commercial establishment to pay for
gas when she slipped on plainly visible snow and ice. In Hoffner, 492 Mich at 457, the
plaintiff similarly fell on ice when entering a gym. Hoffner, applying the special-aspects
23
It goes without saying that we are under no obligation to follow the Restatement. Indeed,
I have explained here why I would not adopt the majority’s approach, which approximates
that of the Third Restatement. But where decades of our precedent express our adherence
to portions of the Second Restatement, we cannot simply ignore that Restatement. Thus,
regardless of whether I would adopt the pertinent portions of the Second Restatement in
the first instance, I would follow our extensive body of caselaw endorsing it.
37
test, noted that there was no evidence that simple ice was unreasonably dangerous, and
there was nothing forcing the plaintiff to confront the risk. Id. at 473. The same is true
here. There has been no evidence presented that there was anything particularly dangerous
about the snow and ice here. Moreover, plaintiff plainly could have avoided it, given that
she was able to do so later when she left the building. For these reasons, under Restatement
Second, §§ 343 and 343A, a premises possessor could not anticipate that reasonable
invitees would confront the snow and ice here. Thus, there was no duty owed to plaintiff.
In Pinsky v Kroger Co of Mich, there are two relevant questions. First, was the
hazard open and obvious? Second, if so, did defendant nonetheless owe a duty to plaintiff
under the appropriate test? With regard to the first question, a hazard is open and obvious
if a reasonable person would observe it upon casual inspection. Novotney v Burger King
Corp (On Remand), 198 Mich App 470, 474; 499 NW2d 379 (1993). The hazard here was
a white wire tied at about waist-height to a candy-and-snack display in a checkout aisle but
running down to below knee-height and attached to a baby formula display in the middle
of the aisle. The Court of Appeals correctly determined that the hazard was open and
obvious because it was plainly visible to anyone walking down the aisle. Indeed, plaintiff
herself noted that she could see the cable in the photographs taken after the incident. I
would also note that, although the Court of Appeals characterized the cable as being below
knee-height, it is actually tied to the candy/snack display at around waist-height, and it then
runs down diagonally toward the baby formula display. This would seem to make it even
more apparent.
The Court of Appeals also properly determined that there were no applicable
exceptions to the open and obvious doctrine. “A checkout lane closed by a cable is an
38
everyday occurrence that a reasonably prudent person would be expected to see and avoid
by choosing an alternative route.” Pinsky v Kroger Co of Mich, unpublished per curiam
opinion of the Court of Appeals, issued May 27, 2021 (Docket No. 351025), p 4. Tripping
over a wire in a store is not appreciably distinct from falling on snow, ice, ordinary
potholes, or stairs. Indeed, stairs could pose an even greater risk of danger, as a fall down
multiple stairs can severely injure or even kill. Yet we have not held that open and obvious
snow, ice, small potholes, or stairs can give rise to liability. Hoffner, 492 Mich at 475
(“The small patch of ice at issue here is of the same character as those open and obvious
hazards—like an ordinary pothole or flight of stairs—that this Court has repeatedly stated
do not give rise to liability for a premises owner.”) (emphasis omitted). 24
For these reasons, I would affirm the decisions below granting summary disposition
in both cases.
24
Plaintiff has also argued that she was distracted by displays when she fell and that this is
a legally relevant factor. It does not appear that she preserved this argument below, but
even assuming that distraction might be relevant, she has offered no evidence that she was
in fact distracted. At her deposition, she never indicated or implied that she was distracted.
She said that she had been to that grocery store many times, had shopped on this occasion
for 45 minutes, and had checked out but had to go back into the shopping area to get a new
bag of flour. She went up the aisle immediately adjacent to the one she had just checked
out of and, she testified, did not see anything obstructing her path. She was instead
“looking ahead into the store.” It was only after she fell that she saw the cart with the baby
formula display. She was asked again if she did not notice that display before the accident.
She responded, “No, I mean, the cart—the basket was in the aisle but it was not obstructing
my path . . . . That path was clear.” Asked the same question again, she said that the “best
that I can tell you” is that she elected to walk to the side of the cart and that she “was aware
of it but I was not aware of anything blocking the area to the side of it.” Further, she said
she was not “conscious of” the cart at the time, but she would not have chosen to walk into
it. Her deposition therefore shows she was not distracted by the baby formula or any other
goods at the time of her fall. She has pointed to no other evidence suggesting that she was
distracted. And she gives no other reason why the premises holder should have anticipated
she would confront the hazard.
39
V. CONCLUSION
The majority’s decision will have repercussions across the state and throughout our
law. Every person and entity possessing real property will feel its effects. The open and
obvious doctrine was not perfect, but it reflected commonsense intuitions and the concept
of duty in our law more generally. In overturning this doctrine, the majority misreads or
ignores decades of precedent and saps the critical duty element of any real limiting force.
And I see no principled reason why today’s decision on premises liability will not extend
to all of negligence law. The result will greatly expand liability, lead to more litigation,
and destabilize the law. Few of our recent decisions in this area of law have had the
potential to wreak such havoc. I dissent.
David F. Viviano
Brian K. Zahra
40