These four consolidated cases present the issue whether a nuisance exception to governmental immunity remains viable after this Court’s decision in Ross v Consumers Power Co (On Rehearing), 420 Mich 567; 363 NW2d 641 (1984), and, if so, in what form. Consideration of this question necessitates review of two pre-Ross decisions in which this Court was divided over the proper scope of the nuisance exception. See Rosario v City of Lansing, 403 Mich 124; 268 NW2d 230 (1978); Gerzeski v Dep’t of State Hwys, 403 Mich 149; 268 NW2d 525 (1978). There are also *145three minor issues that are resolved in the context of their respective cases.
In response to the primary question, we hold that there is a limited trespass-nuisance exception to governmental immunity. The trespass-nuisance exception has a long history in Michigan jurisprudence, it has a strong policy basis in the Michigan Constitution, and its continuing viability comports well with the language of the governmental tort liability act and the Ross decision.
Trespass-nuisance shall be defined as a direct trespass upon, or the interference with the use or enjoyment of, land that results from a physical intrusion caused by, or under the control of, a governmental entity. Damages may be awarded for injury to person or property.
Employing the same historical standard, we reject other versions of the nuisance exception that are unsupported in the relevant case law. Having found some historical evidence of a nuisance per se exception and of a limited public nuisance exception, we leave for another day the question whether such exceptions are sufficiently supported by precedent so as to exist independent of trespass-nuisance and, if so, the issue of their proper scope.
i
The threshold question presented here is whether, in light of the governmental tort liability act and Ross, any common-law tort-based exception to governmental immunity may be recognized. We conclude that a reaffirmation of the historic trespass-nuisance exception is not only permitted, but required, by the language of § 7 of the act.
Section 7 of the governmental tort liability act provides:
*146Except as otherwise provided in this act, all governmental agencies shall be immune from tort liability in all cases wherein the government agency is engaged in the exercise or discharge of a governmental function. Except as otherwise provided in this act, this act shall not be construed as modifying or restricting the immunity of the state from tort liability as it existed before July 1, 1965, which immunity is affirmed. [MCL 691.1407; MSA 3.996(107).]
Tort liability may arise out of the performance of a proprietary, as opposed to a governmental, function. See MCL 691.1413; MSA 3.996(113). In addition, the statutory exceptions of § 7 impose liability for: the failure to maintain highways in reasonable repair, MCL 691.1402; MSA 3.996(102); the negligent operation of a government-owned motor vehicle by a government officer, agent, or employee, MCL 691.1405; MSA 3.996(105); and the failure to repair and maintain public buildings under government control, MCL 691.1406; MSA 3.996(106). In Ross, supra, p 618, we characterized § 7 as a "broad grant of immunity” with "four narrowly drawn statutory exceptions.”
Defendants-appellants in Veeneman v Michigan and McCaul v Village of Lake Odessa, and defendants-appellees in Hadñeld v Oakland Co Drain Comm’r argue against any judicially created exceptions, and would have us interpret § 7 so as to confine liability to the specifically enumerated statutory exceptions. We reject this narrow interpretation because it fails to recognize the second sentence of § 7. "[T]his act shall not be construed as modifying or restricting the immunity of the state from tort liability as it existed before July 1, 1965, which immunity is affirmed.”1
*147Taken alone, the first sentence of § 7 does support a narrow interpretation of the act, to preclude recognition of any nuisance exception. The Legislature’s use of the word "tort” to describe the liability from which governmental agencies are to be held immune exemplifies the breadth of the intended immunity.2 There is no doubt that nuisance is a tort and that liability for nuisance would be within the scope of statutory governmental immunity as expressed in the first sentence of § 7.
However, the second sentence of § 7 retains preexisting governmental immunity law except where provided otherwise in the act. In Thomas v Dep’t of State Hwys, 398 Mich 1, 11; 247 NW2d 530 (1976), we interpreted the second sentence, noting, "[o]bviously this language must be construed as an 'affirmation’ of case-law precedent on the subject of the state’s immunity.” More specifically, we note Justice Ryan’s observations in his dissenting opinion in Rosario, supra, p 146:
[I]n order to determine the scope of the now codified immunity, we must determine the scope of *148its antecedent "existing immunity.” Since the common-law or "existing immunity” doctrine included certain judicially created exceptions which defined its limits, the legislatively codified immunity is limited and defined by the same exceptions. One of these exceptions is here in issue: the doctrine of "nuisance.”3
Commentators have also found in the second sentence of § 7 a legislative intent to preserve the nuisance exception that had been recognized at common law.
The Michigan court has recognized this head of liability from the very beginning. It seemed so obvious to the nineteenth-century court that it was practically taken for granted, and it antedates the governmental-function defense by decades. It reflects one of the strongest claims for relief that can be asserted .... There is nothing in their public expressions to indicate that those who drafted the statute had any such change in mind; indeed, one of them summed the statute up in these terms: "The net effect of Act 170, 1964, is to largely return to municipal corporations the position they enjoyed prior to the decision of the Williams [v Detroit, 364 Mich 231; 111 NW2d 1 (1961) (abrogating governmental immunity for municipalities)] case.” This is surely a situation where the legislature should be expected to express an intent to make an important change in the law in words incapable of being misunderstood, rather than relying upon implication. On this basis the sentence can justifiably be construed to avoid the consequence that the words, in the abstract, seem to suggest. The term governmental function has no clear and indisputable core of meaning. It is a term of art, definable only by reference to the instances to which it has been applied. It has *149never been applied by the Michigan court to protect any governmental agency against liability in a situation recognized to be within the nuisance-trespass category. This sentence, I submit, should be seen as a restoration of the governmental-function defense as it existed in the case law, alongside the nuisance-trespass head of liability. [Cooperrider, The court, the legislature, and governmental tort liability in Michigan, 72 Mich LR 187, 279-280 (1973).]
See also DeMars, Intentional nuisance in fact: Should it be a bar to a governmental function defense in Michigan?, 1981 Det C L R 771, 790.
We agree with these authorities on this point and with Justice Ryan’s interpretation of §7. While the defendants’ arguments, advocating recognition of only statutory exceptions, are temptingly simple and straightforward, they negate or ignore the second half of the legislative mandate of § 7. That section requires a continuation of the nuisance exception as formulated prior to the enactment of the governmental immunity act in 1964, as amended by 1970 PA 155. Thus, an understanding of nuisance generally and of the history of the nuisance exception to governmental immunity prior to the act will facilitate articulation of the limited exception that we adopt here and apply to the cases at bar.
n
To find that there existed a common-law nuisance exception to governmental immunity and that that exception survived through the passage of the second sentence of § 7 of the governmental tort liability act does not answer the more difficult aspect of the question presented. As we noted in Ross, the Legislature intended a broad grant of *150immunity; thus, any liability for nuisance must be carefully limited according to the parameters of that historically recognized cause of action. Thus, the reasoning and rationale of pre-governmental immunity act cases must provide a formula for any nuisance exception that may be said to have been embraced by the Legislature through the language of § 7.
Because nuisance as a legal concept is difficult, if not impossible, to define,4 we take great pains to describe the type of liability to which governmental entities are exposed under the nuisance exception adopted today. It is not enough to say that there is a "nuisance” exception to governmental immunity. This Court has commented on the amorphous nature of a nuisance action:
Nuisance is the great grab bag, the dust bin, of the law. It comprehends interference with an owner’s reasonable use and enjoyment of his property by means of smoke, noise, or vibration; the obstruction of private easements and rights of support; interference with public rights, such as free passage along streams and highways, the enjoyment of public parks and places of recreation, and, in addition, activities and structures prohibited as statutory nuisances. ... In short, nuisance . . . "is a good word to beg a question with. It is so comprehensive a term, and its content is so heterogeneous, that it scarcely does more than state a legal conclusion that for one or another of widely varying reasons the thing stigmatized as a nuisance violates the rights of others.” [Awad v McColgan, 357 Mich 386, 389-390; 98 NW2d 571 (1959).]
*151Nuisance originally grew out of the distinction between the old action of trespass and the action on the case. "[Trespass is an invasion of the plaintiffs interest in the exclusive possession of his land, while nuisance is an interference with his use and enjoyment of it.” Prosser & Keeton, Torts (5th ed), § 87, p 622. Nuisance generally, however, goes well beyond the basic definition into broad areas of liability. Because the concepts of trespass and "classic” nuisance are so close, we include both trespass and trespassory nuisance within the exception adopted today.
There are two basic types of nuisance: public and private. They "have almost nothing in common, except that each causes inconvenience to someone . . . .” Prosser & Keeton, supra, p 618. The Restatement observes:
Notwithstanding the absence of any real relation or connection between public and private nuisance that is readily apparent, the use of the same name for both has resulted in the application of the same rules to the two, with only minor differences due to the distinct character of the two types of interests invaded. [4 Restatement Torts, 2d, Introductory Note to ch 40, p 85.]
"A private nuisance is a civil wrong, based on a disturbance of rights in land.” Prosser & Keeton, supra, p 618. A public nuisance is a "criminal offense, consisting of an interference with the rights of the community at large . . . .” Id. The Restatement defines public nuisance as "an unreasonable interference with a right common to the general public.” 4 Restatement Torts, 2d, § 821B, p 87. Prosser & Keeton describe the overlap between public and private nuisance: When "the individual interest that the public nuisance is designed to protect is the type protected under tort law, then *152the conduct that is regarded as a public nuisance will quite often be regarded also as either a private nuisance or some other tort to those who are adversely affected.” Id., § 90, p 652.
In Michigan, public nuisance is governed by statute, see MCL 600.3801 et seq.; MSA 27A.3801 et seq., as well as common law. Under the public nuisance act, the Attorney General, prosecuting attorneys, and citizens are empowered to bring actions to abate activities defined as public nuisances.5 See Prosser & Keeton, supra, § 90, p 652; MCL 600.3805; MSA 27A.3805. "At common law, acts in violation of law constitute a public nuisance. Harm to the public is presumed to flow from the violation of a valid statute enacted to preserve public health, safety and welfare.” Attorney General v Peterson, 381 Mich 445, 465; 164 NW2d 43 (1969).6
Two additional categories are nuisance per se and nuisance in fact or "per accidens.” This Court has explained that difference:
"From the point of view of their nature, nuisances are sometimes classified as nuisances per se or at law, and nuisances per accidens or in fact. A nuisance at law or a nuisance per se is an act, occupation, or structure which is a nuisance at all times and under any circumstances, regardless of location or surroundings. Nuisances in fact or per accidens are those which become nuisances by reason of circumstances and surroundings, and an act may be found to be a nuisance as a matter of *153fact where the natural tendency of the act is to create danger and inflict injury on person or property. The number of nuisances per se is necessarily limited, and by far the greater number of nuisances are nuisances per accidens.” [Rosario, supra, pp 132-133 (opinion of Fitzgerald, J.), quoting Bluemer v Saginaw Central Oil & Gas Service, Inc, 356 Mich 399, 411; 97 NW2d 90 (1959).]
Nuisance in fact has been divided into two further subclasses of nuisance: intentional and negligent. Gerzeski, supra, p 158. In Dahl v Glover, 344 Mich 639, 644; 75 NW2d 11 (1956), the Court approved jury instructions that described nuisance per se as well as the two types of nuisance in fact. See also Denny v Garavaglia, 333 Mich 317, 331; 52 NW2d 521 (1952).
These distinctions — between nuisance per se and nuisance in fact, and between intentional nuisance in fact and negligent nuisance in fact — became the foundation for the differences of opinion in Rosario and Gerzeski. Thus, with this brief introduction to the concept of nuisance generally, we turn to the question of the proper scope of the nuisance exception to governmental immunity in light of our interpretation of § 7 and Ross.
iii
The various opinions in the Rosario and Gerzeski cases represent a partial menu of the options available when considering the appropriate scope of the nuisance exception. There has been no clear majority for any one view, and, given that our opinion in Ross redefined the entire governmental-immunity landscape, we are compelled at this point to analyze the issue in a fresh light. The nuisance exception that we now recognize is not one advanced by any one of the opinions in those *154cases, but, rather, is one that best reflects the exception as it existed at common law, prior to the adoption of the governmental tort liability act. Of the Rosario and Gerzeski opinions, only Justice Ryan’s dissenting opinions employed this historical approach, which we find to be required by the second sentence of § 7.
A
There is a great deal of historical precedent in favor of the first prong of the nuisance exception advocated by the Rosario and Gerzeski dissents. Justice Ryan referred to it as an exception for "intruding nuisance,”7 Gerzeski, supra, p 171, and Professor Cooperrider terms it the "nuisance-trespass” exception. Cooperrider, supra, p 280. We find that this type of nuisance was clearly recognized at common law prior to the enactment of the governmental tort liability act, and that the Legislature intended to preserve it by the second sentence of § 7.
The earliest cases to recognize governmental *155liability8 involved some type of direct invasion by the government entity of the plaintiffs’ land. The actions were characterized either as trespass or nuisance, but invariably focused on the aspect of direct, physical invasion. This focus stemmed from the primary rationale for imposing liability: The "Taking” Clause of the constitution, beginning in Const 1835, art 1, § 19, and continuing through our present constitution, Const 1963, art 10, §2, guarantees that the property rights of citizens are protected from governmental taking "without just compensation.” Trespassory invasions that stopped short of being "takings” of property were considered actions for which governmental entities should not escape liability.
The earliest trespass-nuisance case was an action against the City of Saginaw for damages *156caused by surface water that was thrown upon the plaintiffs land from ditches created and maintained by the city. This Court, without discussing liability in terms of governmental immunity, opined "that the city, by creating the nuisance, which the evidence offered tended to prove, is prima facie liable for its continuance.” Pennoyer v Saginaw, 8 Mich 534, 535 (1860). The defendant’s actions in Pennoyer may be characterized as either trespass or nuisance.
In Sheldon v Kalamazoo, 24 Mich 383 (1872), the plaintiff sued the city over the removal of his fence, which the city claimed "encroached” on the line of a road. The plaintiff had offered to show that his fence was on his property. Referring to the injury as a "wilful trespass,” the Sheldon Court employed a taking analysis to this case of municipal "invasion”:
If the property in dispute is not subject to the public easement asserted, then the village of Kalamazoo has taken possession of property it could not lawfully appropriate without a legal condemnation. There is no authority that we can find which holds such an invasion of private lands not to be an act of the corporation, and none which would exempt the corporation from liability to an action for the wrong. [Id., pp 386-387.]
Ashley v Port Huron, 35 Mich 296 (1877), involved property damage due to flooding. The flooding was caused by the cutting of a sewer "under the direction of the city authorities, and under city legislation the validity of which is not disputed.” Id., p 297. In an opinion by Chief Justice Cooley, the Ashley Court articulated the issue as one of governmental immunity. The trial court had apparently directed a verdict in favor of the defendant, on the ground
*157that the city, in ordering the construction of the sewer and in constructing it, was acting in the exercise of its legislative and discretionary authority, and was consequently exempt from any liability to persons who might happen to be injured. [Id., p 297.]
Chief Justice Cooley noted first:
But it is not strictly the failure to construct sewers to carry off the water that is complained off [sic] in this case; it is of the positive act of casting water upon the plaintiff’s premises by the sewer already constructed. [Id., p 300.]
He approved of an analogous Massachusetts case that had affirmed "the clear liability of the defendant where the injury was accomplished by an actual invasion of another’s premises . . . .” Id., pp 300-301 (emphasis added).
Expressing the general rule to be applied in these situations, the Ashley Court again emphasized a "taking” rationale for imposing liability on municipal defendants:
It is very manifest from this reference to authorities, that they recognize in municipal corporations no exemption from responsibility where the injury an individual has received is a direct injury accomplished by a corporate act which is in the nature of a trespass upon him. The right of an individual to the occupation and enjoyment of his premises is exclusive, and the public authorities have no more liberty to trespass upon it than has a private individual. If the corporation send people with picks and spades to cut a street through it without first acquiring the right of way, it is liable for a tort; but it is no more liable under such circumstances than it is when it pours upon his land a flood of water by a public sewer so constructed that the flooding must be a necessary result. The *158one is no more unjustifiable, and no more an actionable wrong, than the other. Each is a trespass, and in each instance the city exceeds its lawful jurisdiction. A municipal charter never gives and never could give authority to appropriate the freehold of a citizen without compensation, whethér it be done through an actual taking of it for streets or buildings, or by flooding it so as to interfere with the owner’s possession. His property right is appropriated in the one case as much as in the other.
A like excess of jurisdiction appears when in the exercise of its powers a municipal corporation creates a nuisance to the injury of an individual. The doctrine of liability in such cases is familiar, and was acted upon in Pennoyer .... [Id., p 301. Emphasis added. Citations omitted.]
Rice v Flint, 67 Mich 401; 34 NW 719 (1887), also fits within the trespass-nuisance category, although Rice does not mention the immunity defense. In Rice, the plaintiffs building foundations were damaged when the city changed the grade of the nearby street, causing flooding on the plaintiff’s land. Citing Ashley and Pennoyer, the Court held:
For a direct act which causes water to flow upon the premises of another to his injury a municipality is responsible. A city has no more right to invade or cause the invasion of private property than an individual. [Id., p 403.]
In Seaman v City of Marshall, 116 Mich 327; 74 NW 484 (1898), the alleged negligence on the part of the defendant city was in issue. Seaman sued the city for damages to his basement caused by accumulated water that flowed there because a *159sewer or drain tile was inadequate to carry off storm water.
The general rule to be applied was stated:
[T]he city is required to use due caution, and if, through its negligence in not providing reasonably efficacious means to take care of the water that it should reasonably expect to accumulate by reason of its gutters, a person is injured by the overflow upon his premises of water collected by the sewers, and brought to such premises, and which would not otherwise have invaded them, the city is liable for the damages. [Id., p 330.]
Thus, liability was premised not on an official decision of the municipality that resulted in damage, but on the negligence of the city in not allowing for the foreseeable harm when it designed the sewer system. Negligence was found in the city’s failure to "remov[e] obstructions, or for constructing a gutter which it should have known, or have reasonably expected, would bring water to the point in controversy faster than the means provided could reasonably be expected to take care of it . . . .’’Id., p 331.
This trend toward liability in trespass-nuisance cases involving negligence was continued in Ferris v Bd of Ed, 122 Mich 315; 81 NW 98 (1899), which, for the first time, allowed recovery for personal injuries rather than property damage. In Ferris, snow and ice had fallen off the roof of a school building onto the plaintiff’s property. The plaintiff sued for injuries he incurred when he slipped and fell on the accumulated ice. The trial court had held that a municipal corporation could not be held liable for negligence. On appeal, the plaintiff argued that "where the injury is the result of the direct act or trespass of the municipality, it is *160liable, no matter whether acting in a public or private capacity.” Id., p 318 (emphasis added).9
Citing Rice, supra, the Ferris Court approved of the plaintiffs argument:
The plaintiff had the right to the exclusive use and enjoyment of his property, and the defendant had no more right to erect a building in such a manner that the ice and snow would inevitably slide from the roof, and be precipitated upon the plaintiff’s premises, than it would have to accumulate water upon its own premises, and then permit it to flow in a body upon his premises. It has been many times held in this court that a city has no more right to invade, or cause the invasion of, private property, than an individual. [Id., p 318. Emphasis added.]
The Ferris Court noted that the action was not based on
a neglect in the performance of a corporate duty rendering a public work unfit for the purposes for which it was intended, but the doing of a wrongful act, causing a direct injury to the person of the plaintiff, while outside the limits of the defendant’s premises. [Id., p 319.]
*161The parameters of the exception as it applies to a nuisance originating in negligence were further defined in Kilts v Kent Co Bd of Supervisors, 162 Mich 646; 127 NW 821 (1910). In Kilts, the plaintiff’s decedent was killed at a worksite where a tower collapsed due to insufficient support. The Court found that the county was performing a governmental function in contracting for the construction of the tower. Regarding the plaintiff’s claim that the county should nevertheless be held liable because the tower was a nuisance, the Court stated that such a claim "would be an extension of the law of nuisance.” Id., p 649.
During this time period, cases involving trespass or a physical invasion of a plaintiff’s land amounting to "classic” nuisance continued to form the basis of the exception. See, e.g., Attorney General ex rel Wyoming Twp v City of Grand Rapids, 175 Mich 503, 538; 141 NW 890 (1913). ("A city cannot, without direct legislative authority, pollute a stream with its sewage to the injury of lower proprietors. And it cannot be done by legislative authority without making compensation to the injured riparian owners.”) Donaldson v City of Marshall, 247 Mich 357, 359; 225 NW 529 (1929), although not addressing governmental immunity directly, held that the city had a duty to maintain its drain so as to prevent the flow of water from causing accumulation on the plaintiff’s land.
Generalizing from these early cases, it appears that where an invasion or intrusion onto a plaintiff’s land occurred, the defendants were often found liable, regardless of whether the municipality acted directly, through an order perhaps, or whether its agents acted intentionally or negligently to produce the invasion. Consideration of the effect (the invasion), rather than of the act *162that caused the effect, continued to be the primary focus through the 1950’s.
For example, in Robinson v Wyoming Twp, 312 Mich 14; 19 NW2d 469 (1945), the defendant was held liable for the destruction of the plaintiff’s property by fire. The fire was caused by a kerosene spill that resulted from flooding that occurred because of the way the township had constructed a park and lake. As a general rule, the Robinson Court stated:
"That neither the public, in constructing highways, nor private parties for the benefit of their own lands, can turn water from its natural course onto the lands of another, is well settled.” [Id., p 24. ]
Robinson held:
From the evidence in the case at bar the jury could find that the township of Wyoming had so constructed its park and lake that the flooding of plaintiffs’ property was a natural result from surplus water flowing out of the breakthrough in the embankment. The facts in this case take it out of the general rule that a municipality is not liable for the negligence of its officers and agents. [Id., p 25. ]
In Rogers v Kent Bd of Co Road Comm’rs, 319 Mich 661, 666; 30 NW2d 358 (1948), the Court found "a continuing trespass” in the county’s failure to remove a metal post that had been part of a snow fence that it had installed with permission on the plaintiff’s property. The plaintiff’s decedent was killed when his tractor hit the post.
Defnet v Detroit, 327 Mich 254; 41 NW2d 539 (1950), and Herro v Chippewa Co Road Comm’rs, 368 Mich 263; 118 NW2d 271 (1962), represent more *163recent applications of the exception to classic trespass-nuisance situations. They reinforce this narrower interpretation of the exception’s scope, while emphasizing the "taking” rationale.
In Defnet, the plaintiff was plagued by obnoxious fumes leaking from his fireplace and an eventual cave-in of his backyard, caused by an old sewer that the defendant had informed him was "blocked off.” After further investigation, a perfectly functioning sewer was discovered running under the plaintiffs property. The Court held:
The maintenance of an active sewer since 1915 beneath plaintiffs’ lands constitutes a trespass. Although the sewer line break was under the Defnet property, that does not relieve the city from the damages caused by its trespass. [Id., p 258. Emphasis added.]
Enunciating the general rule, and noting the "taking” connection, the Defnet Court concluded:
The city cannot excuse its tortious taking of private property by invoking the shibboleth of governmental function. [Id.]
Herro was a wrongful death action stemming from the breakthrough flooding of water that had been impounded for purposes of the defendant’s road construction project. In addition to the death of the plaintiffs decedent, the complete destruction of a private summer residence occurred. The plaintiff, a visitor at the residence, alleged both trespass and nuisance.
After citing and discussing Ashley, Rice, Seaman, Ferris, Robinson, and Rogers, and distinguishing the cases argued by the defendant, the Herró Court referred to "the common-law right of recovery for destructive water trespass, no matter *164who the public or private trespasser-flooder might be . . . Id., p 272. It expressed two general rules to be applied:
The first is that — in Michigan — no city, village, township, county, or any administrative division thereof, has been held immune from liability for destructive flooding of private property occasioned by trespass, provided the trespass is pleaded and proved as in Ashley and like cases.
The second is that Ashley . . . stands ... for the proposition that even the State "could not intrude upon the lawful possession of a citizen . . . .” [Id.]
Finding that the plaintiff’s action was not barred by governmental immunity, the Court also held that there should be no distinction between a continuing trespass and one occurring suddenly or directly.
Finally, in its conclusion, the Herró Court, like Defnet, stressed the "taking” rationale, quoting Ashley:
"A municipal charter never gives and never could give authority to appropriate the freehold of a citizen without compensation, whether it be done through an actual taking of it for streets or buildings, or by flooding it so as to interfere with the owner’s possession. His property right is appropriated in the one case as much as in the other.” [Id., p 275. Citations omitted.]
Although Herró emphasized the "taking” rationale and the need for some invasion of a private property interest, the plaintiff in Herró was merely a visitor on the land. Therefore, Herró makes clear that the plaintiff in an action claiming the trespass-nuisance exception need not be the owner of the land on which the invasion occurs.
*165B
As is evident from the above discussion of the early cases, the "Taking” Clause of the constitution10 formed the basis of the trespass-nuisance exception as it evolved prior to 1964. Justice Ryan described the taking rationale:
In [intruding-nuisance] cases the potentially dangerous instrumentality or condition literally moves from government-owned land onto adjacent property. Consequently, the neighboring premises and its occupants are subject to either the creation of a risk foreign to the premises or direct and immediate injury. When this transpires the government effectively deprives an owner of the useful possession of that which he owns. This Court views such action as a public taking. Under this analysis the state is obliged to pay reasonable compensation for damages ensuing from such "taking” in accordance with the Constitution of the State of Michigan, Const 1963, art 10, § 2. [Gerzeski, supra, p 170 (dissenting opinion). Citations omitted.]
Justice Ryan emphasized the interconnection of the Taking Clause and the trespass-nuisance exception even more explicitly when he stated:_
*166[W]hen the "taking” is the result of an "intruding nuisance,” the state cannot validly raise sovereign immunity from liability to avoid paying compensation to a damaged party. [Gerzeski, supra, p 171.]
In Ashley, supra, p 301, Justice Cooley observed:
A municipal charter never gives and never could give authority to appropriate the freehold of a citizen without compensation, whether it be done through an actual taking of it for streets or buildings, or by flooding it so as to interfere with the owner’s possession. His property right is appropriated in the one case as much as in the other.
As noted above, a taking rationale was also employed in Sheldon, supra. In Defnet, supra, p 258, the Court held that "[t]he city cannot excuse its tortious taking of private property by invoking the shibboleth of governmental function.” (Emphasis added.)
In Bator v Ford Motor Co, 269 Mich 648; 257 NW 906 (1934), the defendant city had contracted for the defendant Ford Motor Company to lay water pipes. Damage to the plaintiffs building resulted from the work. Although the plaintiff had alleged breach of contract, negligence, and trespass, the Court employed a taking analysis in response to the defense of governmental immunity.
If private property cannot be taken by the public nor by a corporation for public use . . ., surely private property cannot be taken by the public for the use and benefit of a private corporation without at least just compensation. [Id., pp 665-666.]
Likewise in Herró, supra, p 275, one of the cases *167cited most often for the nuisance exception, we stated:
[I]t remains true that where real estate is actually invaded by superinduced water, earth, sand, or other material,... it is a taking within the meaning of the Constitution.
In analogous post-1964 cases, this Court applied the Taking Clause as the basis of liability in situations that might have been characterized as trespass-nuisance according to the earlier definitions.11 In Buckeye Union Fire Ins Co v Michigan, *168383 Mich 630; 178 NW2d 476 (1970), although the plaintiff had alleged nuisance and this Court found nuisance, the holding was premised on the fact that an unconstitutional taking had occurred.12 Damage to the plaintiff’s property had been caused by a fire that spread from property owned by the state and found to be a fire hazard by the trial judge.
The two causes of action were treated synonymously. On the one hand, the Buckeye Court noted that the defendant’s actions amounted to a taking. Id., p 641. On the other hand, the Court observed that
[t]he fire hazard which the state permitted to continue was a nuisance which directly interfered with the property of plaintiffs’ subrogors and ultimately led to its damage. . . . There is no sovereign immunity applicable to a situation of nuisance as we have in this case. [Id., pp 643-644. Emphasis added.]
Thus, there is a strong link between the common-law trespass-nuisance exception and the Tak*169ing Clause of the constitution. Combined with the long history of the exception, this constitutionally based policy provides a solid foundation for the reaffirmation of trespass-nuisance as a basis of governmental tort liability. The strong presence of trespass-nuisance in the case law prior to 1964, in light of its constitutional origins, persuades us that the Legislature intended, through the language of the second sentence of § 7, to preserve the exception in its established form.
Therefore, we find that plaintiffs will successfully avoid a governmental immunity defense whenever they allege and prove a cause of action in trespass or intruding nuisance. Trespass-nuisance shall be defined as trespass or interference with the use or enjoyment of land caused by a physical intrusion that is set in motion by the government or its agents and resulting in personal or property damage. The elements may be summarized as: condition (nuisance or trespass); cause (physical intrusion); and causation or control (by government).
c
We have limited the exception to the type of governmental nuisance liability that was recognized prior to 1964. As is evident from the historical analysis offered above, the vast majority of cases applying a nuisance exception to governmental immunity involved trespass or intruding nuisance. Utilizing the same approach, we thus reject several other versions of the exception, claimed by the plaintiffs in these cases, that would clearly extend the scope of the exception beyond that which was recognized in 1964, and would hence run contrary to legislative intent. Finally, we decline to address the question whether the nuisance *170exception might be further extended to nuisances per se or to a form of public nuisance that would be directly analogous to trespass-nuisance. Such forms of the exception have some representation in the pre-1964 case law; however, the facts of the cases presented do not necessitate resolution of these issues.
i
Having found that an historical approach is mandated by the second sentence of § 7 of the governmental tort liability act, it is clear that the various versions of the "intentional nuisance” exception, which were formulated in Rosario and Gerzeski, are not encompassed by the legislative intent of that provision. There is no pre-1964 case law that recognizes or applies either an "intentional” or a "negligent” nuisance exception, in any form. Thus, it is unnecessary to become embroiled in the many complicated issues that were precipitated by the Rosario and Gerzeski opinions.
The trespass-nuisance exception focuses on the condition, rather than on the state of mind of the defendant. By contrast, Justice Moody’s opinions in Rosario and Gerzeski would have included all "intentional” nuisances within the scope of the exception. Justice Fitzgerald would have broadened the exception to include all nuisances, whether intentional or negligent. Because Justice Moody was the "swing vote” in those decisions, his intentional-nuisance version of the exception has been adopted most often by the Court of Appeals.13
Both Rosario and Gerzeski originated in tragic accidents involving children. In Rosario, the plaintiffs decedent, nineteen months old, drowned in an *171open sewer drain that existed allegedly because of the defendant’s negligence. The plaintiffs complaint averred that the City of Lansing "knew or should have known that there was no top on said drain,” that the drain "constituted an inherently dangerous condition,” which the city had done nothing about. There was also a claim of "attractive nuisance.”
Justice Fitzgerald, joined by Chief Justice Kavanagh and Justice Levin, found that a broad nuisance exception existed and that the plaintiff had sufficiently pled nuisance in fact; therefore summary judgment based on governmental immunity was improper. The concept of attractive nuisance was held to be inapplicable to the facts of Rosario. Justice Moody, joined by Justice Williams, concurred with that result, but would have applied the formulation of the intentional-nuisance exception that he described in his opinion in Gerzeski. Justice Ryan, joined by Justice Coleman, dissented.
In Gerzeski, two boys, ages ten and twelve, drowned in a pond that had been created by the defendant highway department when it "borrowed” soil for use in constructing a portion of I-75. Water from a preexisting drain, "a 'flowing well’ beneath the surface of the borrow pit, and the water level of the surrounding lake combined to fill the pit with water.” Id., p 154. The boys had ventured out on the apparently frozen surface and had drowned at the point where the drain flowed into the pond. The father of one of the boys also drowned when he went out to look for them. The plaintiffs alleged attractive nuisance and gross negligence on the part of the highway department and the State Highway Commission.
Justice Fitzgerald, joined by Chief Justice Kavanagh and Justice Levin, again advocated adop*172tion of an expanded nuisance exception. The Court of Appeals in Gerzeski had found that only trespass-nuisance and nuisance per se fell within the nuisance exception.
Justice Moody opined that "[t]o hold the government immune from the consequences of its intentional acts which create a nuisance would be . . . unconscionable.” Id., p 162. He would have found the governmental immunity defense inapplicable whenever the trier of fact finds that a governmental agency "intended to bring about the conditions which are in fact found to be a nuisance.” Id.
It is obvious that neither Rosario nor Gerzeski involved a trespass-nuisance. Thus, the exception that is adopted today would not apply to either case. Because we perceive no pre-1964 historical basis for an intentional-nuisance exception, we find that no such exception exists, and we decline to enter the debate over the proper definition of intent. By adopting the historical approach that is mandated by the governmental tort liability act and Ross, we also avoid questions related to the sufficiency of the requisite intent — issues with which the Court of Appeals has grappled since Rosario and Gerzeski.14
*173Although the broadest version of the exception does not present as many problems of application, it is rejected for the same reasons as is the intentional-nuisance version. The broad view would include all nuisances — negligent and intentional— within the purview of the exception. There are undoubtedly policy reasons that support creation of such a broad interpretation of the exception, but those policies have been severely undercut by the governmental immunity act as interpreted by this Court in Ross.
In Ross, we addressed the Legislature’s obvious intent to occupy the field of governmental immunity law, and we moved carefully to impose judicial construction only upon those terms in the statute that required interpretation. Therefore, endorsement of either of the majority options in Rosario or Gerzeski would contradict the clear import of Ross.
2
In addition to trespass-nuisance, Justice Ryan, in his Rosario/Gerzeski dissents, would have included nuisance per se as a basis of liability.
”[A] nuisance per se is an act, occupation, or *174structure which is a nuisance at all times and under any circumstances, regardless of location or surroundings.” [Rosario, supra, p 133.]
Since none of the plaintiffs in the cases at bar have claimed a nuisance per se, and since such a claim would be implausible under the facts of these cases, we decline to consider at this time the viability of a nuisance per se exception.
However, we note that three pre-1964 cases are often cited to support the inclusion of nuisances per se within the exception: Royston v City of Charlotte, 278 Mich 255; 270 NW 288 (1936), Trowbridge v City of Lansing, 237 Mich 402; 212 NW 73 (1927), and Attorney General ex rel Wyoming Twp v Grand Rapids, supra. We also observe that two of these cases fall into the category of trespassnuisance.15
In Trowbridge, the plaintiffs sought abatement of the city’s operation of a "piggery,” essentially a site where hogs were kept and fed truckloads of municipal garbage.
The plaintiffs had alleged "physical discomfort from the sickening, nauseating, and offensive odors.” In addition, "they were annoyed by flies in great and unusual numbers.” Insects and odors may be characterized as intrusions of a trespassory nature. Their presence on the plaintiffs’ property constituted a nuisance and was within the control of the municipal defendant.
The same conclusion may be drawn from Attorney General ex rel Wyoming Twp, supra. In that case, the defendant city’s depositing of sewage in the river was alleged to be a public nuisance by the plaintiff riparian owners. Like the plaintiffs in *175Trowbridge, these plaintiffs sought abatement of the alleged nuisance. Pennoyer, Ashley, and Seaman were cited as controlling precedent (175 Mich 534), and several references to just compensation were made. See id., pp 534, 539. The sewage that was allegedly "cast upon” the plaintiffs’ land, id., p 505, was certainly a trespass-nuisance. Thus, both of the activities in Trowbridge and Wyoming, while capable of being described as nuisances per se, were clearly trespass-nuisance and in line with the exception adopted today. Royston has been subject to various interpretations.16
Nonetheless, because no nuisance per se is alleged in these cases, we refrain at this time from a complete analysis of these cases. We leave for another day the question whether there is sufficient historical precedent to support a nuisance per se exception.
3
Although the vast majority of cases applying a nuisance exception to governmental immunity prior to the enactment of the governmental tort liability act in 1964 involved classic trespass or intruding nuisance onto private property, there is at least one exception to this rule, Pound v Garden City School Dist, 372 Mich 499; 127 NW2d 390 (1964), discussed below. This apparent departure *176from precedent involved a public nuisance analogous to trespass-nuisance, but with no private property interest at stake. However, as with nuisance per se, we do not now consider the full import of the Pound case.
In Pound, the plaintiff was injured on ice created on a public sidewalk by improper drainage from school property. The Pound Court applied Ferris, quoting extensively from that case, and held that the plaintiff’s allegations were within the Ferris criterion of " 'a direct injury to the person of the plaintiff, while outside the limits of the defendant’s premises.’ ” Id., p 501.
The Pound Court refused to
establish a distinction between a plaintiff who is directly injured while upon his own premises by the wrongful act of defendant and another plaintiff who is likewise directly injured in a place, such as a public way, where he has a right to be and which is not subject to the authority of defendant. Such a distinction would be without justification in logic or public policy. [Id., p 502.]
Thus, Pound might be used as the basis for an argument that a form of public nuisance, which mirrors the trespass-nuisance situation but occurs on public property, should be included within the historically recognized exception.17 However, we decline to address the question whether such a *177limited public nuisance exception has a sufficient historical basis because none of the cases at bar are analogous to Pound.
IV
Applying the nuisance exception to governmental immunity as defined herein, we affirm the decisions of the Court of Appeals in Hadfield v Oakland Co Drain Comm’r and in McCaul v Lake Odessa, finding the exception applicable. We reverse the decisions of the Court of Appeals in Veeneman v Michigan and Landry v Detroit, where defendants were denied immunity. There are three additional issues presented in Hadfield, Veeneman, and Landry, which are discussed in the context of their respective cases.
Three of the four cases at bar resulted in summary judgment, GCR 1963, 117.2(1) (MCR 2.116[C][8]). We note that under this rule the court "does not act as a factfinder, nor does the court attempt to probe the parties’ ability to prove their allegations. Thus, the court accepts as true all well-pleaded facts.” Abel v Eli Lilly & Co, 418 Mich 311, 324; 343 NW2d 164 (1984), reh den 419 Mich 1201 (1984), cert den sub nom ER Squibb & Sons, Inc v Abel, 469 US 833 (1984).
A
HADFIELD v OAKLAND COUNTY DRAIN COMMISSIONER
This case arose out of the flooding of plaintiffs’ sod farm allegedly caused by the obstruction of the Big Meadows and Paint Creek Drains due to defendants’18 failure to prevent the installation of cer*178tain culverts19 and subsequent failure to remove those culverts.
In 1964, plaintiffs requested permission from the drain commissioner20 to remove dirt from the drains to keep water from backing onto their land. Plaintiffs introduced evidence that beginning in 1965 they installed "drainage tiles” which, for a period of time, largely or completely eliminated the problem.
However, in 1967, the plaintiffs complained to the drain commissioner about improper functioning of the drains. The plaintiffs’ son bulldozed the drains, which improved their functioning until 1969. The plaintiffs complained again in 1969, and again their son cleaned out and bulldozed the drains. In 1973, plaintiffs hired a contractor to clean the drains, but, because of the great quantity of mud in the drains, the contractor was unable to perform the task. Plaintiffs did not petition to have the drain commissioner clean out the drains. See MCL 280.194; MSA 11.1194.
The accumulation of water that began in 1972 took longer to drain off than had the water in previous years. In 1973, the drain commissioner’s office discovered the culverts and wrote letters to those who had installed them and contacted the *179dnr to pursue a negotiated removal of the culverts. When this approach failed, the drain commissioner’s office, in 1976, sued the landowners who had installed the culverts.
Plaintiffs discovered the culverts in 1975, complained to the drain commissioner, and eventually brought suit in 1977 against the current defendants and the Department of Natural Resources. The complaint contained four counts.
The first count, entitled "Trespass to Lands,” alleged that defendants’ actions and omissions resulting in the obstructions to the drains caused permanent damage to plaintiffs’ land "virtually destroy[ing] the sod farm business . . . .” Plaintiffs alleged that in 1975 and 1976 they had repeatedly requested the defendants to take action regarding the condition of the drains, but that defendants failed to do so. Because of defendants’ failures, plaintiffs alleged that
the waters were obstructed and stopped so as to back up and flow in large quantities across and upon the Plaintiffs’ property, trespassing thereupon and inundating the lands of the Plaintiffs’ sod farm to a depth of several feet with muddy water, causing the Plaintiffs’ sod farm to be inundated and destroying present and future crops, chattels, fixtures and equipment, the land of productivity and the like ....
Count ii alleged an "unconstitutional taking of land without compensation.” Plaintiffs averred that through their acts and failures to act, defendants had
unjustifiably and unlawfully interfered, hindered, prevented and deprived the Plaintiffs of the use of the lands for the purpose for which they had been used and were intended.
*180The third count sounded in public nuisance. The plaintiffs alleged
that the large accumulation of standing water on the Plaintiffs’ land constitute^] a serious health hazard ....
Finally, the plaintiffs’ fourth count sought mandamus to have the drains immediately removed.
The drain commission disputed its jurisdiction and its failure to fulfill its duties. It did concede that the culverts constituted a blockage. It argued that the blockage did not cause flooding as far up the drain as plaintiffs’ farm and that the flooding was instead caused by a combination of heavy rainfall and the marsh-like nature of the land, made apparent by the pre-culvert flooding.
Oakland Circuit Judge Farrell E. Roberts heard testimony in April, May, and June, 1981. Summary judgment was entered as to counts i (trespass) and iv (mandamus). Count n (taking) was dismissed at the completion of proofs on defendants’ motion.
Thus, the trial court opinion addressed only count hi, public nuisance. The court observed that "there is a judicially created exception to [governmental immunity] where a plaintiff has alleged . . . intentional nuisances.” The court noted preliminarily the fact that in its opinion plaintiffs had pled the existence of both public and private nuisance.
However, in regard to the public nuisance claim, the court held that plaintiffs’ proofs had failed. The judge stated:
Plaintiffs have adduced no testimony or evidence which would tend to establish that the Defendants’ activities resulted in harm to "an interest common *181to the general public, rather than peculiar to one individual, or several.” [Garfield Twp v Young; 348 Mich 337, 342; 82 NW2d 876 (1957).]
Relying on the definition of private nuisance offered in Kilts, supra, Judge Roberts found that plaintiffs had established the existence of a private nuisance created by the defendants.
"In the case at bar, Plaintiffs have introduced evidence that the Defendants’ activities in failing to remove the silt from the drains and in allowing the culverts to be installed, have created a condition which exacerbated the flooding problems on the Plaintiffs’ farm. Further, the Plaintiffs have adduced evidence that the ocdc allowed this condition to continue after adequate notice of the damages being caused. Additionally, Plaintiffs have shown that the condition created by the Defendants prevented the Plaintiffs from carrying on their sod business as effectively as the terrain permitted. Therefore, this Court finds that Plaintiffs have established the existence of private nuisance created by the Defendants.”
The judge then proceeded to determine whether the private nuisance was "intentional,” having interpreted Rosario as requiring that determination. Employing the test of "knowledge that harm to the plaintiff was 'substantially certain’ to follow,” see n 14, the judge found that the jdnr’s actions were not intentional. If anything, the court found them to be negligent, but also found that "upon being notified of these problems the dnr began to take such steps as were permissible ... to rectify the situation.” Thus, even under a negligence standard, the judge appeared to indicate that the dnr would not be liable.
Regarding the defendant drain commission, how*182ever, the court found the requisite intent. The court noted that although the commission was aware of the problem as early as 1967, and aware of the proposed culverts as of 1970, it did not take steps to remove them until 1976. Thus, plaintiffs were found to have "demonstrat[ed] the continued existence of the nuisance after the [drain commission] 'knew or should have known that harm to the Plaintiff[s] was substantially certain to follow.’ ”
Judge Roberts then addressed the issue of damages. The plaintiffs had alleged damages of approximately $2,300,000. These damages were composed of past lost profits, future lost profits until the land returned to normal, and costs of the cleanup and replanting. In his findings, the judge stated that "[defendants did not dispute Plaintiffs’ evidence [as to this amount] . . . .”21
The judge took a position between the two parties’ versions of events. He apparently believed that culverts exacerbated flooding which would have occurred anyway due to the nature of the land and unusually heavy rainfall in 1975, and he awarded plaintiffs one percent of the damages they sought.
In response to the defendant drain commission’s motion for judgment notwithstanding the verdict, or motion to clarify findings of fact and conclusions ‘of law, and to plaintiffs’ motion for entry of judgment, taxation of costs and interest and award of expert fees, the trial judge issued another opinion affirming its earlier findings.
In response to defendants’ allegation that it had *183failed to address the question of causation in regard to its finding of private nuisance, the court quoted from its earlier findings, which "clearly stated that the conduct of the Defendants was the cause in fact of the Plaintiffs’ damages.”
Regarding its finding of intentional nuisance, the court quoted the definition from Rosario and reiterated its holding that defendants’ negligent acts, combined with their knowledge that harm was substantially certain to follow, amounted to the requisite intent.
The court declined to amend its findings of fact to state that one of defendants’ experts had visited the farm. The court noted that such a change would not affect the outcome because of the court’s discretion to accord more weight to the plaintiffs’ experts than to those of the defendants.
Finally, the court granted in part and denied in part plaintiffs’ motion for entry of judgment, taxation of costs and interest, and award of expert fees.
The plaintiffs appealed the damage award without seeking a modification of the award or a new trial from the trial judge. Defendant drain commissioner, and defendants Big Meadows Drain and Paint Creek Drain cross-appealed on the issue of governmental immunity. In an unpublished opinion, the Court of Appeals affirmed the decision of the trial court on both issues.
Regarding application of the "intentional nuisance” exception, the Court found:
[T]he evidence amply supported a finding that defendants continued the condition causing the nuisance with full knowledge that plaintiffs had sustained considerable property damage and that further injury to plaintiffs’ interests was substantially certain to occur. [Hadfield v Oakland Co Drain Comm’r, unpublished opinion per curiam of *184the Court of Appeals, decided September 20, 1984 (Docket No. 68789).]
The Court concluded that defendants had misread the trial court opinion and that the lower court had properly found that defendants had created and maintained an intentional nuisance.
Regarding the damages issue, the Court, viewing the appeal as a "great weight of the evidence” challenge to the amount of the award, rejected plaintiffs’ claim because they had not first moved for a new trial in the circuit court. Further, the court held that, absent such a motion, review of the adequacy of the award is not permitted unless there was no (i.e., insufficient) evidence to support the verdict.
The Court of Appeals denied plaintiffs’ application for rehearing, and plaintiffs appealed to this Court. Defendants cross-appealed. Leave to appeal was granted. 424 Mich 876 (1986).
1
Regarding the issue of governmental immunity, we find that the Hadñeld case represents a clear example of an actionable trespass-nuisance. The trial court found that plaintiffs suffered an interference with the use and enjoyment of their land. The interference was a physical intrusion onto private property that was caused by the county drain commissioner’s actions or failure to act. Thus, it amounted to a trespass-nuisance for which the county drain commissioner may be held liable.
The Hadfield case is directly in line with the exception as it evolved prior to the enactment of the governmental tort liability act. The facts of Hadñeld are remarkably similar to one of the earliest nuisance exception cases: Pennoyer v Sagi *185naw, supra, in which the plaintiff alleged that the city maintained ditches "whereby the surplus surface water of the city is thrown upon the land of the plaintiff, to his great injury.” Another early case, Ashley v Port Huron, supra, also involved flooding, although, as in Pennoyer, the flooding was directly tied to a deliberate act (rather than failure to act) by the defendant. See also Rice, supra.
The "direct act” element of trespass-nuisance was weakened over time, however, so that eventually, trespass-nuisances stemming from negligent acts were held to be actionable. The Seaman case is directly on point in this regard. In Seaman, the defendant city was held liable for its negligence in failing to maintain its drainage system which caused an invasion of water on the plaintiff’s property. Likewise, the Court in Herro, supra, p 272, described "the common-law right of recovery for destructive water trespass, no matter who the public or private trespasser-flooder might be
Thus, under the historical trespass-nuisance exception that is reaffirmed today, we agree with the lower court’s determination that the defendant may be held liable for the flooding to the Hadfield farm.
2
The second issue in Hadñeld relates to the damage award which plaintiffs have appealed.
Defendants claim and the Court of Appeals held that plaintiffs’ appeal could not be heard since an appeal arguing that the amount of an award is against the great weight of the evidence can only be considered if preserved by a motion for a new trial made before the trial court.
*186We believe that the Court of Appeals erred in concluding that the "great weight of the evidence” was the sole basis for plaintiffs’ appeal. The Court’s error was, however, understandable in light of the lack of clarity and consistency in plaintiffs’ brief. Plaintiffs’ brief referred to and confused the following four grounds for the appeal: whether the amount of damages awarded by the trial court was against the great weight of the evidence,22 whether there was insufficient evidence to support the amount of the award,23 whether the amount of the award constituted clear error,24 and whether the trial judge failed to base his conclusions as to damages upon sufficient findings of fact regarding causation.25
*187Each of these arguments is relevant to appellate review of a trial court’s ultimate conclusions. The first three, however, as opposed to the last, require that an appellate court review the evidence and determine, to the degree required by the particular standard of review, whether the trial court’s conclusions are consistent with that evidence. The last requires only a determination whether the trial court made adequate findings of fact to explain its ultimate conclusions, and no inquiry into the accuracy of these findings is necessary.26
*188It is the trial judge’s failure to make findings of fact that is dispositive of this issue. GCR 1963, 517.1 states in pertinent part:
In all actions tried upon the facts without a jury or with an advisory jury, the court shall find the facts specially and state separately its conclusions of law thereon and direct the entry of the appropriate judgment. . . . Requests for findings are not necessary for purposes of review. No exception need be taken to any finding or decision.
Once the existence of a nuisance and defendants’ responsibility for it were shown in this case, the critical question became the amount of damage to plaintiffs’ land caused by that nuisance. Since defendants admitted that flooding had occurred, but argued that it was caused by factors unrelated to the installation of the culverts, the amount of damages for which defendants were liable could be ascertained only by determining how much of the flooding was caused by the installation of the culverts. The trial court, however, made no attempt to do so.
The trial court’s findings as to damages are no more than a summary of the witnesses’ testimony and the parties’ evidence.27 The court quite simply *190failed to express its own view as to this evidence or a factual basis for the damages awarded. A mere recitation of the parties’ claims without findings as to which claims are true or in part true is insufficient. Patrons' Mutual Fire Ins Co v Goodman, 202 Mich 66; 167 NW2d 955 (1918); Powell v Collias, 59 Mich App 709; 229 NW2d 897 (1975). Instead,
[t]he findings must disclose the basis for each ultimate fact necessary to sustain the court’s conclusions of law.
*191The findings of fact must include as much of the subsidiary facts as is necessary to disclose the steps by which the trial court reached its ultimate conclusion on each factual issue. The findings should be made at a level of specificity which will disclose to the reviewing court the choices made as between competing factual premises at the critical point that controls the ultimate conclusion of fact. That is, at the point where a given choice as to the concrete facts leads inevitably to the ultimate conclusion, the findings should disclose the choice which was made .... [2 Honigman & Hawkins, Michigan Court Rules Annotated (2d ed), p 594.]
The trial judge’s ultimate conclusions as to damages in this case read as follows:
This Court finds that while flooding occurred at the Hadfield farm prior to the creation of the nuisance, the nuisance increased or exacerbated the problem. . . . [T]his Court was not provided with exact measurements with regard to the aggravation of the flooding of the Plaintiffs’ farm. However, based on [sic] this Court’s evaluation of the evidence and the demeanor of the witnesses, this Court finds that on one-hundreth [sic] (1/100) of the damages claimed would provide reasonable compensation for the aggravation of Plaintiffs’ flooding problems.
Plaintiffs estimate that the damages to their farm over the years amounts to between Two Million, One Hundred Seventeen Thousand, One Hundred Eighty-eight and No/100 ($2,117,188.00) Dollars and Two Million, Three Hundred Thirty-two Thousand, One Hundred Eighty-eight and No/ 100 ($2,332,188.00) Dollars. As the Defendants did not dispute Plaintiffs’ evidence, this Court will accept the higher figure. Thus, applying our formula, Plaintiffs are entitled to one one-hundredth (Vioo) of the higher estimate, or Twenty-three Thousand, Three Hundred Twenty-one and 88/100 ($23,321.88) Dollars.
*192Obviously, the trial judge believed that the flooding was in part due to the installation of the culverts and in part due to other causes. However, he failed to make any factual findings to support his one-percent formula. See n 26. To the contrary, the one-percent formula seems to have been wholly arbitrary and is precisely the type of unsupported conclusion that GCR 1963, 517.1 was designed to prevent. An unadorned citation to "the evidence and the demeanor of the witnesses” does not begin to accomplish the purposes of the rule.
In sum, we hold that a prior review by the trial court is not necessary to preserve for appeal the question whether the trial court made findings of fact pursuant to GCR 1963, 517.1. Accordingly, we remand this case to the circuit court for further and more specific findings of fact, a damage award based upon those findings, and, if necessary, the taking of further evidence on the question of the amount of damage resulting from defendants’ actions or failure to act.
B
VEENEMAN v MICHIGAN
Plaintiffs decedent was fatally injured in a dune buggy accident on May 23, 1981. The dune buggy overturned in the Silver Lake State Park, Oceana County, within an area designated for use by off-road vehicles.
Plaintiff brought this wrongful death action in March, 1982, against the State of Michigan,28 alleging negligence stemming in part from defendant’s alleged failure to inspect vehicles, to regulate the operation of the off-road vehicles in various ways, *193and to provide adequate medical personnel. Plaintiffs first amended complaint, filed in September, 1982, added a count in nuisance, based on allegations of nuisance in fact, and a count alleging that defendant’s activities amounted to a proprietary function. The nuisance-in-fact claim was based also on allegations that defendant improperly regulated off-road vehicles and that "[defendant was aware of previous deaths and injuries of a similar nature in the area, but failed to correct the problem.”
On May 2, 1983, Judge Terrence R. Thomas granted defendant’s motion for summary judgment under GCR 1963, 117.2(1). The court held the action barred by governmental immunity and the recreational user statute, MCL 300.201; MSA 13.1485.
The trial court found
that the State’s interest relative to this matter is providing a public parkway consistent with both the general statute concerning governmental immunity together with the mandatory provisions of the other statute of off-road vehicle areas . . . are such that the State would be entitled to the protections of the doctrine of governmental immunity ....
The court also granted plaintiffs motion to amend its complaint.
Plaintiffs second amended complaint added an intentional nuisance count, a negligent nuisance count, as well as one sounding in gross negligence or wilful and wanton misconduct. The intentional nuisance claim was a restatement of the previous nuisance claim, under a new title.
Judge Thomas entered a final order of dismissal after granting defendant’s motion for summary judgment on June 6, 1983. Plaintiff appealed, and *194the Court of Appeals affirmed in part and reversed in part.
The Court of Appeals held that the action was barred by governmental immunity except as to plaintiffs allegation of intentional nuisance and that the action was not barred by the recreational user act. Judge Kelly dissented from the Court’s finding that plaintiff had sufficiently pled intentional nuisance.
The Court stated the rule from Justice Moody’s opinions in Rosario and Gerzeski regarding the definition of intentional nuisance. See n 14. The Court held that plaintiffs allegations of negligence, combined with his allegation
that defendant was aware of previous deaths and injuries of a similar nature in the area, and knowing this, failed to take appropriate measures[,] [143 Mich App 694, 701; 373 NW2d 193 (1985),]
constituted a sufficient allegation of intentional nuisance.
The Court also accepted plaintiffs arguments under the recreational user act, finding no bar to the suit.
In his dissenting opinion, Judge Kelly focused on the fact that plaintiffs complaint had alleged only omissive acts on the part of defendant. He would have held that " 'acts of omission rather than commission are not generally characterized as intentional torts.’ ” Id., p 703 (citations omitted).
Accepting as true the facts pleaded by the plaintiff in Veeneman, we find that there is no basis for holding the state liable under the trespass-nuisance exception to governmental immunity that is described herein. There are no allegations of trespassory or intruding nuisance and no facts that would support such an allegation. In addition, the *195facts as alleged in Veeneman do not amount to a nuisance per se, nor are they at all analogous to the Pound case. Thus, it is unnecessary to consider the possible applicability of either a nuisance per se exception or a limited public nuisance exception such as that described above. Therefore, we reverse the decision of the Court of Appeals and reinstate the order of dismissal based on the “grant of defendant’s motion for summary judgment.
Because we find that this suit is barred by governmental immunity, it is unnecessary to address the issues raised relative to the recreational user act.
c
LANDRY v DETROIT
The Court of Appeals has succinctly stated the facts in this case:
Plaintiffs brought suit against defendant City of Detroit and defendant Detroit Wayne Joint Building Authority seeking to recover for personal injuries. Plaintiffs alleged that on December 18, 1981, they were present in Recorder’s Court, located in the Frank Murphy Hall of Justice in the City of Detroit. Plaintiffs were in court for the purpose of testifying against Rosie Fleming. Plaintiffs alleged that they sustained serious injuries when Fleming attacked them with a knife in the courtroom. Plaintiffs averred that their injuries, which included stab wounds, internal injuries, partial paralysis, breathing impairment, and permanent scarring, were proximately caused by defendants’ inadequate provisions for security in the courthouse. Plaintiffs’ complaint alleged negligence, breach of contract and nuisance. [Landry v Detroit, 143 Mich App 16, 19; 371 NW2d 466 (1985).]
Several aspects of plaintiffs’ complaint are most *196relevant to the two issues of this appeal. Plaintiffs have based their claim of liability both on the common-law nuisance exception and the statutory public-buildings exception to governmental immunity, MCL 691.1406; MSA 3.996(106). In count i, plaintiffs alleged, inter alia, "that the injuries hereinafter described were a direct result of a dangerous and/or defective condition existing within a public building under the care, control, maintenance and jurisdiction of the Defendants.” We do not reach the substance of this second issue for the reasons indicated below.
Count ii of plaintiffs’ second amended complaint alleged negligent nuisance and intentional nuisance. Plaintiffs alleged defendants’ knowledge of the presence of dangerous persons, of the fact that other courthouses employ security measures such as metal detectors, and that metal detectors "were supposed to be installed to adequately protect the public, but said metal detectors were not installed in time.” Plaintiffs further alleged that defendants had caused a deceptive appearance of safety to exist in the court building through the stationing of inadequate personnel to provide safety to the plaintiffs.
Defendants moved for summary judgment under OCR 1963, 117.2(1), claiming governmental immunity. The trial court dismissed the complaint after granting defendants’ motion. The court articulated no basis for its ruling on the record.
Plaintiffs appealed the summary judgment ruling in the Court of Appeals, which affirmed in part and reversed in part in a split decision. The majority found that summary judgment was inappropriately applied to the intentional nuisance claim, but affirmed the disposition of all other claims. Judge M. J. Kelly dissented; he found insufficient allegations of intentional nuisance, but would have *197allowed the public-buildings exception claim to go to trial.
The majority first addressed the implied contract claim, not at issue here, and held that plaintiffs had "fail[ed] to identify facts which could constitute an offer, acceptance, consideration, reliance or other facts which would give rise to the inference that a contract existed.” Id., p 21.
Plaintiffs’ pleadings regarding the public-buildings exception29 were also found to be deficient. The Court of Appeals majority observed:
[P]laintiffs do not allege that their injuries were sustained from a structural part of the building or a fixture attached thereto. Zawadzki v Taylor, 70 Mich App 545, 551; 246 NW2d 161 (1976), lv den 399 Mich 875 (1977). Plaintiffs do not allege that the courtroom was being used in a manner for which it was not intended. Unlike in the cases cited by plaintiffs, Bush [v Oscoda Area Schools, 405 Mich 716; 275 NW2d 268 (1979)], and Lockaby v Wayne County, 406 Mich 65; 276 NW2d 1 (1979), the courtroom in the present case was being used as expected, as a courtroom. Plaintiffs’ allegations concerning the defective or dangerous condition of Recorder’s Court stem not from the condition of the building itself but from the activities or operations conducted within the building. Consequently, plaintiffs have not stated a claim within the public-buildings exception. Vargo v Svitchan, 100 *198Mich App 809, 822-823; 301 NW2d 1 (1980), app dis 411 Mich 1035[, 1036] (1982). [Id., p 22.][30]
However, the Court found the intentional nuisance allegations to be sufficient. Regarding plaintiffs’ pleading of a nuisance cause of action, the majority quoted the definition of nuisance from Buckeye, supra. It noted the facts of Buckeye, specifically observing that the nuisance in that case was a building found to be a fire hazard and "readily accessible to vandals and trespassers . . . .” Landry, supra, p 23. The Court held that allegations of omissive acts do not automatically convert a claim of nuisance into a negligence claim. Regarding defendants’ argument that they lacked control over the courtroom, the majority noted that the issue raised questions of fact that could not be considered on review of a summary judgment.
On the issue of intent, the majority applied the test that requires an "inten[t] to bring about conditions which are found to be a nuisance,” Rosario, supra, p 142 (Moody, J.), and concluded:
Plaintiffs’ allegation, that defendants refused to take necessary safety measures, pleads a deliberate act by the governmental agency to create the condition. Rosario, p 143. Plaintiffs’ allegations of a dangerous condition are based on the fact that dangerous persons are brought together with their accusers in the same building. A trier of fact could conclude, under those circumstances, that the ab*199sence of safety devices such as metal detectors created a dangerous condition which constituted a nuisance in fact. [Landry, supra, p 25.]
Defendants’ motion for rehearing in the Court of Appeals was denied. Defendants appealed to this Court and leave was granted. 424 Mich 876 (1986). Plaintiffs did not cross-appeal the public-buildings exception issue.
1
It is obvious that this case does not fall within the trespass-nuisance exception that is reaffirmed today. It may even be questionable whether a nuisance is present on these facts at all, but certainly there was no trespass or intruding nuisance. There was no allegation of physical invasion of private property, nor was there alleged interference with the use or enjoyment of land. Moreover, although occurring on public property, the case is not at all analogous to Pound, since the incident occurred on the defendants’ property. See discussion of Pound, ante, pp 176-177. There has been no allegation of a nuisance per se, nor is one plausible. Thus, summary judgment on this issue was appropriate, and we reverse the holding of the Court of Appeals.
2
The public-buildings exception presents a closer question. However, we do not address it today because it was not properly appealed.
Defendants appealed, and their brief discussed, only the nuisance-exception issue. Plaintiffs’ brief responded to defendants’ arguments as to nuisance, but also argued that the trial court erred in granting summary judgment, maintaining that the public-buildings exception applied. Defendants *200then filed a reply brief answering plaintiffs’ public-buildings exception arguments.31
MCR 7.302(F)(4)(a) states:
Unless otherwise ordered by the Court, appeals shall be limited to the issues raised in the application for leave to appeal.
As we noted in Peisner v Detroit Free Press, 421 Mich 125, 129, n 5; 364 NW2d 600 (1984):
Our appellate procedure is designed to focus the issues on appeal and provide the parties with an opportunity to fully brief and argue those issues. This purpose is frustrated by the injection of new issues in the answering brief. Appellees wishing to challenge rulings adverse to them should do so directly by way of a cross-appeal.[32]
D
McCAUL v LAKE ODESSA
The facts of this case are as presented by the Court of Appeals:
Plaintiffs Burton E. and Doris R. McCaul are *201owners of farmland located in Odessa Township, Ionia County. During 1970 and 1971 a sewage treatment plant was designed by Gove Associates, Inc., and built by Leach Construction on land immediately adjacent to the eastern boundary of plaintiffs’ farm. The plant was put into operation in 1971 by the Village of Lake Odessa to recycle and treat Lake Odessa’s municipal wastewater. On several occasions raw or partially treated sewage water flowed from the plant onto plaintiffs’ land.
In 1973 plaintiffs and another landowner near the plant jointly filed suit for damages resulting from the flow of sewage water onto their lands. A settlement was entered into on August 13, 1974; plaintiffs received $7,500 and a release was given to the Village of Lake Odessa, Gove Associates, and Leach Construction. The suit was dismissed with prejudice.
On November 9, 1981, plaintiffs initiated this lawsuit against the Village of Lake Odessa, Gove Associates and Leach Construction. Plaintiffs alleged that sewage water was released onto plaintiffs’ land during 1978 and thereafter, causing damage. Defendants moved for accelerated judgment under GCR 1963, 116.1(5) on the ground that plaintiffs’ action was barred by the 1974 settlement and release. On July 6, 1982, the circuit court granted defendants’ motion. Plaintiffs appealed to this Court which, in an unpublished per curiam opinion issued October 31, 1983, reversed the trial court’s grant of accelerated judgment to the Village of Lake Odessa. Accelerated judgment in favor of Gove Associates and Leach Construction was affirmed. The case was remanded to circuit court where discovery was taken, and a trial date was set for January 19, 1985.
On January 22, 1985, the Michigan Supreme Court issued its opinion in Ross v Consumers Power Co, supra. On January 28, 1985, the Village of Lake Odessa filed a motion for summary judgment pursuant to GCR 1963, 117.2(1), asserting that plaintiffs’ claims were barred by governmental immunity under the newly enunciated guide*202lines of Ross. At a January 29, 1985 hearing on this motion, the circuit court, after observing that the Ross holding redefined the terms on which governmental immunity for tort liability is granted and the reasons for that immunity, held that plaintiffs’ negligence claim was barred by governmental immunity. The court did not reach the question of whether Ross also barred plaintiffs’ nuisance claim. Instead, the court held that plaintiffs had pled only ordinary nuisance, not intentional nuisance. Summary judgment was therefore granted to defendant.1
[McCaul v Lake Odessa, unpublished opinion per curiam of the Court of Appeals, decided February 13, 1986 (Docket No. 83172).]
The Court of Appeals identified the questions presented as whether the nuisance exception survived Ross and whether plaintiffs McCaul sufficiently pled intentional nuisance. The panel refused to consider count i of plaintiffs’ complaint, in which plaintiffs had alleged an unconstitutional taking, because the issue was raised for the first time on appeal.
The Court first upheld the viability of the nuisance exception, noting that recent Court of Appeals cases had expressly held that the exception had survived Ross.
Regarding the issue of intentional nuisance, the Court stated that the plaintiffs must allege nuisance as well as intent. Applying the definition from Buckeye ("nuisance is a condition”), the panel held that plaintiffs had sufficiently alleged nuisance. "Plaintiffs’ complaint clearly alleges a hazardous and offensive condition. Paragraph 8 states that raw or partially treated sewage water *203was allowed from time to time to flow onto plaintiffs’ abutting lands.”
Regarding intent, the Court held that under any test of intent, plaintiffs had met the standard. The Court quoted from paragraph 9 of plaintiffs’ complaint as support for its finding of intent:
"The plaintiffs have repeatedly informed the Village of Lake Odessa of each of these occurrences of flow of sewage, but the Village has taken no action to remedy or stop the flow or to prevent further incidents of this nature.”
Therefore, the Court of Appeals reversed the trial court’s grant of summary judgment, finding that plaintiffs had sufficiently pled intentional nuisance. Defendant appealed, and leave was granted. 425 Mich 879 (1986).
Applying the standard of review applicable to summary judgment motions under GCR 1963, 117.2(1), it is apparent that this case, like Hadfield, conforms to the requirements of the trespass-nuisance exception. Thus, we affirm the Court of Appeals finding that summary judgment was inappropriate.
Whether there are sufficient allegations of the existence of a nuisance or of defendant’s control over the creation of the nuisance are not in dispute here. The only questions are whether the exception exists and whether plaintiffs’ complaint, read as true, states a claim that conforms to the exception.
Superficially, the facts are directly analogous to the early flooding and sewage cases discussed above to which the trespass-nuisance exception was applied. See Pennoyer, Ashley, Rice, Seaman, and Herro. We have noted that an analogous case, Attorney General ex rel Wyoming Twp, although *204characterized as an example of nuisance per se, see Gerzeski, supra (opinion of Ryan, J.), also conformed to the requirements of a trespass-nuisance. In that case, sewage was also allegedly "cast upon” plaintiffs’ land.
As in Hadfield, plaintiffs’ allegations regarding trespass and unconstitutional taking establish the existence of trespass-nuisance. The McCauls alleged that the wastewater-treatment facility is adjacent to their property and that the defendants "caused or allowed raw partially treated sewage water to flow from the . . . system onto the lands of the plaintiffs . . . .” The "flow of sewage” allegedly caused: contamination of their well and crops; death of animals; loss of production; and loss of health and vigor among their dairy herd, as well as flooding, obnoxious smells, and health effects to the McCaul family. In their nuisance count, plaintiffs averred that the actions of the village "constitute an interference with the use and enjoyment of the plaintiffs’ property . . . .”
Plaintiffs have set forth sufficient allegations of a trespass-nuisance to avoid defendant’s assertion of governmental immunity. The Court of Appeals decision is affirmed, and the case remanded for trial in accordance with this opinion.
Riley, C.J., and Cavanagh, J., concurred with Brickley, J.Prior to the passage of 1986 PA 175, the last sentence of § 7 read, "[T]his act shall not be construed as modifying or restricting the *147immunity of the state from tort liability as it existed heretofore, which immunity is hereby affirmed.” 1964 PA 170 (emphasis added). See n 16.
The Legislature’s intent that "tort” be taken to mean "all torts” may be culled from the action taken after this Court declared § 7 of the 1964 governmental immunity act unconstitutional as violative of the title-object clause, Const 1963, art 4, § 24. See Maki v East Tawas, 385 Mich 151; 188 NW2d 593 (1971). At the time of that decision, the title of the act read:
An act to make uniform the liability of [governmental agencies] when engaged in a governmental function, for injuries to property and persons caused by negligence ....
Section 7 used the word "tort” as does the present version. Section 7 was found to be unconstitutional because it exceeded the scope of the act’s title. In response to Maki, the Legislature amended the act’s title, eliminating the words, "caused by negligence,” 1970 PA 155, and thus eliminating any interpretation of "tort” to mean only tort liability arising out of negligence.
Of course, Justice Ryan advocated recognition of a nuisance exception with a slightly different scope than that adopted today. See n 7.
We observed in the past:
[Adjudicated cases have been so variable that courts generally regard a technical and comprehensive definition [of nuisance] difficult if not impracticable .... [Kilts v Kent Co Bd of Supervisors, 162 Mich 646, 651; 127 NW 821 (1910).]
Generally, we do not view actions seeking only equitable relief, such as abatement or injunction, as falling within the purview of governmental immunity. See n 15.
The trespass-nuisance exception as defined herein does not distinguish between public and private nuisance, but encompasses both categories, as long as the prerequisites of trespass-nuisance are met.
Whether there exists a limited public nuisance exception, analogous to trespass-nuisance but without the private property interest, remains an open question. See n 16.
Justice Ryan described intruding nuisances as "situations wherein damage is caused by the direct trespass of an instrumentality from government-owned land onto private property.” Gerzeski, supra, p 169 (emphasis added). We do not adopt the source limitation on the exception that might be inferred from the emphasized language of Justice Ryan’s opinion.
Such a limitation would be illogical and inconsistent with the "taking” rationale. While some of the early trespass-nuisance cases did involve an intrusion "from government-owned land,” see, e.g., Ferris v Bd of Ed, 122 Mich 315; 81 NW 98 (1899) (ice and snow falling off the roof of school buildings), most of the flooding cases, for example, did not involve water that originated from state land, but, rather, water that the defendant government was directly responsible for controlling.
Justice Ryan may have been confusing the origin of the intrusion with the requirement that the injury occur outside the defendant’s property. See, e.g., Kilts v Kent Co Bd of Supervisors, 162 Mich 646; 127 NW 821 (1910); Daniels v Grand Rapids Bd of Ed, 191 Mich 339; 158 NW 23 (1916). That requirement, of course, remains part of the exception, as does the causation or control element.
In Ross, supra, pp 596-608, we discussed the historical difference between sovereign (state) immunity and governmental immunity, which applied to "inferior” divisions of government when engaged in governmental functions. The rationale for governmental immunity was originally derived from sovereign immunity:
The true theory is that the township or city represents the State in causing these things to be done, and, like the State, it enjoys immunity from responsibility in case of injury to individuals . . . [because in] imparting a portion of its powers, the State also imparts its own immunity. [Nicholson v Detroit, 129 Mich 246, 258-259; 88 NW 695 (1902).]
Williams v Detroit, 364 Mich 231; 111 NW2d 1 (1961), abrogated common-law governmental immunity for municipalities, and the same for counties, townships, and villages was abolished in Myers v Genesee Co Auditor, 375 Mich 1; 133 NW2d 190 (1965), and Keenan v Midland Co, 377 Mich 57; 138 NW2d 759 (1966). However, in 1964, the governmental tort liability act, specifically, "[t]he first sentence of § 7[,] was intended to not only restore governmental immunity to non-sovereign governmental agencies, but to provide uniform treatment for state and local agencies.” Ross, supra, p 605.
Thus, there was a period of time between 1961 and 1964 when municipalities were not covered by governmental immunity. The first sentence of § 7 of the act established statutory immunity and required application of uniform standards to all governmental units; the second sentence of § 7 incorporated the earlier common law of governmental immunity into the statute.
Alberts v Muskegon, 146 Mich 210; 109 NW 262 (1906), emphasized the direct trespass element of Ferris, when it distinguished Ferris and found the defendant city protected by governmental immunity. Alberts held that the city was not liable for the destruction of the plaintiffs property by a fire caused by sparks that were ignited from a steamroller used by the city in repairing the street. The Alberts Court emphasized:
The case at bar is not one of damages resulting from a direct trespass or from misfeasance of the city amounting to a trespass. It is a case of consequential injury resulting directly from the negligent conduct of the defendant’s agents. [Id., p 215.]
Apparently, at the time Alberts was decided, sparks were not considered to be a trespassory invasion. We note that under present law it is likely that such an invasion would constitute the requisite physical intrusion for trespass-nuisance.
Const 1963, art 10, § 2 provides:
Private property shall not be taken for public use without just compensation therefor being first made or secured in a manner prescribed by law. Compensation shall be determined in proceedings in a court of record.
Direct reliance on this constitutional provision should not be confused with the assertion of the trespass-nuisance exception, however. In Buckeye Union Fire Ins Co v Michigan, 383 Mich 630; 178 NW2d 476 (1970), the Court found an unconstitutional taking. By contrast, Justice Ryan’s opinion in Gerzeski and the other trespass-nuisance cases that cited the taking provision of the constitution merely employed that provision as a rationale for the judicially created rule that would impose liability in a tort setting involving governmental immunity.
For example, in Thom v State Hwy Comm’r, 376 Mich 608; 138 NW2d 322 (1965), the following question was presented:
[W]hen a governmental unit changes the grade of a highway in such a way as to diminish the value of an abutting owner’s property by impairment of his right of access to the highway, Pías] that owner’s property ..., to the extent of the diminution in its value, been "taken” for the public’s use, thereby entitling the owner to just compensation therefor[?] [Id., p 625.]
The Court responded affirmatively, but there was no majority opinion. The state highway department had made improvements in a highway that ran along one side of plaintiffs’ property; as a result of the modifications, the highway was ten feet higher than plaintiffs’ property and they had difficulty moving farm equipment on and off their land.
Justice Souris adopted the liberal definition of "taking” quoted above. Justice Souris would have overruled Pontiac v Carter, 32 Mich 164 (1875), which had held that one injured by the change of grade of an abutting street had no cause of action for damages.
Justice Black, in a separate opinion, saw no need to overrule Carter, in that the Court (specifically, Justice Cooley) had expressly distinguished that case in Ashley, supra, and other cases. Justice Black noted that the "proof adduced by the [plaintiffs] establishes both an actionable trespass [citing Ashley and Herro] and a taking from them of a valuable property right . . . .” Id., pp 633-634 (emphasis added).
Thus, Justice Black agreed that a taking had occurred because of the diminution in value of the plaintiffs’ land. He found that causes of action alleging trespass and those alleging a partial taking both arise out of the "constitutional contract” evident in Const 1963, art 10, § 2. Quoting the Alabama Supreme Court, Justice Black described the Taking Clause as
*168"a constitutional contract made for the benefit of private property owners, and it is entirely reasonable to [infer] a contract on the part of the municipality in the instant case to pay the person injured a just remuneration for the damages sustained as a consequence of this public improvement, just as the Constitution guarantees.” [Id., p 637, quoting Hunter v City of Mobile, 244 Ala 318; 13 So 2d 656 (1943).]
Noting that it was unnecessary to address the immunity question, because the state had recently waived its immunity from suit, Justice Black concluded that the Taking Clause represented "judicial assurance that no one, not 'even the State,’ can 'take’ without having to pay according to the forms and remedies of law.” Id., p 638.
Commentators have postulated that the Court in Buckeye would have found a trespass-nuisance had the defendant been a subordinate governmental unit, rather than the state. Cooperrider, supra, p 248. See DeMars, supra, p 780 ("[T]he court apparently believed that it could not assess liability against the state solely on the nuisance classification which derived from case law rather than statutory fiat”).
See the instant cases in the Court of Appeals, as well as cases cited in footnote 14.
Justice Moody articulated an "intent[ ] to bring about the conditions which are in fact found to be a nuisance” standard, Rosario, supra, p 142, which is advocated by some Court of Appeals judges and by plaintiff-appellee in Veeneman. See Martin v Michigan, 129 Mich App 100, 112; 341 NW2d 239 (1983) (dissent); Carney v Dep’t of Transportation, 145 Mich App 690; 378 NW2d 574 (1985) (concurrence). The majority of Court of Appeals panels hold that a plaintiff must show that the defendant either acted for the purpose of causing the harm or knew the harm was 'substantially certain’ to follow.” Sanford v Detroit, 143 Mich App 194; 371 NW2d 904 (1985). See, e.g., Carney v Dep’t of Transportation, 145 Mich App 690; 398 NW2d 594 (1985); Keiswetter v Petoskey, 124 Mich App 590; 335 NW2d 94 (1983); Martin v Michigan, 129 Mich App 100; 341 NW2d 239 (1983); Pate v Transportation Dep’t, 127 Mich App 130; 339 NW2d 3 (1983); Pacini v Detroit, 126 Mich App 1; 336 NW2d 882 (1983); Crosby v *173Detroit, 123 Mich App 213; 333 NW2d 557 (1983); Ford v Detroit, 91 Mich App 333; 283 NW2d 739 (1979).
To add to the confusion, some panels have found that allegations of omissions, as opposed to commissions, are automatically negligent rather than intentional. See, e.g., Furness v Public Service Comm, 100 Mich App 365; 299 NW2d 35 (1980); Schroeder v Canton Twp, 145 Mich App 439, 443; 377 NW2d 822 (1985). While others have found that use of the word "refused” is sufficient to take a pleading out of the negligent realm, and into the intentional. See, e.g., Pacini v Detroit, 126 Mich App 1; 336 NW2d 882 (1983); see Rosario, supra, p 143 (Moody, J.). As Judge Kaufman noted in Garcia v City of Jackson, 152 Mich App 254, 264; 393 NW2d 599 (1986), "[i]n practice, the distinction between intentionally tortious conduct and merely negligent conduct is often blurred so that an act otherwise traditionally recognized as negligent conduct is deemed to be intentional.”
Both Trowbridge and Wyoming emphasized the equitable nature of the relief granted. Thus, it is questionable whether these cases should even be cited in the context of governmental immunity. See n 5.
Justice Moody’s opinion in Gerzeski, supra, p 159, interpreted Royston as excluding only negligence claims from the purview of the exception, thereby leaving the door open to the inclusion of "intentional nuisances. By contrast, Justice Ryan read Royston as stating merely that nuisances per se were to be included in the exception. Id., p 168, n 7.
We find that both of these views tend to stretch the import of the Royston decision. The Royston Court held that the alleged negligent acts fell within the municipality’s immunity. In dictum, it indicated that nuisances per se "do not come within the immunity otherwise accorded.” Royston, supra, p 260. We decline to adopt Royston’s misstatement of the law.
However, it may also be argued that Pound is not within the body of case law that the Legislature intended to incorporate into § 7 of the governmental tort liability act, 1964 PA 170. The original language of the last sentence of § 7 incorporated all immunity from tort liability existing "heretofore, which immunity is hereby affirmed.” See n 1. The bill that became 1964 PA 170, SB 1132, was introduced on February 6, 1964, and passed the Senate on March 24, 1964. Pound was decided April 6, 1964. Although the House passed the bill with amendments on April 22, 1964, and it was signed by the Governor on May 19, 1964, none of the post-Pound amendments related to the "heretofore” language.
The Department of Natural Resources is no longer a defendant in this case. The trial judge found that plaintiffs had not proved inten*178tional nuisance as to the dne, and the Court of Appeals affirmed. Plaintiffs-appellants have not appealed that ruling.
The culverts were installed by neighboring landowners. The landowners had informed the Oakland County Drain Commissioner of their intent to install some of the culverts in 1970. However, they were (incorrectly) informed that the drain commissioner lacked jurisdiction over that part of the drain and could do nothing to prevent installation of the culverts as proposed. Eventually, the drain commissioner, in 1976, brought suit against the landowners to have the culverts removed.
The Drain Code, MCL 280.1 et seq.; MSA 11.1001 et seq., charges the Oakland County Drain Commissioner with "the responsibility of establishing, inspecting, maintaining, deepening, widening and otherwise controlling the operation and flow of the County drains.” The Big Meadows and Paint Creek Drains are within the jurisdiction of the drain commissioner.
In their brief, defendants claim they did not admit that the amounts were accurate, and they did so state at trial. However, defendants did not introduce evidence contradicting the losses described by plaintiffs. The thrust of defendants’ case on damages went to causation; while not disputing plaintiffs’ losses due to flooding, they argued that the placement of the culverts did not cause the flooding.
[T]he lower court’s awarded damages . . . [are] manifestly inadequate and contrary to the great weight of [the] evidence.
[T]he court’s findings respecting damages are utterly lacking and [sic] evidential support, and bear no rational relationship to the proofs.
Even if the court is given the benefit of the doubt and one considers any rational view of the record [that] would support the court’s damage award, the unexplained use of the formulaic approach in calculating the compensable losses as [sic] clear error.
Since the issue of causation in this action turned upon considerations of tangible matters — such as the size of the drain district, drain depth, volume [of] water passing through the drain, the water table, visual observation of water flow, measurement of obstructions and the consequential silting effects — the assessment of damages should have been made according to assessment of this data. Since the testimony provided this data and, additionally, comprehensive inspections taken at different times during the period in question, by both experts and a layman, the court had ample material to work with. After sifting through the data and judging the opinions formulated after inspections, the court should have applied the conclusions it drew from this assessment against the undis*187puted estimates of business losses suffered by the Hadfields from year to year. The court should have decided which areas of the farm were actually impacted upon [sic] [by] the nuisance and determine how much of the acreage of sod was actually lost in those areas.
Defendants have focused solely on the proper review of the accuracy of the judge’s conclusions. They argue that a motion for a new trial is a prerequisite to appellate review under the "great weight of the evidence” standard. For this proposition they cite four cases, all of which involved jury trials: Davis v Jermstad, 350 Mich 439; 86 NW2d 316 (1957), Nadolski v Peters, 332 Mich 182; 50 NW2d 744 (1952), Groth v DeGrandchamp, 71 Mich App 439; 248 NW2d 576 (1976), and Walls v Transamerica Freight Lines, 37 Mich App 307; 194 NW2d 422 (1971). Whether this proposition applies to bench trials is questionable.
Underlying the new trial motion requirement is our concern that appellate courts not invade the fact-finding province of a jury. We may not, as such, review a jury’s fact finding for error. However, a trial judge’s improper denial of a motion for a new trial is an error of law and thus may be reviewed even when that motion was based upon the factual error of a jury.
However, GCR 1963, 517 and GCR 1963, 810 would seem to indicate that in a bench trial the same considerations vis-á-vis the factfinder are not relevant. These rules make clear that, unlike a jury, a trial judge must list the facts upon which he bases his decision and that an appellate court may reverse the judgment whenever any of those findings are clearly erroneous. Thus, a "great weight of the evidence” challenge would seem to be irrelevant in the bench trial setting.
In light of the fact that the trial court failed to make adequate findings of fact, we do not now resolve the parties’ apparent confusion concerning the proper form of appeal (i.e., "great weight of the evidence” or "clearly erroneous”) and motions necessary to preserve such appeal where the accuracy rather than the adequacy of factual findings in a bench trial is in question. We will, however, consider appropriate administrative action to clarify the relevant rules and procedure.
*188Defendants have also argued that the amount of damages is not, as such, a finding of fact and may not, therefore, be reviewed for clear error. We also need not reach this question. However, we observe that the federal courts have consistently held that the size of a damage award is a factual determination based on the evidence and reviewable under the "clearly erroneous” standard. E.g., Smith v Manausa, 535 F2d 353, 354 (CA 6, 1976); Felder v United States, 543 F2d 657 (CA 9, 1976); Jacobs v New Orleans, 484 F2d 24, 25 (CA 5, 1973); Welch & Carr Construction Corp v Wheeler, 470 F2d 140, 141 (CA 1, 1972).
The court’s introduction to its findings of facts and those findings relevant to causation read as follows:
This Court, having heard the representations of the parties, having taken testimony and having reviewed the evidence, makes the following findings of fact:
*18933. That Glen Hadfield testified on behalf of Plaintiffs. He testified that he had worked on Plaintiffs’ farm since graduating from high school. His testimony indicates that commencing in 1972 water accumulated on Plaintiffs’ property and took longer than in prior years to drain off.
34. That Delbert Moshier, a sod farmer neighbor of Plaintiffs, testified on behalf of Plaintiffs that the drain near his property was full of silt and not draining properly. He also testified that he had not requested the ocdc to clean the drain but instead had done so himself. He further testified that he continues to farm sod and has not lost any to flooding. Lastly, he testified that the rains were unusually heavy in 1975.
35. That Delton Lohff testified as an expert on Plaintiffs’ behalf. Mr. Lohff is a professional engineer employed by Hieft Engineering.
36. That Mr. Lohff visually observed the Hadfield farm, the drains and the culverts in 1975. Mr. Lohff also examined maps of the area including the United States Geological Survey’s quadrangle maps. In arriving at his conclusions Mr. Lohff did not take into account rainfall data and did not measure the drainage area or stream flow.
37. That Mr. LohfFs testimony indicates that the Hadfield farm is located on low lying land with a high water table and could loosely be characterized as a flood plain. Mr. LohfFs testimony further indicates that portions of Plaintiffs’ farm may be characterized as swampy or wetlands.
38. That Mr. LohfFs testimony indicates that the flooding of the Hadfield farm was caused in part, or exacerbated, by improper maintenance of the drains and the presence of the culverts.
39. That a former owner of a portion of the Hadfield farm testified that flooding occurred on the farm every two or three years. This witness, Mr. Wart, further testified that during the period of his ownership no drain tiles had been installed on the farm.
40. That James Boulton testified on behalf of the dnr. Mr. Boulton is employed by the dnr as its Flood Hazard Management Chief. Mr. Boulton is a licensed professional engineer with a degree in civil engineering from the University of Michigan.
41. That Mr. Boulton did not visit the Hadfield farm in preparing his findings. Mr. Boulton relied on field surveys submitted by consulting engineers in a subdivision development along the Big Meadow and Paint Creek [D]rains. Mr. Boulton further relied on field surveys submitted to him by the ocdc.
42. That Mr. Boulton characterized the Hadfield farm as swampy or a wetland and stated that the area could be characterizes [sic] as a flood plain.
43. That Mr. Boulton further testified that the most severe *190flooding occurs when water rises up to but not over a culvert. He stated that this would increase the water level upstream at Ramsey Road by nine inches but that the water would not overflow the banks onto the land. He further stated that as the drain proceeded further into the Hadfield farm the water level would diminish and the impact on the farm would be minimal.
44. That in Mr. Boulton’s opinion the flooding of the Hadfield farm was not due to the installation of the culverts.
45. That David Snyder testified on behalf of Defendant ocdc. Mr. Snyder is an employee of the ocdc. Mr. Snyder testified as to the circumstances surrounding the farmers’ application for the culverts. He also testified that the Hadfield farm contains a wooded swampy area.
46. That Bob Fredericks testified on behalf of the Defendant ocdc. Mr. Fredericks testified as to the ocdc’s use of welfare crews to maintain the drain. Mr. Fredericks also testified as to the availability of funds to maintain and repair the drains.
47. That Plaintiffs called in rebuttal a Mr. McCoy. Mr. McCoy is a non-degreed registered land surveyor.
48. That Mr. McCoy arrived at his findings by use of survey maps, by making cross sections of the area after actually walking the drains and then compiling the data on longitudinal drawings.
49. That Mr. McCoy’s findings indicate that the culverts impinge upon the flow of water adjacent to Plaintiffs’ farm. Mr. McCoy further testified that there is a natural fall in the drainage system which allows water to drain off the Hadfield farm. Lastly, Mr. McCoy testified that the drains were clogged with silt.
50. That the Defendant introduced exhibits which indicate that unusually heavy rains fell in the area of the Hadfield farm in 1975.
Plaintiff had brought a second action against Appletree Automotive, Inc., which was consolidated in the circuit court. Appletree is not a party to this appeal.
MCL 691.1406; MSA 3.996(106) provides in part:
Governmental agencies have the obligation to repair and maintain public buildings under their control when open for use by members of the public. Governmental agencies are liable for bodily injury and property damage resulting from a dangerous or defective condition of a public building if the governmental agency had actual or constructive knowledge of the defect and, for a reasonable time after acquiring knowledge, failed to remedy the condition or to take action reasonably necessary to protect the public against the condition.
judge Kelly, dissenting with regard to this issue, would have found that
plaintiffs [had] alleged facts which, if believed, would allow reasonable minds to conclude that the absence of metal detector devices in the Frank Murphy Hall of Justice created a dangerous public building in which to conduct criminal prosecutions. [Id., p 28.]
Defendants’ reply brief did not point out that plaintiffs had failed to cross-appeal. In addition, at the outset of oral argument, counsel for defendants stated that the two issues before the Court were nuisance and the public-buildings exception. However, since this situation involves the Court’s decision to grant leave to appeal this issue, defendants may not be said to have "waived” exclusion of it, thereby requiring the Court to consider it.
Plaintiffs might have asked the Court to add the issue pursuant to MCR 7.302(F)(4)(b), which reads in pertinent part:
On motion of any party, for good cause, the Court may grant a request to add additional issues not raised in the application for leave to appeal or in the order granting leave to appeal.
However, plaintiff did not so move.
Third-party defendants Gove Associates, Inc. and J. Leach Construction, Inc., have been dismissed from this appeal upon the stipulation of the parties.