Opinion
KING, J.I. INTRODUCTION
Plaintiff Amanda Laabs was a passenger in a car that collided with another car in an intersection and then struck a light pole installed and owned by defendant Southern California Edison Company (SCE). Laabs sued various *1264parties, including SCE and Edison International (Edison), for damages. Relative to SCE and Edison, Laabs alleged that these defendants were negligent and proximately caused her injuries by placing and maintaining the light pole too close to the curb. SCE and Edison moved for summary judgment on the ground that they owed no duty of care to Laabs as a matter of law. The court granted the motion and entered judgment in their favor. Laabs appealed. Because Laabs presented no argument against summary judgment in favor of Edison, we affirm the judgment as to that party. For reasons explained below, we reverse the judgment in favor of SCE.
II. FACTUAL AND PROCEDURAL BACKGROUND
Laabs was a passenger in a car driven by James Dimeo. Dimeo was driving northbound on Ridgecrest Road, which has a posted speed limit of 55 miles per hour. He was driving at an excessive rate of speed. Dimeo’s car was struck by another car at an intersection with Pebble Beach Drive. The impact caused Dimeo’s car to travel across the two southbound lanes of Ridgecrest Road, jump the curb, slide along the sidewalk for some distance, and hit a concrete light pole erected 18 inches away from the curb. Laabs was injured. The light pole was owned and maintained by SCE. Laabs sued SCE and Edison on the theory that these defendants acted negligently by installing and maintaining the light pole so close to the curb.1
SCE and Edison moved for summary judgment on the ground that “they owed no duty of care” to Laabs. The facts recited above regarding the collision are essentially undisputed. Defendants also rely upon the following undisputed facts: SCE provides electrical service to the City of Victorville pursuant to a written agreement; SCE, not Edison, owned and maintained the subject light pole; the light poles are installed for the benefit of the city; the subject light pole was installed in 1993 and was made of concrete; the side of the light pole facing the street is 18 inches from the curb; at the light pole’s location, the paved sidewalk is six feet two inches wide; Dimeo’s car slid on the sidewalk “and came to rest with its front end extended well beyond the paved sidewalk”;2 and the light pole was designed to provide light for traffic traveling southbound, not northbound, on Ridgecrest Road.
In support of the motion, SCE and Edison relied primarily upon the declarations of Robert Binns and Y.M. Nahabedian. Binns is a supervisor in SCE’s street and outdoor lighting department. He authenticated a “Master *1265Agreement for Service and Street Lighting” entered into between SCE and the City of Victorville in 1977. Under this agreement, light poles are to be installed by SCE at locations shown on a map, which, according to the agreement, is on file with the city clerk. A copy of the map is also purportedly attached as an exhibit to the agreement. However, the copy of the agreement included in our record does not include the map exhibit, and a copy of the map is not otherwise included in our record.3 The agreement further provides that “[a]ll poles, wires, lights, and electrical apparatus installed by [SCE] . . . shall be so placed as to work the least possible public and private inconvenience, and [the City of Victorville] may at any time order the location of any part of the system changed by [SCE] at the expense of [the City of Victorville] to conform to the above requirements.”
Binns further declared that light poles installed by SCE in the City of Victorville are for the benefit of the city. Binns explained that SCE “defers to the appropriate governmental agency for all decisions related to street design and/or traffic engineering,” and that the decision regarding the location of the light pole was made by “the City [of Victorville] and/or the developer of the area.” The subject concrete light pole was erected in 1993. Although the installation work order for the light pole was not available, Binns stated that he has “seen no evidence to suggest that SCE deviated from its custom and practice with regards to street lighting design and installation with regards to the subject Electrolier.” He described such custom and practice as follows: “Typically, the City or developer requesting new street light facilities hires its own engineers, including street lighting engineers, to design the type of system required for the project. Once the plans and permits are secured, SCE’s planning department is contacted to co-ordinate the installation of the desired lighting as consistent with the pre-designed plans.”
The other declarant in support of the motion, Nahabedian, is a retained civil and traffic engineering expert. According to Nahabedian, the center of the subject light pole was 22 inches from the top of the curb and the curbside edge of the light pole was 18 inches from the top of the curb. The paved sidewalk at the point where the light pole was installed is six feet two inches wide. Nahabedian opined that “the location and the placement of the subject Luminaire was reasonable and was in conformity with the luminaire construction industry’s practice in California.” Nahabedian relied, in part, upon “ ‘A Policy on Geometric Design of Highways and Streets’ ” published by the American Association of State Highway and Transportation Officials. This *1266document states: “Where there are curbed sections, utilities should be located in the border areas between the curb and sidewalk, at least 0.5 [meters] [1.5 ft] behind the face of the curb, and where practical, behind the sidewalk.” The placement of the subject light pole, he states, conforms to these requirements. Nahabedian also relied upon his experience while employed with California’s Department of Transportation (Caltrans). He stated that “the standard practice in California ... is to place luminaire poles along roadways with pedestrian sidewalks behind concrete curbs from 18 inches to 30 inches, depending upon the width of the paved sidewalk. In general, a set-back of 18-24 inches is common placement in paved sidewalks less than 7 feet in width and set-backs of 24—30 inches on paved sidewalks 8 feet or wider.” He concludes that the placement of the subject light pole was consistent with this practice.
In her opposition separate statement, Laabs disputes the following conclusions of defendants’ experts: the location of the light pole was within “common industry practice and is consistent with industry standards for road construction of the type at issue”; and, “[fjrom a roadside design standpoint, it is unreasonable to require that the Electrolier on the west side of Ridgecrest Road (in the Direction of Southbound traffic) [be] designed to avoid contact by out of control vehicles traveling northbound in excess of 100 miles per hour, which cross four lanes of travel, enter on coming traffic, jump the curb on th[e] opposite side of the street and slide into it.”
Laabs also asserted the following “undisputed facts”: the intersection of Ridgecrest Road and Pebble Beach Drive has been the site of numerous accidents; the intersection became more dangerous following the widening of Ridgecrest Road in 1996; the installation of the subject light pole was in direct contravention of highway safety standards; 12 feet of space is available for the installation of light poles along Ridgecrest Road; under Caltrans standards, the light poles should have been set back as far as practical from the roadway to prevent the least possible hazards to out-of-control vehicles; the location of the light pole “constituted a dangerous condition”; and the City of Victorville does not design, specify, suggest or approve any specification of a design, manufacture, or process of the light poles provided by SCE. Defendants objected to some of these additional facts as irrelevant and others as lacking foundation or constituting improper expert opinion evidence. The court overruled these objections.
In support of her opposition, Laabs relied primarily upon declarations by John McGlade and Howard Anderson. John McGlade is the city engineer of the City of Victorville. McGlade declared that the light poles on Ridgecrest Road “are owned, installed, maintained, and controlled by [SCE].” He further stated that the “City of Victorville does not design, specify, suggest or *1267approve any specification of a design, manufacture or process for the [luminaires] or the structures on which the [luminaires] are attached, installed or otherwise provided by [SCE].”
Howard Anderson is an expert in the design and construction of safe highways and roadways. According to Anderson, the average speed of northbound traffic on Ridgecrest Road near the point of the collision was 56 miles per hour, and “the 85th percentile of drivers . . . were traveling at 62 [miles per hour].” Anderson opined that the design of the Ridgecrest Road/Pebble Beach Drive intersection created a dangerous condition. Anderson also made the following statements: “[M]y examination of the subject intersection revealed the installation of lighting and luminaires supports, such as the one struck by the Porsche in the subject accident, in direct contravention of highway safety standards”; “California regulations for traffic highway safety and construction require that any such lights and their luminaires supports must be constructed to present the least possible hazards to out of control vehicles”; “The subject luminaires supports have been installed along the southbound side of Ridgecrest Road leading up to and away from the subject intersection”; “Where lights are installed, lumina[ires] supports are required to be placed as far as possible from the roadway”; “The subject lumina[ires] supports have been placed approximately eighteen (18) inches from the curb line and actually on a pedestrian sidewalk in direct violation of the clear roadside policy”; “It is my expert opinion that the installation of light supports along the southbound travel lanes of Ridgecrest Road created a dangerous condition”; and, “It is my expert opinion that the approval of the design and installation of light supports along the southbound travel lanes of Ridgecrest Road was unreasonable.”
At Anderson’s deposition, he was asked to explain his statement that the installation of the light pole contravenes highway safety standards. He explained that “it is the State of California's practice, and all other practices, that you get the objects as far back from the travel lane as possible.” At the area where the collision occurred, Anderson explained further, the light pole could have been placed as much as 12 feet away from the curb. Anderson also pointed to a statistic that 60 percent of the people in an accident that involves hitting a light pole die as a result; thus, “anybody that is setting them out against the curb should have a real good reason to do it[,] and why not use the right-of-way that is available to lessen that chance of that severe accident.”
When Anderson was asked whether the light pole would still be a hazard if it was placed three feet from the curb, he responded: “It could, but it would be less likely, and four feet less likely and five feet and certainly nothing to prevent it from being installed at ten feet because that is still within the *1268right-of-way . . . .” Later, he added; “The closer any hazard gets to the road, the more hazardous it is, and if it was set back the ten feet, your chances of being hit are considerably less than they are if they’re 18 inches.”
Laabs also submitted the declarations of Keith Friedman and Robert Crommelin. Friedman is a retained accident reconstruction expert. He declared that, based upon his preliminary analysis, Dimeo was driving at approximately 74 miles per hour at the time of impact.
Robert Crommelin is a retained traffic engineering expert. Crommelin opined that the intersection of Ridgecrest Road and Pebble Beach Drive was in a dangerous condition based upon the “negligent design” of the intersection. He based this opinion, in part, upon evidence of 12 crashes with similar patterns involving a northbound through vehicle and a westbound left-turning vehicle occurring in the 11 years preceding the subject collision.
III. STANDARD OF REVIEW
A trial court properly grants summary judgment when there are no triable issues of material fact and the moving party is entitled to judgment as a matter of law. (Code Civ. Proc., § 437c, subd. (c).) “The purpose of the law of summary judgment is to provide courts with a mechanism to cut through the parties’ pleadings in order to determine whether, despite their allegations, trial is in fact necessary to resolve their dispute. [Citation.]” (Aguilar v. Atlantic Richfield Co. (2001) 25 Cal.4th 826, 843 [107 Cal.Rptr.2d 841, 24 P.3d 493] (Aguilar).)
A moving party defendant is entitled to summary judgment if it establishes a complete defense to the plaintiff’s causes of action, or shows that one or more elements of each cause of action cannot be established. The defendant must support its motion with affidavits, declarations, admissions, answers to interrogatories, depositions, and matters of which judicial notice shall or may be taken. (Code Civ. Proc., § 437c, subds. (b), (d)(2); Aguilar, supra, 25 Cal.4th at p. 849.)
A moving party defendant bears the initial burden of production to make a prima facie showing that no triable issue of material fact exists. Once the initial burden of production is met, the burden shifts to the responding party plaintiff to demonstrate the existence of a triable issue of material fact. (Aguilar, supra, 25 Cal.4th at pp. 850-851.) The plaintiff may not rely upon the mere allegations in its complaint, but must set forth “specific facts” showing that a triable issue exists. (Code Civ. Proc., § 437c, subd. (p)(2).)
From commencement to conclusion, the moving party defendant bears the burden of persuasion that there is no triable issue of material fact and that the *1269defendant is entitled to judgment as a matter of law. {Aguilar, supra, 25 Cal.4th at p. 850.) “In determining the propriety of a summary judgment, the trial court is limited to facts shown by the evidentiary materials submitted .... [Citations.] The court must consider all evidence set forth in the parties’ papers, and summary judgment is to be granted if all the papers submitted show there is no triable issue of material fact in the action, thereby entitling the moving party to judgment as a matter of law. (Code Civ. Proc., § 437c, subd. (c).)” (Committee to Save the Beverly Highlands Homes Assn. v. Beverly Highlands Homes Assn. (2001) 92 Cal.App.4th 1247, 1261 [112 Cal.Rptr.2d 732].)
“On appeal, we exercise ‘an independent assessment of the correctness of the trial court’s ruling, applying the same legal standard as the trial court in determining whether there are any genuine issues of material fact or whether the moving party is entitled to judgment as a matter of law.’ [Citation.] ‘. . . Moreover, we construe the moving party’s affidavits strictly, construe the opponent’s affidavits liberally, and resolve doubts about the propriety of granting the motion in favor of the party opposing it.’ [Citations.]” (Seo v. All-Makes Overhead Doors (2002) 97 Cal.App.4th 1193, 1201-1202 [119 Cal.Rptr.2d 160].)
IV. ANALYSIS
A. Introduction
Summary judgment was granted in favor of SCE on the ground that it owed no duty of care to Laabs as a matter of law. As we explain, we will reverse. We note, however, that we do not hold that SCE owed Laabs a duty of care as a matter of law; rather, we hold that triable issues of fact exist as to the relevant considerations underlying duty in this case, and that SCE failed to establish that it was entitled to judgment as a matter of law. While we recognize that the issue of duty is a matter for the trial court, it is nonetheless a factually oriented inquiry. As stated in Burger v. Pond (1990) 224 Cal.App.3d 597, 603 [273 Cal.Rptr. 709], “ ‘Foreseeability’ and ‘policy considerations’ are not determined in a vacuum, but rather depend . . . upon the particular circumstances in which the purported wrongful conduct occurred.”
B. General Duty of Public Utilities to Use Reasonable Care in the Placement of Light Poles
We begin by noting that the concept that a public utility may owe a general duty to motorists to use reasonable care when placing light poles adjacent to roadways is not novel. In Gerberich v. Southern Calif. Edison Co. *1270(1935) 5 Cal.2d 46 [53 P.2d 948], our Supreme Court stated a “general rule that where a pole is located in too close proximity to the traveled portion of the highway, . . . recovery [by a plaintiff injured in a collision with the pole] may be justified.” (Id. at p. 53; accord, Norton v. City of Pomona (1935) 5 Cal.2d 54, 60-61 [53 P.2d 952]; George v. City of Los Angeles (1938) 11 Cal.2d 303, 310-313 [79 P.2d 723].) The Gerberich court explained that a public utility’s light pole “may by reason of its location or maintenance without warning signs, lights, guards or other precautions, constitute a danger to traffic; and if the danger is sufficiently great, and it can be avoided by the exercise of reasonable care, either in relocation or the placing of effective warning devices or guards, then the jury might find negligence in the failure to take such steps.” (Gerberich v. Southern Calif. Edison Co., supra, at pp. 51-52, italics added.) More recently, a Court of Appeal noted the continuing validity of these authorities in White v. Southern Cal. Edison Co. (1994) 25 Cal.App.4th 442 [30 Cal.Rptr.2d 431], which stated that a “public utility, which negligently places a power pole too close to the road, may be liable to the occupants of a motor vehicle injured when their vehicle collides with the pole.” (Id. at pp. 447-448 [dictum].)4
*1271Indeed, SCE acknowledges that as the owner of property it has a duty to exercise ordinary care in the management of such property in order to avoid exposing others to an unreasonable risk of harm. (See Rowland v. Christian (1968) 69 Cal.2d 108, 119 [70 Cal.Rptr. 97, 443 P.2d 561]; Brooks v. Eugene Burger Management Corp. (1989) 215 Cal.App.3d 1611, 1619 [264 Cal.Rptr. 756].) Nevertheless, SCE argues that it did not owe a duty of care to Laabs under the circumstances presented here based upon the application of traditional factors used to find a duty of care.5 We now turn to an examination of these factors.
C. Considerations in Evaluating the Issue of Duty
“The threshold element of a cause of action for negligence is the existence of a duty to use due care toward an interest of another that enjoys legal protection against unintentional invasion. [Citations.]” (Bily v. Arthur Young & Co. (1992) 3 Cal.4th 370, 397 [11 Cal.Rptr.2d 51, 834 P.2d 745].) As a general rule, each person has a duty to use ordinary care and “is liable for injuries caused by his failure to exercise reasonable care in the circumstances .. ..” (Rowland v. Christian, supra, 69 Cal.2d at p. 112; see Civ. Code, § 1714.) This applies to public utilities, which have “a general duty to exercise reasonable care in the management of [their] personal and real property.” (White v. Southern Cal. Edison Co., supra, 25 Cal.App.4th at p. 447.)
“ ‘Courts, however, have invoked the concept of duty to limit generally “the otherwise potentially infinite liability which would follow from every negligent act. . . .” ’ [Citation.]” (Bily v. Arthur Young & Co., supra, 3 Cal.4th at p. 397.) “A judicial conclusion that a duty is present or absent is merely ‘ “a shorthand statement . . . rather than an aid to analysis .... ‘[D]uty,’ is not sacrosanct in itself, but only an expression of the sum total of those considerations of policy which lead the law to say that the particular *1272plaintiff is entitled to protection.’ ” [Citation.]” {Ibid.) “Whether a given case falls within an exception to [the] general rule, or whether a duty of care exists in a given circumstance, ‘is a question of law to be determined [by the court] on a case-by-case basis.’ [Citation.]” (Parsons v. Crown Disposal Co. (1997) 15 Cal.4th 456, 472 [63 Cal.Rptr.2d 291, 936 P.2d 70].) This determination involves the balancing of various factors, including “ ‘[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.’ ” (Ann M. v. Pacific Plaza Shopping Center (1993) 6 Cal.4th 666, 675, fn. 5 [25 Cal.Rptr.2d 137, 863 P.2d 207], quoting Rowland v. Christian, supra, 69 Cal.2d at p. 113.)
D. Foreseeability of Harm
“The foreseeability of the harm, though not determinative, has become the chief factor in duty analysis.” (Scott v. Chevron U.S.A. (1992) 5 Cal.App.4th 510, 515 [6 Cal.Rptr.2d 810] (Scott).) Indeed, SCE places heavy emphasis on this factor. Our state Supreme Court discussed the foreseeability analysis in Bigbee v. Pacific Tel. & Tel. Co. (1983) 34 Cal.3d 49 [192 Cal.Rptr. 857, 665 P.2d 947]. In that case, the plaintiff was inside a telephone booth located in a parking lot 15 feet away from the curb when an intoxicated driver veered off the street and crashed into the booth, injuring the plaintiff. (Id. at pp. 52-54.) The plaintiff sued the entities that installed and maintained the telephone booth, alleging that the booth was negligently located too close to the street. (Id. at p. 53.) The defendants moved for summary judgment, which the trial court granted. The Supreme Court reversed. Regarding the issue of foreseeability, the court explained: “In pursuing this inquiry, it is well to remember that ‘foreseeability is not to be measured by what is more probable than not, but includes whatever is likely enough in the setting of modem life that a reasonably thoughtful [person] would take account of it in guiding practical conduct.’ [Citation.] One may be held accountable for creating even ‘ “the risk of a slight possibility of injury if a reasonably pmdent [person] would not do so.” ’ [Citations.] Moreover, it is settled that what is required to be foreseeable is the general character of the event or harm—e.g., being stmck by a car while standing in a phone booth—not its precise nature or manner of occurrence.” (Id. at pp. 57-58.)
Foreseeability with respect to the analysis of duty must be distinguished from foreseeability in the context of determining negligence (i.e., breach of duty) or causation. The failure to distinguish the variety of roles
*1273played by the concept of foreseeability in tort has caused confusion. (Scott, supra, 5 Cal.App.4th at pp. 515-516; Weissich v. County of Marin (1990) 224 Cal.App.3d 1069, 1076 [274 Cal-Rptr. 342]; see also Lopez v. McDonald’s Corp. (1987) 193 Cal.App.3d 495, 507, fn. 6 [238 Cal.Rptr. 436].) As the Scott court explained, in analyzing duty, the court’s task “ ‘ “is not to decide whether a particular plaintiff’s injury was reasonably foreseeable in light of a particular defendant’s conduct, but rather to evaluate more generally whether the category of negligent conduct at issue is sufficiently likely to result in the kind of harm experienced that liability may appropriately be imposed on the negligent party.” [Citation.] Viewed in this light, the question of foreseeability in a “duty” context is a limited one for the court, and readily contrasted with the fact-specific foreseeability questions bearing on negligence (breach of duty) and proximate causation posed to the jury or trier of fact. [Citation.]’ [Citation.]” (Scott, supra, at p. 516.) Thus, while foreseeability with respect to duty is determined by focusing on the general character of the event and inquiring whether such event is “ ‘likely enough in the setting of modem life that a reasonably thoughtful [person] would take account of it in guiding practical conduct’ ” (Bigbee v. Pacific Tel. & Tel. Co., supra, 34 Cal.3d at p. 57), foreseeability in evaluating negligence and causation requires a “more focused, fact-specific” inquiry that takes into account a particular plaintiff’s injuries and the particular defendant’s conduct (Ballard v. Uribe (1986) 41 Cal.3d 564, 572-573, fn. 6 [224 Cal.Rptr. 664, 715 P.2d 624]; see Scott, supra, at p. 516). Because SCE sought summary judgment solely on the ground that it “owed no duty” as a matter of law, we are not concerned with these “more focused, fact-specific” inquiries suggested by both respondents and the dissent.
The “general character of the event” with which we are concerned in this case is a vehicle leaving a roadway where vehicle speeds commonly reach 62 miles per hour or more and striking a fixed concrete light pole placed 18 inches away from the curb. This could occur in a number of ways: a front tire blowout could cause a driver to lose control of his car; a driver could take evasive action to avoid a hazard and lose control of his car; a car could careen out of control following a collision with another vehicle. All of these events are, of course, easily foreseeable for purposes of an analysis of duty; that is, a vehicle involved in an intersection collision being propelled by the impact over a curb is “ ‘likely enough in the setting of modem life that a reasonably thoughtful [person] would take account of it in guiding practical conduct.’ [Citation.]” (Bigbee v. Pacific Tel. & Tel. Co., supra, 34 Cal.3d at p. 57.) We thus find no difficulty in concluding that triable issues exist as to the foreseeability of the general character of the event.
Both SCE and the dissent rely heavily upon the decision in Scott to support the argument that the foreseeability of harm is lacking in the present case. In Scott, a drunk driver drifted off a highway and hit a guardrail, then veered *1274back across the highway into opposing lanes of traffic where he collided with another car, killing the driver and injuring passengers of that car. (Scott, supra, 5 Cal.App.4th at pp. 513-514.) The State of California placed the guardrail to protect cars from hitting an aboveground gas valve, or “rectifier,” that was connected to an underground pipeline maintained by Chevron U.S.A. (Id. at p. 514.) Chevron was not consulted about the guardrail and was not involved in the design or installation of it. The family of the driver who was killed sued Chevron on the theory that its location of the rectifier caused the state to erect the guardrail, which in turn created a substantial risk of cross-median accidents. (Ibid.)
The Scott court affirmed summary judgment for Chevron. The court set forth the applicable rules regarding an analysis of duty, which are substantively identical to those set forth above. (Scott, supra, 5 Cal.App.4th at pp. 515-516.) In analyzing foreseeability, the court acknowledged that “certainly it is foreseeable that a vehicle might leave a highway and strike a fixed object located on adjacent property.” (Id. at p. 516.) The court continued: “However, foreseeability is not commensurate with duty, and the mere placing of a fixed object next to a highway does not necessarily create an unreasonable risk of harm. [Citations.] The only evidence here that the rectifier presented any danger was the state’s decision to install a guardrail, [f] While an argument could possibly be made that Chevron has a duty to protect the public from striking its rectifier, we see no justification for imposing a duty on Chevron to protect the public from cross-median accidents on a highway adjacent to their property.” (Ibid., fn. omitted.) Chevron’s connection to the accident, the court explained, was “too attenuated,” and the “motorist injured by the drunk driver is not the foreseeable victim of the actions of the property owner.” (Id. at pp. 516-517.) Finally, the court concluded that other factors bearing upon the issue of duty “weigh heavily in favor of finding no duty in this case.” (Id. at p. 517.)
Scott is inapposite. The Scott court did not hold that Chevron could not be held liable for injuries suffered by someone who hit its rectifier. Indeed, the court noted that “any concern Chevron might have had regarding persons striking the rectifier was probably alleviated when the state installed the guardrail. Once the guardrail was installed, it was not reasonably foreseeable that the rectifier would cause harm to the motoring public.” (Scott, supra, 5 Cal.App.4th at p. 517.) Here, of course, there was no guardrail placed in front of the light pole that would have rendered a collision with the pole unforeseeable.6
*1275Moreover, the Scott court determined, in essence, that although Chevron arguably had a duty to protect people from hitting the rectifier, the subsequent events of the state’s placement of the guardrail and a drunk driver’s hitting the guardrail then veering off into opposing traffic rendered the collision too attenuated from Chevron’s actions. (Scott, supra, 5 Cal.App.4th at pp. 516-517.) Here, the injured plaintiff, Laabs, was in the car that crashed into the light pole located immediately adjacent to the traveling lanes of the roadway. Her injuries are far more closely connected to the location of the light pole than is the death of the victim in Scott.
The Scott court itself made clear that its holding should not be read too broadly. In a footnote that is particularly instructive here, the court stated: “We do not mean to imply that a property owner is free to place an object next to a highway with no thought to the possible consequences. For example, property owners may be held liable if they . . . place a fixed object where it is reasonably foreseeable that persons traveling with reasonable care would deviate from the highway in the ordinary course of travel [citation].” (Scott, supra, 5 Cal.App.4th at p. 517, fn. 3.)* *****7 Reading Scott in its entirety, it is clear that the unique circumstances presented in that case called for an *1276exception to the general rule that a property owner placing a fixed object near a roadway owes a duty of care to persons traveling on the roadway. The present case does not call for a similar exception. As explained above, it is reasonably foreseeable (for purposes of the analysis of duty) that a vehicle involved in a collision with another car would “deviate from the highway” and collide with a light pole placed 18 inches from the curb.
E. The Closeness of the Connection Between SCE’s Conduct and the Injury Suffered
SCE further argues that it cannot be held liable because the locations of the light poles were chosen by the City of Victorville; thus, there is no connection between its conduct and the injury suffered. Courts have repeatedly rejected similar arguments. In Norton v. City of Pomona, supra, 5 Cal.2d 54, SCE was sued when a motorist hit one of its light poles that was placed flush with the curb. The light pole was placed pursuant to a city ordinance that gave SCE “ ‘the right to select the place of location of its poles along the property side of curb lines and flush with said curb.’ ” (Id. at p. 59.) SCE argued in that case that it could not be held liable because the pole was placed and “ ‘maintained under governmental authorization.’ ” (Id. at p. 58.) The Supreme Court disagreed. “ ‘That the maintenance of the pole in the place and under the circumstances shown herein cannot be deemed a nuisance ... for nothing which is done or maintained under the express authority of law can be deemed a nuisance. [Citations.] But while the erection and maintenance of the pole herein appear to have been authorized by ordinance, there still exists a liability on the part of [SCE] for any consequential injuries arising from its negligence in exercising its right and power granted to erect and maintain poles within the City of Pomona.’ ” (Id. at pp. 60-61.) In Gerberich v. Southern Calif. Edison Co., supra, 5 Cal.2d at page 52, the court rejected a similar argument, stating: “ ‘ “If the company has a license from a city to construct its poles in the streets, they will not be declared a nuisance, but if they clearly appear to be improperly located thereon, and injury results therefrom, the company will be liable, notwithstanding that it has a license from the city to construct its poles in such places.” [Citation.]’ ” These authorities were followed in Schauf v. Southern Cal. Edison Co. (1966) 243 Cal.App.2d 450 [52 Cal.Rptr. 518], which held: “The fact that a utility company may have lawfully installed a structure in a public right-of-way pursuant to a permit or a franchise does not excuse it from tort liability for injuries caused by the negligent exercise of the right and power to erect and maintain the structure.” (Id. at pp. 459-460.) SCE *1277does not attempt to distinguish these authorities on this point and offers no authority in support of its position.
To the extent SCE’s control over the initial placement of the luminaire is of relevance, SCE did not demonstrate that no triable issue of fact exists as to its lack of control. It was undisputed that the luminaire was owned and maintained by SCE. Pursuant to the franchise agreement entered into between SCE and the City of Victorville, it was further undisputed that “[a]ll poles, wires, lights, and electrical apparatus installed by Company in furnishing service under [the franchise agreement], shall be placed as to work the least possible public and private inconvenience . . . .” (Italics added.) In achieving this end, there is nothing in the agreement indicating that SCE does not have input and control over the luminaire’s placement. And although a map showing the locations of light poles is purportedly attached to the agreement, no map has been provided to us. Nor is it clear from the agreement that, if such a map exists, it prescribes a certain distance from the curb beyond which poles may not be placed. Even if the final decision for placement of the luminaire was made by the City of Victorville and/or developer, it does not put to rest the issue of SCE’s input into the decision or establish that SCE was precluded from installing luminaires at other, safer locations within or outside of the street right-of-way. Thus, even if a public utility can avoid liability for a negligently placed light pole by claiming a government agency required a precise placement, there is insufficient evidence presented here to establish such a requirement.8 Simply stated, SCE failed to establish that no triable issue of fact exists as to its role and its exercise of control in determining the placement of the luminaire.
F. Remaining Factors
Of the remaining factors relevant to the question of duty, SCE briefly discusses only the factor concerning the burden to SCE of placing the light poles farther from the street. SCE states: “[T]he added costs and inconvenience of engineering poles to be placed a great distance from [the] curb itself becomes unreasonable. With distant placement of poles comes added costs for materials and engineering of longer mast arms to project light to the street they are designed to illuminate.” SCE does not, however, refer us to any evidence in the record regarding such added costs. Instead, they rely upon the deposition testimony of Laabs’s highway design expert, Anderson, *1278for the assertion that Anderson “recognizes that more is involved with placing a pole farther from the curb.” In the referenced deposition testimony, Anderson merely acknowledges the obvious—that if light poles are placed so the base is farther from the curb, they would need to have a longer arm length to place the luminaires in the same position above the street. This evidence is insufficient to establish any meaningful additional burden to SCE of installing safer light poles.
On balance, and based on the evidence submitted, other factors relevant to the duty inquiry generally weigh in favor of finding a duty on the part of SCE. The high degree of certainty of serious injury or death resulting when a vehicle collides with a fixed concrete light pole cannot be reasonably disputed. This is especially true when the adjacent roadway is a thoroughfare where motorists commonly drive in excess of 62 miles per hour. According to Anderson, 60 percent of the people in an accident that involves hitting a light pole die as a result. He states the obvious: “The closer any hazard gets to the road, the more hazardous it is, and if [a light pole] was set back the ten feet, your chances of being hit are considerably less than they are if they’re [set back] 18 inches.” Here, there was 12 feet of space within which to place light poles. Thus, SCE was not as constrained as it would be in the typical urban setting where there may be only three or four feet of sidewalk within which to place a light pole. The same reasoning supports the policy of preventing future harm—the farther away light poles are placed, the less chance that vehicles will collide with them. There would also appear to us to be no negative consequence to the community of imposing such a duty; streets will be just as well lit because the arm that holds the luminaires above the street can be extended to compensate for the additional distance at the pole’s base. The factor of “moral blame” tilts in favor of finding a duty; although there is nothing inherently wrong with installing and maintaining streetlights, some moral blame may be found in placing streetlights attached to concrete poles close to the street when they could be placed up to 12 feet away from the traveling portion of the roadway.9 Finally, our record includes no evidence *1279regarding the availability, cost, or prevalence of insurance arising from this duty. We cannot, therefore, evaluate this factor one way or the other.
G. Conclusion
We note that the present matter is on appeal following the grant of summary judgment in favor of SCE. The sole issue is whether the evidence submitted in support of and in opposition to the motion for summary judgment establishes that SCE did not owe a duty to Laabs as a matter of law. We believe that the evidence has not established the absence of a duty. At trial, there may be additional evidence bearing on the issue of duty. Our discussion is not intended to lay the issue of duty to rest as it relates to this matter. We merely hold that, based on the evidence presented, SCE has not established under these circumstances the absence of a duty of care to plaintiff as a matter of law.10
V. DISPOSITION
The judgment is affirmed as to Edison and reversed as to SCE. The parties shall bear their own costs on appeal.
Miller, J., concurred.
Laabs also sued the City of Victorville and the County of San Bernardino. The trial court previously granted summary judgment in their favor. These judgments were affirmed by this court.
Although Laabs did not expressly dispute this fact, she objected to it on the grounds that it is without evidentiary foundation and based upon an inadmissible police report.
Attached to Binns’s declaration is what Binns describes as an “inventory map” of SCE’s structures, which shows the location of “new pole” No. 4412686E (which appears to refer to the pole that replaced the pole that Dimeo struck). It does not appear from Binns’s declaration that this inventory map is the map referred to in the agreement. Moreover, the map does not appear to specify the location of the pole in relation to the curb.
This is in accord with numerous judicial decisions in other states. (See, e.g., McMillan v. State Highway Com’n (1986) 426 Mich. 46, 58-65 [393 N.W.2d 332] [electric company owed duty of care to occupants of vehicle that left roadway and struck utility pole located on median]; Scheel v. Tremblay (1973) 226 Pa.Super. 45, 47—48 [312 A.2d 45] [liability of a utility may be imposed when a light pole struck by a motorist is so close to the edge of the road as to constitute a “foreseeable and unreasonable risk of harm to users of the highway”]; Weiss v. Holman (1973) 58 Wis.2d 608, 626-627 [207 N.W.2d 660] [utility company may be liable to passenger in a car who was injured when, after a collision, the car struck a light pole four feet off the roadway]; Mississippi Power & Light Co. v. Lumpkin (Miss. 1998) 725 So.2d 721, 722 [“utility company may be liable for injuries suffered by a passenger where a negligent driver strikes one of its poles in a public right-of-way, off the traveled portion of a highway”]; Jacque by & Through Dyer v. Public Serv. Co. (Colo.Ct.App. 1994) 890 P.2d 138, 140 [summary judgment in favor of utility reversed because a duty of care to motorists may exist even when the accident occurs off the paved portion of a roadway]; Hayes v. Malkan (1970) 26 N.Y.2d 295, 298 [310 N.Y.S.2d 281, 258 N.E.2d 695], fn. omitted [“placement of poles . . . in close proximity to the pavement and within the highway right of way, raises a question of fact for jury determination as to whether the placement of that object was such as to create an unreasonable danger for travelers on the highway”]; State v. Cornelius (Ind.Ct.App. 1994) 637 N.E.2d 195, 201 [because analytic factors weighed in favor of imposing a duty on a utility company to a motorcyclist who struck utility pole and there were factual issues regarding foreseeability, summary judgment was properly denied]; Bernier v. Boston Edison Co. (1980) 380 Mass. 372, 378-382 [403 N.E.2d 391] [electric company liable to injured pedestrians for negligent design and maintenance of light pole that fell on them after being struck by car].) There are also contrary authorities. (See, e.g., Oram v. New Jersey Bell Telephone Co. (1975) 132 N.J. Super. 491, 493-495 [334 A.2d 343]; Simpson v. City of Montgomery (1968) 282 Ala. 368, 373-374 [211 So.2d 498]; Coates v. Southern Md. Electric (1999) 354 Md. 499, 525-526 [731 A.2d 931]; Rothwell v. West Cent. Elec. Co-op, Inc. (Mo.Ct.App. 1992) 845 S.W.2d 42, 44.) See generally Annotation, Placement, Maintenance, or Design of Standing Utility Pole as Affecting Private Utility’s Liability for Personal Injury Resulting from Vehicle’s Collision with Pole Within or Beside Highway (1987) 51 A.L.R.4th 602.
Edison was also granted summary judgment. It contends that Laabs has effectively abandoned its claim against Edison by failing to make any argument in its briefs on appeal as to Edison. We agree.
Laabs does not refer to Edison in her opening brief. Her factual summary refers only to SCE; the procedural background portion of the brief states that SCE moved for summary judgment without mentioning that Edison was also a moving party; and the arguments made in the brief are directed at SCE only. In the respondents’ brief, Edison pointed out the absence of any reference to Edison in Laabs’s opening brief and argued that there is no evidence to support the imposition of duty owed by Edison to Laabs. Laabs did not respond to this argument in her reply brief, but continued to focus entirely on SCE. “Although our review of a summary judgment is de novo, it is limited to issues which have been adequately raised and supported in plaintiffs’ brief.” (Reyes v. Kosha (1998) 65 Cal.App.4th 451, 466, fn. 6 [76 Cal.Rptr.2d 457].) Moreover, there is no evidence in the record that Edison had any involvement in the location or installation of, any ownership interest in, or any maintenance obligations regarding, the light pole. The judgment in favor of Edison is therefore affirmed.
Relative to the issue of foreseeability, SCE argues that the decisions in Gerberich, Norton, and George are distinguishable on their facts. Gerberich and Norton, SCE points out, “involved accidents at night in which plaintiffs’ vehicles struck poorly visible utility poles directly adjacent to their intended lanes of travel.” (Boldface omitted.) None of these cases, *1275they urge, “involved a vehicle which crossed all lanes of travel in broad daylight, veered into opposing traffic and struck a pole on the opposite side of the road, as is the case here.” Regarding the foreseeability of an occurrence for purposes of analyzing a property owner’s duty, however, we are concerned not with the “precise nature or manner of’ the collision with the light pole, but with “the general character of the event or harm.” (Bigbee v. Pacific Tel. & Tel. Co., supra, 34 Cal.3d at p. 58.) The facts that Dimeo was driving northbound before hitting the streetlight adjacent to the southbound lanes, that he was driving during daylight, and other facts concerning the “precise nature or manner of the collision,” may well be relevant to a fact finder’s decision as to whether the installation of the light pole constituted a breach of SCE’s duty or whether the location of the pole was a legal cause of Laabs’s injuries. They do not, however, concern us in determining whether SCE had a duty to take reasonable precautions to protect against the risk that vehicles traveling on adjacent roadways at speeds of 50 to 60 miles per hour will collide with its light poles. Thus, although the cited authorities involve different facts and circumstances from the present case, the legal principle for which they stand is applicable and controlling in this case. It is within this vein that the dissent also conflates the issues of duty, breach of duty, cause in fact, and proximate causation. While Dimeo may have been highly negligent, his conduct is not pertinent to the broader question of the foreseeability of vehicles deviating from the traveling lanes.
The court cited to section 368, page 268 of the Restatement Second of Torts, which provides: “A possessor of land who creates or permits to remain thereon an . . . artificial condition so near an existing highway that he realizes or should realize that it involves an unreasonable risk to others accidentally brought into contact with such condition while traveling with reasonable care upon the highway, is subject to liability for physical harm thereby caused to persons who [f] (a) are traveling on the highway, or [f] (b) foreseeably deviate from it in the ordinary course of travel.” A comment to this section provides: “In determining whether the condition is one which creates an unreasonable risk of harm to persons lawfully travelling on the highway and deviating from it, the essential question is whether it is so placed that travelers may be expected to come in contact with it in the course of a deviation reasonably to be anticipated in the ordinary course of travel. Distance from the *1276highway is frequently decisive, since those who deviate in any normal manner in the ordinary course of travel cannot reasonably be expected to stray very far.” (Rest.2d Torts, § 368, com. h, p. 271, italics added.)
In support of its position that SCE does not have a duty, the dissent places great emphasis on the American Association of State Highway and Transportation Officials manuals and on the declaration of Y.M. Nahabedian, for the proposition that the luminaires were installed in conformance with various standards. While all of this may be well and good, it does not go to the issue of duty. Whether design criteria were complied with goes to the standard in the community and the issue of breach of duty. The present summary judgment was made and granted on the issue of duty, not breach of duty.
Our dissenting colleague believes that public policy concerns weigh in favor of finding that SCE owed no duty as a matter of law. He relies upon Hayes v. Malkan, supra, 258 N.E.2d 695 for the propositions that our holding “ ‘would require a landowner to remove every tree, fence, post, mailbox or name sign located on his property in the vicinity or the highway, or permit them to remain, subject to possible liability’ ” and that our holding is “ ‘equivalent to a taking of private property for a public use without just compensation.’ ’’ (Conc. & dis. opn., post, at p. 1295, quoting Hayes v. Malkan, supra, at p. 696.) The reliance on Hayes is misplaced. In that case, the plaintiff struck a utility pole located on private property. (Hayes v. Malkan, supra, at p. 695.) The New York appellate court recited the general rule in that state, which is consistent with our holding here, “that placement of poles or other objects—such as fire hydrants, guardrails, culverts, trees and shrubbery—in close proximity to the pavement and within the highway right of way, raises a question of fact for jury determination as to whether the placement of that object was such as to create an unreasonable danger for travelers on the *1279highway.” (Id. at p. 696, fn. omitted.) In Hayes, however, the court held that this general rule did not apply because the pole the plaintiff struck was located on private property. That distinguishing fact took the case outside the general rule. Because the pole that Dimeo struck in the present case was on public property, the Hayes decision, as well as the general New York rule, is in accord with our holding.
The dissent characterizes our holding as creating a legal duty on the part of SCE to provide a “safe landing” for intoxicated, speeding drivers. (Conc. & dis. opn., post, at p. 1286.) We do nothing of the kind. Under settled California law, SCE owes a duty to exercise reasonable care with respect to its placement of light poles. In moving for summary judgment in this case, it was SCE’s burden to establish that this duty did not apply to Laabs as a matter of law. Based on the record in this case, SCE failed to satisfy this burden. Our holding is no more or less than this.