Opinion
WOODS (Fred), J.Appeal from a judgment of the Los Angeles County Superior Court, the Honorable Robert P. Schifferman, judge presiding, dismissing the action of plaintiff/appellant following the sustaining of a demurrer to the complaint without leave to amend. We affirm.
*1108I.
Introduction
Minor plaintiff, Cassondra Hegyes, appeals from a judgment entered after the court below sustained defendant’s demurrer to her complaint for preconception negligence. In 1985, plaintiff’s mother and guardian ad litem, Lynn O’Hare Hegyes, was involved in a car accident with a vehicle driven by defendant’s employee. She sued defendant for injuries she sustained as a result of that accident and settled that action. Two years later she became pregnant and, subsequently, gave birth to plaintiff, who was born prematurely and allegedly suffers from injuries relating to premature birth.
Plaintiff now claims that the negligent conduct of employees of defendant caused her injuries and seeks damages therefor. Defendant demurred on the ground that no legal duty existed under the alleged facts. The trial court agreed, finding that recognition of plaintiff’s claim would constitute an unwarranted extension of the duty of care. Accordingly, defendant’s demurrer was sustained without leave to amend, and a judgment of dismissal was entered. It is from that judgment that plaintiff appeals.
II.
Statement of Facts
A. The Complaint
On January 24, 1989, plaintiff Cassondra Hegyes (hereinafter Hegyes or plaintiff)) filed her complaint and commenced this negligence action against defendants Donald Wayne George, Office Supply Company, and Unjian Enterprises, Inc. In that complaint, she alleged that the corporate defendant, Unjian Enterprises, Inc., doing business as Office Supply Company (hereinafter defendant), was the owner of a passenger vehicle involved in an automobile accident on July 4, 1985, while it was being operated by defendant’s employee, Donald George.1 Lynn O’Hare Hegyes (hereinafter O’Hare) was allegedly injured in that accident. It is claimed that, as a result of that accident, O’Hare was fitted with a lumbo-peritoneal shunt.
In 1987, O’Hare became pregnant with plaintiff. During that pregnancy, the fetus compressed the lumbo-peritoneal shunt and, in order to avoid further injury to O’Hare,2 plaintiff was delivered 51 days premature, by *1109Cesarean section on October 31, 1987. Plaintiff alleged that the personal injuries she sustained were a proximate result of the negligence of defendants.
B. The Demurrer
On or about November 1, 1989, defendant served its demurrer to plaintiff’s complaint. That demurrer included a request that the court take judicial notice of the complaint (case No. NCC029844B) that O’Hare had filed on June 6, 1986, in Los Angeles Superior Court, pertaining to the same automobile accident that is the subject of plaintiff’s complaint in the instant action. According to defendant, O’Hare’s suit was settled before plaintiff’s case was filed, and defendant was released from liability for the injuries to O’Hare allegedly now giving rise to plaintiff’s lawsuit (i.e., the placement of the lumbo-peritoneal shunt).
Defendant’s demurrer challenged the sufficiency of plaintiff’s complaint on several grounds, one of which was the absence of any legal duty of care. Defendant contended that no legal duty was owed by defendant to plaintiff under the facts presented since claims for preconception negligence involve a special “physician-patient” relationship which gives rise to a duty to the subsequently conceived “foreseeable” fetus. In the absence of such a special relationship, defendant contended that a legal duty had never been found under California law.
Defendant also claimed that plaintiff’s injuries were not reasonably foreseeable.
Finally, defendant asserted that the complaint failed to state facts sufficient to constitute a cause of action for negligence or negligence per se. Defendant noted that the word “duty” appeared nowhere in plaintiff’s complaint and that no facts establishing a legal duty were alleged. Defendant further argued that plaintiff was not in the class of persons sought to be protected through enactment of the Vehicle Code.
On November 22, 1989, plaintiff filed her opposition to defendant’s demurrer. In that opposition, plaintiff contended that “a cause of action may be maintained by [plaintiff] as against [defendants].”
The opposition raised briefly the issue of foreseeability, and argued that a minor plaintiff may maintain an action for preconception negligence, but did *1110not address the absence of authority for such preconception negligence actions against third parties who did not bear a “special relationship” to plaintiff. Plaintiff did not attempt to join issue on the question of defendant’s duty or lack thereof.
On or about November 28, 1990, defendant served its response to plaintiff’s opposition. In that response, defendant noted plaintiff’s failure to distinguish the present case from those for preconception professional negligence or product liability, where there existed a “special relationship” between the parties. Defendant emphasized that, absent such relationships, courts had not found the existence of a legal duty owed by a defendant to a later conceived plaintiff.
C. The Trial Court’s Ruling
On December 1, 1989, defendant’s demurrer was heard. The court read and considered the opposition, which had conceded that “this is a case of first impression.”
While plaintiff requested leave to amend, no new or different “facts” or allegations were cited by plaintiff in response to the court’s specific inquiry regarding how or in what fashion plaintiff would amend the complaint.
After considering the arguments of counsel, the trial court sustained the demurrer without leave to amend on the ground that recognition of such a cause of action would “be an unwarranted extension of a duty of care.”
D. The Judgment and Appeal
On December 19,1989, the notice of entry of judgment was filed. Plaintiff filed a timely notice of appeal.
III.
Issue on Appeal
This appeal presents a single issue, which may be framed as follows: Does a negligent motorist owe a legal duty of care to the subsequently conceived child of a woman who is injured in an automobile accident?
*1111IV.
Discussion
A. The trial court correctly denied plaintiff leave to amend since it was evident as a matter of law that defendant owed plaintiff no legal duty of care.
The function of a demurrer is to test the legal sufficiency of a pleading. (Beauchene v. Synanon Foundation, Inc. (1979) 88 Cal.App.3d 342, 344 [151 Cal.Rptr. 796].) In a case such as this one, where a demurrer has been sustained without leave to amend, the function of the appellate court is to determine whether there was clear error or abuse of discretion by the trial court. As stated in Wilhelm v. Pray, Price, Williams & Russell (1986) 186 Cal.App.3d 1324, 1330 [231 Cal.Rptr. 355]: “ ‘[A]ll intendments weigh in favor of the regularity of the trial court proceedings and the correctness of the judgment. Unless clear error of abuse of discretion is demonstrated, the trial court’s judgment of dismissal following the sustaining of the defendants’ demurrer will be affirmed on appeal.’ ” The party asserting that there was an abuse of discretion has the burden of proof. (Blank v. Kirwan (1985) 39 Cal.3d 311, 331 [703 P.2d 58].)
Plaintiff in this case seeks damages for defendant’s alleged preconception negligence. However, she has failed to allege or demonstrate that defendant owed her any duty of care and that her injuries were reasonably foreseeable. More telling, is that she has failed to show how any amendment would cure the defects in her pleading.
A complaint which lacks allegations of fact to show that a legal duty of care was owed is fatally defective. (Jones v. Grewe (1987) 189 Cal.App.3d 950, 954 [234 Cal.Rptr. 717].) The existence of such a duty is properly challenged by demurrer and is a question of law for the court. (Searcy v. Hemet Unified School Dist. (1986) 177 Cal.App.3d 792, 798-799 [223 Cal.Rptr. 206]; Ballard v. Uribe (1986) 41 Cal.3d 564, 572, fn. 6 [224 Cal.Rptr. 664, 715 P.2d 624].)
Here, the trial court correctly held that no legal duty of care existed. Plaintiff urges this court to recognize a novel approach to the tort of negligence, which abandons the concept of duty and works backwards from causation. We note that plaintiff did not raise a causation issue in the trial court. Even though plaintiff raises a causation issue for the first time on appeal, we are compelled to point out that the law is clearly to the contrary in that the existence or nonexistence of “duty” is the initial obstacle which must be mastered before any liability for negligence is legally permissible.
*1112In the alternative, plaintiff argues in her opening brief on appeal that the trial court’s decision may have been derailed by describing this case as a “wrongful life” case. We do not find such description to be totally without merit. “Wrongful life,” as a judicially and statutorily recognized cause of action in this state, is the most analytically similar established cause of action to plaintiff’s claim and, as such, was properly so examined by the trial court. Moreover, even if this be error, which we do not so declare, plaintiff invited the error and may not now try to benefit therefrom. Several times in the trial court, plaintiff, herself, analogized her case to those which seek damages for “wrongful life.”
Generally speaking, a “wrongful life” case is brought by a genetically impaired child against a physician or other health care provider for preconception negligence in rendering medical counseling or testing. (Turpin v. Sortini (1982) 31 Cal. 3d 220.) In a “wrongful life” case, the child does not assert that the negligence of the defendant caused the inherited or congenital abnormalities. The essence of the child’s claim is that the medical professional’s breach of the applicable standard of care resulted in that child being bom to experience the pain and suffering attributable to his or her affliction. In effect, the only true difference between the present case and the one for “wrongful life” lies in the damages sought, a discussion irrelevant to the issue of duty.
Admittedly, there have been localized and often inconsistent definitions of critical terms in preconception tort cases, leading to widespread confusion among legal commentators and the judiciary with respect to the classification of these claims. For example, plaintiff cites Prosser and Keeton, The Law of Torts (5th ed. 1984), section 55, page 367, which defines varying types of preconception tort claims. In particular, that treatise identifies “wrongful life” and “pre-conception” negligence resulting in prenatal injuries as two separate and distinct variations of preconception negligence. There is no support for application of that theory in California where our Supreme Court has opined that “wrongful life” is an appropriate and sufficient title to be attached to claims brought by infants for negligence occurring prior to their conception. (Turpin v. Sortini, supra, 31 Cal.3d at p. 225.)
In Turpin, the Supreme Court stated with respect to the multiple authorities attaching various titles to preconception tort claims: “While courts and commentators have not always been consistent in their terminology, ‘wrongful life’ has generally referred to actions brought on behalf of children, and ‘wrongful birth’ to actions brought by parents. Some authorities have broken these categories down further [citation], but in this opinion we will follow the general usage: ‘wrongful life’ for all actions brought by *1113children and ‘wrongful birth’ for all actions brought by parents.” (Id., at p. 225, fn. 4.)
To the extent it is unclear, it is unimportant whether this case should be called one for “wrongful life” or another of the various classifications given that claim by innumerable commentators, as the title of plaintiff’s claim was not the basis for the trial court’s ruling. It is well established that the subject matter of, and issues in, an action are determined from the facts alleged, rather than from the title of the pleading. (Buxbom v. Smith (1944) 23 Cal.2d 535, 542 [145 P.2d 305].) The doctrine of “theory of pleading” has been repudiated in this state for over half a century. (California W. S. L. Ins. Co. v. Tucker (1940) 15 Cal.2d 69, 71 [98 P.2d 511].) Moreover, as both sides obviously agree that plaintiff’s claim sounds in negligence, the basic elements for such an action must be satisfied regardless of the title associated with plaintiff’s theory of liability.3
Regardless of the title attached to plaintiff’s theory of liability, the trial court correctly identified this as a negligence case and found there was no authority in this or any jurisdiction for imposing upon defendant a legal duty to plaintiff under the facts presented. Such a duty has never been found, nor has liability been imposed, in a preconception negligence case where defendant was not a medical professional or product liability manufacturer.4 The finding of a legal duty in those instances has been said to be consistent with express state and public policy interests in preventing foreseeable injuries to fetuses conceived pursuant to a “special relationship.” No similar interests can be validly asserted under the present facts.
B. Absent professional negligence or product liability, no legal duty is imposed upon parties to protect subsequently conceived fetuses from injury.
Plaintiff contends that a logical extension of the trial court’s decision would preclude any and all children from recovering damages for preconception negligence. Appellant erroneously claims that, under the trial court’s ruling, “ ‘defendant could owe no duty of conduct to a person who was not in existence at the time of his action.’ ” However, the record reflects that the *1114trial court appropriately ruled that only when a legal duty to the subsequently conceived child is found to exist and to have been violated may liability for preconception negligence be imposed. Applying that proposition to the facts of this case, we conclude that the trial court properly found that defendant owed no legal duty to plaintiff.
In a preconception tort case, as in any negligence case, there is an overwhelming need to keep liability within reasonable bounds and to limit the areas of actionable causation by applying the concept of duty. In a non-medical preconception negligence case where there is no alleged “special relationship,” it becomes more difficult to find a legal duty owed to the minor child and, hence, liability on the part of defendant. It cannot be said that, under the facts presented, defendant motorist owed a legal duty to plaintiff.
California has an illustrative history regarding preconception tort claims. Although terming them claims for “wrongful life,” California does recognize the existence of a cause of action for damages sustained as a result of a defendant’s preconception negligence. However, case law imposes liability only when there is a “special relationship” between the defendant and the mother giving rise to a duty to the minor plaintiff. The defendant’s conduct in those cases is inextricably related to the inevitable future pregnancy, a key element missing from the present facts.
For example, the earliest California case in this area, Custodio v. Bauer (1967) 251 Cal.App.2d 303 [59 Cal.Rptr. 463, 27 A.L.R.3d 884], involved an action brought solely by the parents against a physician whose negligence in performing a sterilization operation failed to prevent the plaintiff’s pregnancy and the birth of a healthy child, the family’s tenth. The Custodio court, finding defendant doctors breached their duty of care, rejected defendants’ contentions that “pregnancy, the ensuing birth of a child, and the costs and expenses of the delivery and rearing of a child, are not legally cognizable injuries” and held that ordinary tort principles of compensation for “ ‘all the detriment proximately’ ” caused should govern. (Id. at pp. 310, 325.) The decision left unresolved the issue of whether the healthy, albeit unplanned, child could successfully maintain a preconception negligence claim in her own right.
Similarly, in Stills v. Gratton (1976) 55 Cal.App.3d 698 [127 Cal.Rptr. 652], a judgment of nonsuit was held improper in an action based upon the negligent performance of a therapeutic abortion which led to the birth of an unwanted, but healthy child. As in Custodio, it was held that the mere fact that the child had been born healthy did not preclude the mother from recovering the usual damages which are recoverable under established tort *1115principles in the event the trier of fact found in her favor on liability. (Id.., at x pp. 703-705 , 709.) Notably, however, the court observed that the normal child bom as a result of the failed abortion caused by defendant physician’s negligence, had no independent cause of action for malpractice, as he sustained no cognizable damage in simply being born. (Id., at pp. 705-706.) The issue of whether the defendant doctor owed the minor an independent legal duty of care was not addressed.
The following year, the appellate court decided Dujardin v. Ventura County General Hospital (1977) 69 Cal.App.3d 350 [138 Cal.Rptr. 20], wherein plaintiff became pregnant shortly after being prescribed an IUD, resulting in the premature birth of a handicapped child. The merits of plaintiffs’ claims were not addressed since the issue on appeal involved the sustaining of a demurrer to plaintiff’s complaint on grounds of failure to comply with the procedural requirements of the Tort Claims Act. The appellate court reversed, mling that a belated discovery tolled the statutory time period within which to file a claim.
California then gained nationwide attention by the decision in Curlender v. Bio-Science Laboratories (1980) 106 Cal.App.3d 811 [165 Cal.Rptr. 477], wherein for the first time the court was faced with a genetically impaired child suing for preconception negligence. In California’s first true “wrongful life” case, minor plaintiff suffered from Tay Sachs disease. It was alleged that the plaintiff’s parents had specifically retained defendant, Bio-Science Laboratories, to administer certain tests in order to determine whether the parents were carriers of the Tay Sachs genes. In the complaint, it was alleged that these tests were performed negligently by defendant Bio-Science and that, as a direct result of that negligence, inaccurate and incorrect information was disseminated to plaintiff’s parents concerning their status as carriers and specifically influenced them to conceive the plaintiff.
The Curlender court had no difficulty finding a duty owed to the minor plaintiff and that a cause of action for “wrongful life” was stated against defendant. It specifically recognized that society has an interest in ensuring that genetic testing is properly performed. (106 Cal.App.3d at p. 826.) The court cited with acceptance the following language form the Yale Law Journal: “The writer concluded that the law indeed has an appropriate function in encouraging adequate and careful medical practice in the field of genetic counseling, observing that [t]ort law, a well-recognized means of regulating the practice of medicine, can be used both to establish and to limit the duty of physicians to fulfill this [genetic counseling] function.’ ” {Ibid.)
The court went on to state: “We have no difficulty in ascertaining and finding the existence of a duty owed by medical laboratories engaged in *1116genetic testing to parents and their as yet unborn children to use ordinary care in administration of available tests for the purpose of providing information concerning potential genetic defects in the unborn. The public policy considerations with respect to the individuals involved and to society as a whole dictate recognition of such a duty, and it is of significance that in no decision that has come to our attention which has dealt with the ‘wrongful-life’ concept has it been suggested that public policy considerations negate the existence of such a duty.” (106 Cal.App.3d at p. 828.)
The court concluded that the afflicted child could maintain an action for “wrongful life.” (106 Cal.App.3d at pp. 830-831.) Unlike Stills, wherein defendant’s negligence led to the birth of a healthy, albeit unplanned, child who could not maintain an action for preconception negligence since he suffered no legally cognizable injury, in Curlender the minor plaintiff was afflicted with a genetic defect that defendant laboratories negligently failed to detect. Clearly, a legal duty was owed to the genetically impaired child foreseeably conceived as a direct result of defendant’s negligence.
Subsequently, in Turpin v. Sortini, supra, 31 Cal.3d 220, the Supreme Court echoed the notion that a “wrongfiil life” cause of action could be maintained in California where a duty to a minor plaintiff was owed who was born totally deaf as a result of a genetic defect. It was alleged that defendant doctors had negligently failed to diagnose this genetic defect in her older sister and to advise the minor’s parents of the probability of the hereditary condition, depriving them of the opportunity to choose not to conceive a child. According to the complaint, the nature of the condition was such that there was a “reasonable degree of medical probability” that the hearing defect could be inherited by any offspring of plaintiff’s parents.
The Supreme Court in Turpin cited Budd v. Nixen (1971) 6 Cal.3d 195 [98 Cal.Rptr. 849, 491 P.2d 433] which summarized the basic elements of a professional malpractice action, which were to be applied in evaluating plaintiff’s claim for “wrongful life” against the defendant physicians. Of those elements, duty, breach, and proximate cause were not disputed by the Turpin defendants. The court, therefore, focused on the existence and propriety of any “legally cognizable injury” resulting from the alleged negligence (consistent with the prior decisions of Stills and Curlender). (Turpin v. Sortini, supra, 31 Cal.3d at pp. 230-237.)
In .subsequent cases, the Turpin decision has been strictly interpreted as defining the elements necessary to maintain a preconception negligence case. For instance, the Court of Appeal in Foy v. Greenblott (1983) 141 Cal.App.3d 1 [190 Cal.Rptr. 84], relied upon Turpin in denying a minor plaintiff’s claim for “wrongful life” where all elements of a negligence cause *1117of action were not satisfied. (Id., at pp. 14-15.) In Foy, plaintiff’s mother, an incompetent person, became pregnant while detained in a mental health care facility and gave birth to the minor plaintiff, a normal healthy boy. Both filed lawsuits on the basis of negligent failure to supervise.
.In Foy, the trial court sustained demurrers without leave to amend as to all causes of action. The Court of Appeal reversed only as to the mother’s cause of action. Consistent with Stills, in which the court was unwilling to expand recognition of preconception torts where a critical element was lacking, the Foy court affirmed as to the child’s cause of action, since he failed to allege any legally cognizable injury. (141 Cal.App.3d at pp. 14-15.) Moreover, inasmuch as precedent in California “wrongful life” cases recognized claims against health care providers for negligent preconception genetic counseling, the Foy court found they provided little guidance in determining the scope of the duty owed to minor plaintiff by defendant under the facts presented.
Just as the Foy court denied plaintiff’s claim due to an absence of actual injury, the court in Simmons v. West Covina Medical Clinic (1989) 212 Cal.App.3d 696, 699 [260 Cal.Rptr. 772], refused to permit plaintiff’s “wrongful life” case to proceed in the absence of proximate cause. Simmons involved a claim by a mother and her son for “wrongful birth” and “wrongful life” resulting from the son’s affliction with Down’s Syndrome. The complaint alleged that defendants negligently failed to provide Mrs. Simmons with appropriate genetic testing, thus denying her the opportunity to discover the genetic defect in her unborn child and to terminate the pregnancy. The appellate court affirmed the granting of defendant’s motion for summary judgment on the issue of proximate cause, since the genetic test provided only a 20 percent probability of detecting the risk of Down’s Syndrome, as distinguished from the “reasonable degree of medical certainty” established in Curlender. (Ibid.)
The Simmons court recited the commonly accepted elements of a negligence action (including duty and its violation), pointing out that the sole element in dispute was that of proximate cause. (212 Cal.App.3d at p. 702.) So stating, it refused to “expand the circle of liability by abandoning established tort law principles of causation where there is only a mere possibility of detecting the genetic defect.” (Id., at p. 706.) The court held: “Under the facts of this case, we decline to establish a more lenient standard of causation. To do so would be contrary to sound logic, legal precedent, and public policy. . . . [][] . . . We do not wish to intrude upon the Legislature’s task of weighing such matters of public policy, and leave to it the function of deciding whether to provide a remedy for those genetically defective children and their parents who are unable to prove to a reasonable medical *1118certainty that medical negligence deprived the mother of the chance to terminate her pregnancy.” (Id., at pp. 705-706.)
Both Simmons and Foy make clear that a claim for preconception negligence will fail, unless it satisfies all elements of an ordinary negligence cause of action. A similar result was reached in Munro v. Regents of University of California (1989) 215 Cal.App.3d 977 [263 Cal.Rptr. 878], where this court held a doctor did not owe a legal duty to recommend Tay Sachs testing when no risk was indicated, and thereupon dismissed plaintiff’s claim for preconception negligence. Plaintiffs, a married couple and their son (born with Tay Sachs disease), sued defendant for medical malpractice and infliction of emotional distress as a result of defendant’s failure to recommend the genetic testing. In its decision, this court affirmed the trial court’s entry of summary judgment in favor of defendant on various medical grounds, including the fact that neither of the Munro’s had indicated they were of Jewish heritage and, therefore, appeared to pose no foreseeable risk. (Id., at p. 989.)
In each of the above cases, the prevailing principle is clear. A special relationship between physician and patient may, in certain circumstances where the conduct is directly related to the resulting pregnancy and birth, give rise to a duty to the subsequently conceived child. Unlike in the present case, the defendants held liable in those cases were health care providers who were retained to provide genetic counseling to the respective parents. Understandably, their negligence in performing that function led the courts to recognize a duty owed to the foreseeably impaired children. Those defendants were specifically consulted for conception and pregnancy related purposes, and the parents relied on the doctors’ advice in deciding whether to conceive a child or to terminate a pregnancy.
Whereas in California medical malpractice is a tort which arises out of the special physician/patient relationship (see, Harding v. Liberty Hospital Corp. (1918) 177 Cal. 520, 522-524 [171 P. 98]), no such relationship exists between motorists. The physician/patient relationship generally, though not necessarily, arises out of an express contract which gives rise to a “definite” legal duty sounding in tort. (Ibid.) By this contract, the doctor impliedly warrants competency by undertaking to act as the physician, and render medical care and advice. Where that advice and care is directly related to the delivery of a healthy child, that child is tantamount to a foreseeable third party beneficiary of that contract to whom the courts have found that a duty of care is owed.
Arguably, it would ignore the realities of modern obstetrical practice to deny an infant, as the intended “beneficiary” of that contractual relationship, *1119independent protection against that same incompetent medical advice. Generally speaking, a woman who wishes to conceive and keep her child engages a physician to advise and guide her through pregnancy and, so far as humanly possible, to ensure the birth of a healthy infant. The latter consideration is uppermost in the minds of both a woman and her doctor. Thus, as the failure to properly diagnose, test, or disclose the alternatives and reasonably foreseeable risks and benefits of treatment will usually result in physical injury to the fetus alone, as opposed to the mother, it is reasonable that a cause of action belong to the infant, bom alive. (See, e.g., Hughson v. St. Francis Hosp. of Port Jervis (1983) 92 A.D.2d 131 [459 N.Y.S.2d 814].)
On the other hand, there is no “special relationship” between motorists. The ordinary principles of negligence apply. Those principles cannot be validly extended to encompass a duty owed to a child conceived several years after her mother was involved in an automobile accident. If plaintiff has more children who sustain injuries as a result of plaintiff’s alleged condition, shall defendant once again be hailed into court? The implications associated with finding a duty under the present facts are indeed staggering, and the trial court properly refused to find one.
California precedent absolutely requires a preliminary finding of duty in order for this case to proceed. “Duty” encompasses the question of whether a defendant is under any obligation to the plaintiff to avoid negligent conduct. Here, there was no relationship between this defendant and this plaintiff which gave rise to any legal obligation on defendant’s part for the benefit of plaintiff. The trial court’s dismissal of plaintiff’s claim for want of a legal duty was proper. In examining precedents on this issue on a national level, we conclude that an initial finding of duty is likewise a requirement.
1. Liability for preconception negligence in other jurisdictions appropriately hinges on the existence of duty.
Plaintiff’s statement that “no American court has any difficulty these days with finding a duty owed by the tortfeasor to the unborn child” does not bear close scrutiny. In California alone, a tortfeasor owes no duty to an unborn child, unless that child is later born alive. (Justus v. Atchison (1977) 19 Cal.3d 564 [565 P.2d 122].) We are able to locate only six leading cases that have addressed the issue of whether a child can recover for injuries (other than birth) sustained as a result of alleged preconception negligence. We find no California courts that have mled on the issue. Unlike the aforereferenced California cases wherein it was alleged that the negligence of the defendant medical care provider directly caused the conception and/or birth of the handicapped child, in the six cases from foreign jurisdictions, it *1120is alleged that the defendant’s negligence actually caused the child’s handicap.
One of the six decisions, Renslow v. Mennonite Hospital (1977) 67 I11.2d 348 [367 N.E.2d 1250, 91 A.L.R.3d 291], was written by a sharply divided Illinois Supreme Court. The four-to-three decision found all three dissenting justices filing separate opinions. In Jorgensen v. Meade Johnson Laboratories, Inc. (10th Cir. 1973) 483 F.2d 237 and Bergstreser v. Mitchell (8th Cir. 1978) 577 F.2d 22, both courts speculated as to how the respective state courts might have decided the issue. Moreover, Renslow and Bergstreser courts were influenced by Park v. Chessin (1976) 88 Mis.2d 222 [387 N.Y.S.2d 204], a lower court decision subsequently overruled by the New York Court of Appeals in Becker v. Schwartz (1978) 46 N.Y.2d 401, 413 [413 N.Y.S.2d 895, 386 N.E.2d 807, 814], (Bergstreser v. Mitchell, supra, 577 F.2d at p. 25; Renslow v. Mennonite Hospital, supra, 367 N.E.2d at p. 1256.) Plaintiff relies heavily on each of the above cases, but we have to question the factual and legal applicability of those decisions to the present case. Although contending that these cases are “major advances” and “mainstream,” appellant cites no other preconception negligence case in which those decisions are followed.
Jorgensen v. Meade Johnson Laboratories, Inc., supra, 483 F.2d 237, was a product liability case in which the Court of Appeals, applying Oklahoma law, found the defendant pharmaceutical company could be held strictly liable for the retardation, deformities, and pain and suffering of plaintiff’s mongoloid twin daughters. The infant plaintiffs alleged that their mother purchased and used defendant’s birth control pills for several months. She became pregnant shortly after stopping their use and, subsequently, gave birth to the minor plaintiffs. Plaintiffs alleged that the birth control pills had altered the chromosomal structure of their mother’s body and, as a consequence, the twins were born with severe deformities. The Tenth Circuit reversed the decision of the trial court and held that plaintiffs had stated a cause of action that could be maintained on a theory of strict liability in tort. (Id., at p. 241.)
However, the Jorgensen decision must be limited in its application, as it dealt with preconception torts from a pure products liability standpoint. *1121Under a products liability theory, once a defect in manufacture or design is established, or where there has been a failure to give adequate notice of foreseeable potential hazards, liability of the manufacturer may be extended to the entire class of persons thereby affected. In Jorgensen, the defect in the product was the effect it could have on later conceived children; therefore, the injury to the fetus was foreseeable. Accordingly, the necessity of establishing manageable bounds for liability is conspicuously absent in the Jorgensen decision. Since Jorgensen was not concerned with the policy issues presented in the case at bar, any reliance thereon is misplaced.
While Jorgensen approached the issue of preconception tort liability from the standpoint of strict products liability, the Illinois Supreme Court in Renslow v. Mennonite Hospital, supra, 67 I11.2d 348 [367 N.E.2d 1250], applied the tort elements of professional negligence to the preconception issue and found a duty owed to the minor plaintiff. In Renslow, the mother brought a medical malpractice action on behalf of her minor daughter. The complaint alleged that, on two occasions, defendant doctors had negligently transfused the mother’s Rh negative blood with Rh positive blood. The mother’s blood was sensitized by the negligent transfusion because of the incompatibility of the two blood types. Despite learning of the incompatibility, defendant doctors never advised the mother of the adverse reaction and associated risks. It was not until seven years later, during the course of a routine blood screening as part of her prenatal care, that the mother learned of her condition. Three months later minor plaintiff was born prematurely with severe and permanent neurological injury as a result of the damage defendant doctors caused to her mother’s “hemolytic process,” precisely the danger associated with such improper transfusion.
The sharply divided court, relying on Jorgensen, affirmed the ruling of the lower court, found that the child could maintain a cause of action against the defendant doctors. The court observed that the plaintiff’s right to maintain such a cause of action arose from the defendant’s duty of due care which arose within the special relationship between doctor and patient, stating that, “[l]ogic and sound policy require finding a legal duty in this case.” (367 N.E.2d at p. 1255.)
Reasoning that it was foreseeable to the defendants at the time of the negligent transfusion, that their conduct would harm a subsequently conceived child and that the woman who received the improper blood transfusions could one day become pregnant, the court concluded that to permit plaintiff to have a cause of action would not be an unreasonable extension of the duty concept. (367 N.E.2d at p. 1253.) In reaching its conclusion, the Illinois Supreme Court observed that the basic understanding of Rh negative and Rh positive effects upon hemolytic disease of the newborn had been a *1122medical fact since the 1940’s. (Ibid) Thus, the court was able to easily conclude, based on the facts presented, that the harm caused plaintiff was “reasonably foreseeable” to the defendant doctor and hospital. (Ibid.)
We note that the majority’s finding of a duty in Renslow was not unanimous. Three justices disagreed with the majority decision and wrote separate dissenting opinions. The most elaborate was that by Justice Ryan who focused on Dean Prosser’s statement that “ ‘liability must stop somewhere short of the freakish and the fantastic.’ ” (367 N.E.2d at p. 1262.) It was Justice Ryan’s position that the majority abandoned the concept of foreseeability and accepted the notion that where causation has been shown, all results are foreseeable. (Ibid.) Such a position, in Justice Ryan’s stated belief, leads “unavoidably to liability stretching across generations.” (Id., at p. 1264.)
However, we find the persuasiveness of the Renslow decision to be diminished for another reason. Although the concurring opinion pointed out that “prenatal injury cases do not involve wrongs done prior to conception” (367 N.E.2d at p. 1257), the majority ignored that distinction and relied upon such precedents in reaching its conclusion.
We question the soundness of relying on such precedents. American jurisdictions uniformly recognize that a cause of action will lie in favor of a child for injuries due to prenatal torts since, at the time of the negligent conduct, there are two identifiable beings within the zone of danger, each of whom is owed a duty of due care and each of whom can be directly injured. (See, e.g., Civ. Code, § 29;5 Woods v. Lancet (1951) 303 N.Y. 349 [102 N.E.2d 691, 27 A.L.R.2d 1250].) In fact, a child, if born alive, is now permitted in every jurisdiction that we are aware to maintain an action for injuries resulting from prenatal tortious conduct. (Prosser & Keeton, The Law of Torts, supra, § 55, p. 368.) Only a very small number of courts have permitted recovery for injuries sustained as a result of preconception conduct.
The persuasiveness of the Renslow decision is further diminished in our view since the Renslow court relied on the special term holding in Park, which was expressly overruled in Becker.
Almost one year after the Renslow decision, the federal Court of Appeals interpreted Missouri law in Bergstreser v. Mitchell, supra, 577 F.2d 22, and found that an action could be maintained by an infant for a preconception *1123tort. The court relied on Jorgensen and Renslow to resolve the preconception issue, which was one of first impression in Missouri.
In Bergstreser, plaintiff’s mother brought an action on her child’s behalf against two physicians and a hospital for medical malpractice. The complaint alleged that several years prior to plaintiff’s birth, the defendant physicians performed a Caesarean section on plaintiff’s mother. During her pregnancy with plaintiff, the mother suffered an occult rupture of her uterus, allegedly resulting from the defendants’ negligent performance of the earlier Caesarean section. The rupture necessitated an emergency Caesarean section in order to prematurely deliver the plaintiff, who was born with resulting brain damage.
Absent any Missouri law on the question of whether preconception negligence was actionable, the court looked to Missouri law on prenatal negligence for guidance in determining whether the child had stated a cause of action. (577 F.2d at p. 25.) The Bergstreser court noted that Missouri case law recognized that an infant who was born alive had a right of action for prenatal personal injuries. (Ibid.) After considering prenatal negligence case law the Eighth Circuit made a quantum leap in logic by holding that Missouri courts, therefore, would also permit an infant, born alive, to bring an action for injuries arising out of preconception negligent conduct.6 (Id., at p. 26.)
Thus, as in Renslow, this decision was questionably based upon precedent in prenatal negligence cases, which appears to us to be inapposite. The Bergstreser decision does address the distinction between prenatal and preconception torts and the attendant complications with the latter pertaining to difficulty in proof, the consequences of extending liability, and policy considerations in expanding the element of duty, etc. Moreover, according to the decision, “being born alive” is the only criterion for the successful assertion of a preconception tort and the damages resulting therefrom. In fact, the words duty, breach, causation, and foreseeability are not mentioned in the decision. For these reasons, we find Bergstreser to be lacking as persuasive authority in preconception tort cases.
Plaintiff contends that the California Supreme Court in Turpin v. Sortini, supra, 31 Cal.3d 220, relied on the decisions of Renslow and Bergstreser in reaching its conclusion that the plaintiff could maintain an action for “wrongful life.” The plaintiff is incorrect. Rather, these cases are cited in the *1124Turpin decision in connection with the issues of legally cognizable injuries as rationally ascertainable damages, not the liability aspect of plaintiff’s claim. The Supreme Court’s tangential reference to these cases is not even found until after it has noted that duty, breach, and proximate cause were undisputed. The Turpin court stated, immediately preceding its reference to Renslow and Bergstreser. “defendants do not contend that they owed no duty of care either to James and Donna or to Joy. [Citation.] Nor do defendants assert that the complaint fails to allege adequately either a breach of their duty of care or that Joy’s birth was a proximate result of the breach.” (Id., at p. 230.)
The next major preconception tort case was decided by the New York Court of Appeals in Albala v. City of New York, supra, 54 N.Y.2d 269 [429 N.E.2d 786]. Albala involved a claim by a minor for injuries allegedly resulting from medical malpractice committed against his mother prior to his conception. Plaintiff’s complaint alleged the defendant doctor negligently performed an abortion on plaintiff’s mother in 1971, during the course of which her uterus was perforated. Plaintiff’s mother instituted a lawsuit against the doctor and received a $175,000 settlement in June of 1979. Minor plaintiff was conceived in September of 1975, while his mother’s case was still pending. Plaintiff was born on June 3, 1976, with brain damage alleged to have been due to the malpractice which occurred four years earlier.
In Albala, the court faced a situation where the defendant’s alleged negligence made the difference between life in an impaired state and life in an unimpaired state. The court was mindful of plaintiff’s assertion that it was foreseeable to the defendant physician that plaintiff’s mother would again conceive and that the health of the children born thereafter could be adversely affected by damage to her uterus. With that in mind, admitting the emotional difficulty of the conclusion which it reached, the court nonetheless stated: “We disagree, however, that this foreseeability alone established a duty to plaintiff on the part of defendants. We determined long ago in a case involving policy issues as sensitive as the ones at bar that foreseeability alone is not the hallmark of legal duty for if foreseeability were the sole test we could not logically confine the extension of liability. [Citations.] [][] Thus, were we to establish liability in this case, could we logically preclude liability in a case where a negligent motorist collides with another vehicle containing a female passenger who sustains a punctured uterus as a result of the accident and subsequently gives birth to a deformed child? Unlimited hypotheses accompanied by staggering implications are manifest.” (Italics added.) (429 N.E.2d at p. 788.)
The above demonstrates the Albala court, therefore, was concerned about the same unwarranted extension of duty that formed the basis of the trial *1125court’s decision here. In relying upon Howard v. Lecher (1977) 42 N.Y.2d 109 [397 N.Y.S.2d 363, 366 N.E.2d 64, 69], the court recognized: “[W]hen faced with a novel cause of action sentiment should be put aside and the law must establish the rules ascribing liability in a manner which avoids the drawing of artificial and arbitrary boundaries.” (Id., at p. 788.) The court stated that: “While the temptation is always great to provide a form of relief to one who has suffered, it is well established that the law cannot provide a remedy for every injury incurred.” (429 N.E.2d at p. 789.)
As the court explained in further support of the previous grant of defendant’s motion for summary judgment: “In defining the common law, it is this court’s duty to consider the consequences of recognizing a novel cause of action and to strike the delicate balance between the competing policy considerations which arise whenever tort liability is sought to be extended beyond traditional bounds.” (429 N.E.2d at p. 789.)
In reaching its decision, the Albala court considered, and dismissed as unpersuasive and flawed, the cases of Renslow, Bergstreser and Jorgensen. It viewed with apprehension cases “which would honor claims assuming the breach of an identifiable duty for less than a perfect birth . . .” (429 N.E.2d at p. 788.) The Albala court, noted plaintiff’s injuries were both foreseeable and causally related and had resulted in ascertainable damages. Nonetheless plaintiff’s claims were denied as a matter of policy due to the absence of any duty.
Plaintiff’s statements that “the Court of Appeals of Michigan has taken account of Albala and expressly rejected its primary reasoning” is miscast. In actuality, in Monusko v. Postle (1989) 175 Mich.App. 269 [437 N.W.2d 367], the Michigan court made a rational distinction between the facts before it and those in Albala. Specifically, in Monusko, plaintiffs alleged that the failure of defendants to test Mrs. Monusko for her rubella status and to immunize her against rubella prior to conception resulted in the minor’s injuries. The court stated that “[t]he tests and immunization, ... are designed specifically to alleviate the sort of injuries we have in this case.” (437 N.W.2d at p. 369.) In so doing, it recognized the “direct connection” between the negligent prenatal care and resultant injury to the child, giving rise to a legal duty.
Unlike in Albala, Mrs. Monusko indicated to her doctor that she wished to have a child. The Monusko court concluded that the negligent conduct of the doctors constituted failure to render appropriate prenatal care in light of the standard of the American College of Obstetrics and Gynecology, which recommends that a rubella test be given to pregnant women if their status is unknown. (437 N.W.2d at p. 369.) As the wrongful conduct occurred while *1126the defendant doctors were treating the mother specifically in preparation for conception and undertaking to render prenatal care, that conduct resulted in a duty owed to the subsequently conceived fetus. (Id., at p. 370.)
Significantly, the dissent in Monusko, written by Presiding Judge MacKenzie, criticized the majority’s opinion as containing flawed reasoning. Judge MacKenzie stated that the majority appeared to maintain that: “the child’s conception was foreseeable and that this foreseeability gives rise to defendants’ duty to the child.” (437 N.W.2d at p. 371.) He further noted, “[ujnder the majority’s logic, all persons would be deemed to foresee, and thus owe a duty to the future children of all other persons.” (Ibid.) His illustrative hypothetical is especially interesting given the facts alleged by Ms. Hegyes in this case: “[S]uppose that a thirteen-year-old girl is struck while crossing a street by a negligently driven automobile, sustaining fractures to her pelvis. At age thirty-three, she gives birth to an infant who sustains prenatal injuries from a malformation in the mother’s pelvis caused by improper healing of the fractures. Under the majority’s holding, it would be possible for the injured infant to maintain an action against the person who drove the automobile twenty years earlier.” (Ibid.)
Judge MacKenzie realized that the implications of such a result are staggering and certainly not consistent with a sound interpretation of the requirements for successfully maintaining a negligence cause of action.
In New York, Albala’s “policy” decision denying a minor’s cause of action for a preconception tort based on negligence and medical malpractice was expressly upheld and affirmed in Catherwood v. American Sterilizer Co., supra, 498 N.Y.S.2d 703. Catherwood was an action arising out of chromosomal damage allegedly attributable to the mother’s exposure to ethylene oxide prior to the child’s conception. Citing Albala, the Appellate Division of the New York Supreme Court granted defendant’s motion to dismiss plaintiff’s claims for negligence, strict liability, breach of warranty, and fraud. (Id., at pp. 705-706.) In so doing the court closed the litigation doors to plaintiffs claiming injuries due to preconception acts, unless a duty to the unconceived is found, stating: “In order to allow a cause of action for pre-conception tort there requires the finding of a duty to the unconceived. Such a duty can only be couched in terms of a duty to protect the potentiality of life. [Citation.] New York has not recognized any such duty.” (Id. at p. 706.)
Although the Catherwood facts did not establish a duty owed to the subsequently conceived child, the Appellate Division of the New York Supreme Court was presented with sufficient facts to support the finding of a legal duty in Enright by Enright v. Eli Lilly & Co. (1990) 155 A.D.2d 64 [553 N.Y.S.2d 494], In Enright, a child born with birth defects and her *1127parents brought an action to recover damages from manufacturers of diethylstilbestrol (DES). Based upon an express state policy and legislative enactments favoring a remedy for DES-caused injuries, the court held that plaintiff had a cause of action for strict products liability for injuries caused by her mother’s exposure to DES prior to plaintiff’s conception. (553 N.Y.S.2d at p. 497.) The court recognized this cause of action as “separate and distinct from liability based upon negligence,” which was not permitted pursuant to Albala. {Ibid.) Furthermore, stating that “[t]he distinguishing factor is DES,” the court differentiated its case from the facts in the Catherwood decision. (Id., at p. 496.)
Thus, unwilling to recognize an absolute and automatic duty to children injured as a result of preconception conduct, the New York courts have rationally limited liability for preconception conduct to those instances wherein a duty to the injured child can be found. To date, such a duty has only been found in DES-related situations, based on specifically crafted express state policy.
Perhaps most indicative of what courts will do when faced with facts like those presented here, is the decision of the Supreme Court of Georgia in McAuley v. Wills, supra, 251 Ga. 3 [303 S.E.2d 258]. McAuley involved a complaint for wrongful death of a child who was conceived subsequent to his mother’s paralysis in an automobile accident. It was alleged that the child died the day after birth from cardiac arrest caused by the infant’s inability, due to the mother’s paraplegia, “to pass through the fetal course in an uneventful manner.” (303 S.E.2d at p. 258.) The infant’s mother sued the allegedly negligent driver, alleging the child’s death was directly and proximately caused by the negligence of that driver in causing the car crash.
The court recognized that, at least in some situations, a person should be under a duty of care toward an unconceived child. (303 S.E.2d at p. 260.) However, the court did not find a duty to the minor plaintiff under the facts presented. It stated: “[W]e do hold that the negligence of the defendant Wills and the injuries resulting in the death of McAuley’s child are too remote for the law to sanction a recovery against Wills for the child’s death. Our holding in this regard is based on one of two assumptions. First, assuming that the car crash in 1979 left Mrs. McAuley wholly unable to give birth to a child, this would be an element of damages recoverable by her in the personal-injury action on her own behalf which is currently being litigated. Second, assuming that the car crash did not leave Mrs. McAuley wholly unable to give birth to a child, then the delivery of the child in a manner incompatible with the mother’s paraplegia constituted an intervening act not reasonably foreseeable at the time of the car crash.” (Id., at p. 260.)
*1128Thus, the court affirmed the trial court’s granting of the defendant’s motion to dismiss on the ground that the complaint failed to state a claim on which relief could be granted in that defendant driver could not be said to have owed a legal “duty to protect the plaintiff from the injury which in fact occurred.” (303 S.E.2d at p. 261.)
The present case is analogous to that before the McAuley court. If O’Hare’s doctor did not recognize and advise her of the danger of having a child, then either there was an intervening act of malpractice or the harm was unforeseeable to that doctor and, obviously, therefore, to the defendant motorist. On the other hand, if the doctor did warn O’Hare of the risks associated with becoming pregnant, and O’Hare nonetheless decided to proceed with pregnancy, her voluntary and knowing act was an intervening intentional act, breaking the chain of causation.
Given that these are the only two pleading options available to the plaintiff and neither scenario gives rise to a finding of duty, the trial court correctly found that granting leave to amend would be fiitile.7 The trial court’s finding is entirely consistent with the McAuley decision, as well as the other out-of-state cases limiting liability for preconception negligence to instances where a duty to the minor plaintiff is found. Where no such duty exists, no negligence action, regardless of the type of claim asserted, can survive the challenge of a demurrer.
2. No legal duty is owed to “persons” outside of the protected class.
In addition to the above noted absence of judicial endorsement for the relief sought, no statute or public policy argument supports classifying plaintiff as a person to whom a legal duty was owed at the time of the car accident. There is no legitimate state interest in finding plaintiff’s interests protected under the present facts. On the other hand, statutes do exist wherein the Legislature has acknowledged the state’s interest in providing proper and adequate prenatal medical care and genetic counseling for the direct benefit of subsequently conceived children. Congruous with judicial resolve, violations of those statutes clearly give rise to a legal duty of care to the handicapped child born as a result of the health care provider’s negligence.
By way of example, Health and Safety Code section 289 emphasized the compelling state interest with respect to comprehensive prenatal services as follows: “The Legislature finds and declares that prenatal care, delivery *1129service, postpartum care and neonatal and infant care are essential services necessary to assure maternal and infant health.” (Italics added.) (See also, Historical Note, 74A West’s Ann. Welf. & Inst. Code (1991 ed.) § 14134.5, pp. 333-334.)
Furthermore, the Legislature has enacted specific statutes concerning the need for proper and effective genetic testing. In Health and Safety Code section 150 et seq., known as the Hereditary Disorders Act, the Legislature expressly found that: “(a) Each person in the State of California is entitled to health care commensurate with his or her health care needs, and to protection from inadequate health services not in the person’s best interests.” (Health & Saf. Code, § 150.) It further declared that: “(b) Hereditary disorders ... are often costly, tragic, and sometimes deadly burdens to the health and well-being of the citizens of this state, [f] (c) Detection through screening of hereditary disorders can lead to the alleviation of the disability of some hereditary disorders . . . .” (Ibid.)
In Health and Safety Code section 300 et seq., regarding maternal and child health, it is noted: “[§ 309. Genetic Testing] [][] (a) It is the policy of the State of California to make every effort to detect, as early as possible, phenylketonuria and other preventable heritable or congenital disorders leading to mental retardation or physical defects. . . .”
The above provisions evidence the state’s interest in protecting children conceived or born in the state of California from injuries resulting from prenatal or preconception medical negligence. Thus, a duty is easily recognized where, as in the cases described earlier, the parents consulted the physician for the express purpose of determining whether to conceive a child or to terminate an existing pregnancy, and the doctors’ negligence in rendering that advice resulted in the birth of a handicapped child.
There is no similar statute or provision protecting a fetus from alleged preconception negligence in operating a vehicle. Therefore, in addition to there being no judicial support for finding a duty in this case, there is also no statutory basis for classifying plaintiff’s interests as protectable.
By example, Vehicle Code section 17150 provides that an owner is responsible for the negligent operation of his or her vehicle that causes injury or death to a person or property. It states: “Every owner of a motor vehicle is liable and responsible for death or injury to person or property resulting from a negligent or wrongful act or omission in the operation of the motor vehicle, in the business of the owner or otherwise, by any person using or operating the same with the permission, express or implied, of the owner.”
*1130Civil Code section 29 provides that a child is not a “person” entitled to recover for injuries until it is conceived. That section provides as follows: “A child conceived, but not yet bom, is to be deemed an existing person, so far as may be necessary for its interests in the event of its subsequent birth; . . .” (Italics added.)
Here, plaintiff does not qualify as a “person” whose interests are protected by the Vehicle Code. Had her mother been pregnant at the time of the car accident, and had plaintiff been directly injured and subsequently born alive, the result would be different pursuant to the above statutes.
Despite plaintiff’s contentions, the law does not countenance recovery for all injuries caused by allegedly negligent conduct. The Supreme Court, in Justus v. Atchison, supra, 19 Cal.3d 564, denied the parents’ claim for wrongful death due to the fact that their child was not in the class of persons sought to be protected by the wrongful death statute (Code Civ. Proc., § 377). (19 Cal.3d at p. 567.) In Justus, the court held that a cause of action for wrongful death cannot be pleaded by the parents of an infant decedent, unless the infant was born alive. (Id. at pp. 577-580.) In denying wrongful death recovery for stillborn infants, the court has determined that such an infant is not a “person” or “child” to whom a duty of care flows for purposes of the wrongful death statute. (Ibid.) Although denying the Justus' claim on different grounds than those applicable here, the result is the same. On occasion, the law cannot provide a remedy. The courts must draw requisite boundaries.
Here, the trial court’s opinion considered pertinent judicial and statutory authority and found that neither supported a finding of legal duty and under the facts presented, found no duty as a matter of “policy.” We find no error in the court’s reasoning.
3. No legal duty is violated where the plaintiff’s injury is not reasonably foreseeable.
While the question of whether one owes a duty to another must be decided on a case by case basis, every case is governed by the rule of general application that persons are required to use ordinary care for the protection of those to whom harm can be reasonably foreseen. (Rowland v. Christian (1968) 69 Cal.2d 108, 112 [70 Cal.Rptr. 97, 443 P.2d 561, 32 A.L.R.3d 496].) This rule not only establishes, but limits, the principle of negligence liability. The court’s task in determining duty is to evaluate “whether the category of negligent conduct at issue is sufficiently likely to result in the kind of harm experienced” such that liability may appropriately be *1131imposed upon the negligent party. (Ballard v. Uribe, supra, 41 Cal.3d 564, 573, fn. 6.)
Applying that standard to the aforementioned “special relationship” cases where a duty was found to exist, the birth of a handicapped child was arguably a “likely result” of the defendant’s professionally negligent conduct. In this case, however, that standard leads to a different result. Defendant’s conduct was not “likely to result” in plaintiff’s conception or birth, let alone her alleged injuries nearly three years after the car accident. Unlike a medical professional’s conduct which is directly and intentionally related to whether a child is conceived or born, such conception or birth is not a reasonably foreseeable result of the operation of a car.
This doctrine was fully expounded in the landmark case of Palsgraf v. Long Island R. Co. (1928) 248 N.Y. 339 [162 N.E. 99, 59 A.L.R. 1253]. In Palsgraf, a man carrying a package of fireworks attempted to board a moving train, assisted by defendant’s employee. The package was dislodged, fell, and exploded, causing a platform to fall down and strike plaintiff, who was standing several feet away. The court found that negligence in the abstract is not a tort and that there must be a violation of a duty toward the plaintiff, who cannot recover merely for negligence towards someone else. (162 N.E. at p. 101.) Therefore, Helen Palsgraf, as the unforeseeable plaintiff, could not recover from defendant for its employee’s negligence.
In narrowing the area of actionable causation, Chief Justice Cardozo drew the line at foreseeability. Negligence must be a matter of some relation between the parties, some duty, which could be founded only on the foreseeability of some harm to the plaintiff in fact injured. “ ‘Proof of negligence in the air, so to speak, will not do.’ ” (162 N.E. at p. 99.)
Thus, the important practical effect of the Palsgraf rule is that liability for unforeseeable consequences is avoided by limiting the scope of duty, rather than by application of rules of proximate causation. In fact, the Palsgraf court specifically stated that the question of proximate cause is not involved where there is no negligence as to the particular plaintiff. Hence, the admonition of writers to “ ‘look for the duty before you talk causation,’ ” because “ ‘there is no duty to an unforeseeable plaintiff.’ ” (6 Witkin, Summary of Cal. Law (9th ed. 1988) Torts, § 733, pp. 61-62; see also Mosley v. Arden Farms Co. (1945) 26 Cal.2d 213, 220 [157 P.2d 372, 158 A.L.R. 872] (conc, opn.); Rest.2d Torts, § 281, com. c.)
Thus, in determining to whom a legal duty is owed, foreseeability is the prime element by which courts are guided. However, the existence of a legal duty is not to be bottomed on the factor of foreseeability alone. The Supreme *1132Court in Rowland v. Christian, supra, 69 Cal.2d 108, 113, advanced the following considerations in evaluating whether a duty of care was owed: “[T]he foreseeability of harm to the plaintiff, the degree of certainty that the plaintiff suffered injury, the closeness of the connection between the defendant’s conduct and the injury suffered, the moral blame attached to the defendant’s conduct, the policy of preventing future harm, the extent of the burden to the defendant and consequences to the community of imposing a duty to exercise care with resulting liability for breach, and the availability, cost, and prevalence of insurance for the risk involved.”
The Supreme Court, however, to ensure recognition that the law does not champion legal redress for all foreseeable harm, stated in Dillon v. Legg (1968) 68 Cal.2d 728, 739 [69 Cal.Rptr. 72, 441 P.2d 912, 29 A.L.R.3d 1316]: “In order to limit the otherwise potentially infinite liability which would follow every negligent act, the law of torts holds defendant amenable only for injuries to others which to defendant at the time were reasonably foreseeable.” (Italics added.)
The court in Dillon sought to confine the potential reach of foreseeability by limiting it to “those risks or hazards whose likelihood made the conduct unreasonably dangerous” and, then, by evaluating the nature of the injury and its causal relation to the conduct which caused it. (68 Cal.2d at p. 739.)
Dillon was followed by Rodriquez v. Bethlehem Steel Corp. (1974) 12 Cal.3d 382 [115 Cal.Rptr. 765, 525 P.2d 669], wherein the court stated: “ ‘Whether a risk is sufficiently foreseeable to give rise to a duty of care depends on the circumstances of each case, including the relationship of the parties and the nature of the threatened injury.’ ” (Id., at p. 399.)
Soon thereafter, in Borer v. American Airlines, Inc. (1977) 19 Cal.3d 441 [138 Cal.Rptr. 302, 563 P.2d 858] and Baxter v. Superior Court (1977) 19 Cal.3d 461 [138 Cal.Rptr. 315, 563 P.2d 871], the court decided the social burden of expanding liability to encompass a novel cause of action for loss of parent-child consortium was unwarranted. It adopted the rationale of cases which forthrightly acknowledged that Dillon's limitations on duty are formed by more than lack of foreseeability. As the Supreme Court said in Borer: “ ‘Nevertheless our decision must take into account considerations in addition to logical symmetry and sympathetic appeal. . . . [N]ot every loss can be made compensable in money damages, and legal causation must terminate somewhere. In delineating the extent of a tortfeasor’s responsibility for damages under the general rule of tort liability (Civ. Code, § 1714), the courts must locate the line between liability and nonliability at some point, a decision which is essentially political.’ ” (Borer v. American Airlines, Inc., supra, 19 Cal.3d at pp. 446-447.)
*1133Thus, despite the broad maxim that for every wrong there is a remedy, the courts and Legislature of this state have decided that not all injuries are compensable at law. (Justus v. Atchison, supra, 19 Cal.3d 564 [death of stillborn is not actionable under wrongful death statute]; Civ. Code, § 29 [child may not sue his or her parents for “wrongful life”].) Plaintiff’s alleged injuries must necessarily fall within that category. A motorist cannot reasonably foresee that his or her negligent conduct might injure a child subsequently conceived by a woman several years after a car accident.
Even accepting, arguendo, that it is foreseeable that a woman of child bearing years may some day have a child, there are areas of foreseeable harm where legal obligation still does not arise. It must be admitted that there existed the bare possibility that the injury complained of in this case could result from the acts of defendant. However, the creation of a legal duty requires more than a mere possibility of occurrence since, through hindsight, everything is foreseeable.
Judicial discretion is an integral part of the duty concept in evaluating foreseeability of harm. That sentiment is best evidenced by the following comment by Dean Prosser: “In the end the court will decide whether there is a duty on the basis of the mores of the community, ‘always keeping in mind the fact that we endeavor to make a rule in each case that will be practical and in keeping with the general understanding of mankind.’ ” (Prosser, Palsgraf Revisited (1953) 52 Mich.L.Rev 1, 15.)
Thus, the concept of legal duty necessarily includes and expresses considerations of social policy. The trial court’s determination with respect to those considerations have merit and rationality, and we so find.
C. Plaintiff’s reliance upon “causation” as the lynchpin of her cause of action is not only legally incorrect, but improperly raises an issue for the first time on appeal.
Plaintiff concedes that the trial court ruled on the demurrer “in terms of the existence or non-existence of a duty owed to this plaintiff by the tortfeasor.” Plaintiff also correctly contends that the trial court “did not address in its ruling the sufficiency of the pleading as it alleged cause and proximate cause.” Causation, however, was never raised or argued and, therefore, was never resolved by the court below. Inasmuch as the issues on appeal are determined by the lower court’s ruling, contentions not presented to the trial court may not be raised for the first time on appeal. (Irwin v. Pacific Southwest Airlines (1982) 133 Cal.App.3d 709, 717 [184 *1134Cal.Rptr. 228].) Hence, the issue of causation and the sufficiency of plaintiff’s allegations in that regard are not properly before this court.
Nevertheless, the tort rationale for imposing liability on a defendant for preconception negligence is grounded on duty, and not just causation analysis. While causation is an indispensable element of negligence liability, it is neither the only element, nor a substitute for “duty.” Even if a defendant has acted negligently, if he owes no duty to the plaintiff, he may not be held liable. (In re Rexplore, Inc., Securities Litigation (N.D.Cal. 1988) 685 F.Supp. 1132, 1148.)
Thus, while Civil Code section 1714 provides that a person may be liable for injuries caused by his failure to exercise ordinary care under the circumstances, the law requires more than a mere failure to exercise care and resulting injury. There must be a legal duty owed to the person injured. It is the breach of that duty that must be the proximate cause of the resulting injury. The determination that a duty of care exists is an essential prerequisite to liability founded on negligence. (Hooks v. Southern Cal. Permanente Medical Group (1980) 107 Cal.App.3d 435, 443 [165 Cal.Rptr. 741].) In fact, since it is the breach of that duty which must be the causal factor in the injury alleged, duty must be found before causation or injury can even be considered.
Distilled to its essential ingredient, we discern that plaintiff’s position is that actual causation substitutes for duty, and the existence of damage obviates the necessity of a finding that that duty was violated. In other words, causation and damage would become the sole elements of a cause of action for negligence, jettisoning the traditionally included elements of duty and violation of duty.
This court need look no further than plaintiff’s own brief to find authority against evaluating preconception negligence claims on the basis of causation. In Renslow v. Mennonite Hospital, supra, 62 I11.2d 348 [367 N.E.2d 1250], the preconception negligence case cited most emphatically by plaintiff, the court refused to focus on the aspect of causation in rendering its opinion. Indeed, the court discounted the value of causation analysis in determining whether a child who sustains injury as a result of preconception conduct should be afforded a cause of action. The court instructed: “It has been aptly observed, however, that ‘[c]ausation cannot be the answer; in a very real sense the consequences of an act go forward to eternity, and back to the beginning of the world. Any attempt to impose responsibility on such a basis would result in infinite liability for all wrongful acts, which would “set society on edge and fill the courts with endless litigation.” ’ [Citation.] Thus, policy lines, to some extent arbitrary, must be drawn to narrow an area *1135of actionable causation. We see no inherent advantage to discarding the policy lines, defined traditionally as ‘duty,’ in favor of new policy lines which would be necessary to circumscribe actionable causation, [f] We reaffirm the utility of the concept of duty as a means by which to direct and control the course of the common law.” (Italics added.) (367 N.E.2d at p. 1254.)
The Renslow court correctly resolved that causation alone does not impute liability in a negligence context absent a preliminary finding of duty and reasonable foreseeability. California courts agree that in order to establish liabilities, there must be more than a mere failure to exercise care for a resulting injury. (Katona v. County of Los Angeles (1985) 172 Cal.App.3d 53, 59 [218 Cal.Rptr. 19].) There must be a legal duty owed to the person injured to exercise care under the circumstances, and a breach of that duty must be the proximate cause of the resulting injury. (Ibid.) The determination that a duty exists is therefore an essential precondition to liability founded on negligence.
We refuse to be persuaded by appellant’s notion that causation and injury are the sole determinants of liability. The fundamental expression of the need in the law of negligence for a concept of duty and foreseeability was provided over 60 years ago in Palsgraf v. Long Island R. Co., supra, 248 N.Y. 339 [162 N.E. 99], and has withstood the test of time. Plaintiff’s theory of “no fault” liability is without merit or support.
V.
Disposition
The judgment is affirmed. Costs of appeal are awarded to respondents.
Lillie, P. J., concurred.
Mr. George has never been served with the complaint.
In her complaint, her opposition to the demurrer, and in oral argument before the trial court, plaintiff stated that the growing fetus threatened O’Hare’s well-being, not plaintiff’s. The complaint specifically states that the premature Cesarean section was performed to “protect the life of [O’Hare].” No in útero injury to plaintiff has ever been claimed.
The basic elements required for a negligence action in tort are similar to those required elsewhere. A plaintiff must establish that a duty of care was owed plaintiff by defendant; that the duty was breached; that the breach was the proximate cause of harm to plaintiff; and that plaintiff was in fact damaged. (See generally 4 Witkin, Cal. Procedure (3d ed. 1985) Pleading, § 527, pp. 558-559.)
The product liability distinction is important, since, in those cases, once a defect in manufacture or design is established, or there has been a failure to give adequate notice of foreseeable potential hazards, the liability of the manufacturer arguably extends to the entire class of persons thereby affected, regardless of privity, foreseeability or due care.
Civil Code section 29 reads as follows; “A child conceived, but not yet born, is to be deemed an existing person, so far as may be necessary for its interests in the event of its subsequent birth; . . .”
We question the integrity of the logic. Aside from clear differences in duty and foreseeability analysis, the Eighth Circuit’s reasoning would lead to the conclusion that all states would allow preconception negligence actions since all states allow actions for prenatal negligence. We find the opposite to be true.
Plaintiff has done nothing to suggest that there are additional facts with which her pleading could be supplemented.