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No. 98-441
IN THE SUPREME COURT OF THE STATE OF MONTANA
2000 MT 334
303 Mont. 96
15 P. 3d 1205
MARY LARSON-MURPHY,
Plaintiff, Appellant, and Cross-Respondent,
v.
EDWIN and VIOLET STEINER, DARIN STEINER,and AUGUST ZANCANELLA,Defendants,
Respondents and Cross-Appellants.
APPEAL FROM: District Court of the Thirteenth Judicial District,
In and for the County of Yellowstone,
The Honorable Diane G. Barz, Judge presiding.
COUNSEL OF RECORD:
For Appellant:
Tom L. Lewis, J. David Slovak, Lewis, Huppert & Slovak, Great Falls, Montana
For Respondents:
Donald L. Harris, Colette Baumgardner-Davies, Crowley, Haughey, Hanson, Toole & Dietrich, Billings,
Montana (Steiners); James Walen, Stacey & Walen, Billings, Montana (Zancanella)
Heard: July 13, 1999
Submitted: September 28, 1999
Decided: December 14, 2000
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Filed:
__________________________________________
Clerk
Justice James C. Nelson delivered the Opinion of the Court.
¶1 Mary Larson-Murphy (Larson-Murphy) appeals from a directed verdict judgment
entered on May 14, 1998, in favor of Defendants Edwin, Violet, and Darin Steiner
(Steiners), by the Thirteenth Judicial District Court, Yellowstone County. Larson-Murphy
also appeals the District Court's January 6, 1997 order granting summary judgment in
favor of Defendant August Zancanella (Zancanella).
¶2 The Steiners cross-appeal three of the District Court's orders, which denied their
motions for summary judgment, respectively on October 29, 1996, and November 19,
1997, and their motion to reconsider, on January 6, 1997.
¶3 We affirm in part, reverse in part, and remand for further proceedings.
ISSUES PRESENTED
¶4 The parties have raised numerous issues on appeal and cross-appeal. We consolidate
them for discussion as follows:
1. Did the District Court err in granting summary judgment to Zancanella?
2. Did the District Court err in denying summary judgment to the Steiners?
3. Did the District Court properly grant the Steiners' motion for a directed verdict?
FACTUAL BACKGROUND
¶5 This case involves an accident between a vehicle driven by Larson-Murphy and a black
Angus bull owned by the Steiners. Shortly after 11:30 p.m. on May 8, 1993, Larson-
Murphy was driving home in a southbound direction on Hoskin Road near Billings,
Montana. She crested a slight rise in the highway created by an irrigation ditch culvert,
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and struck the bull. Upon impact, the bull rolled onto the hood and crashed through the
windshield of the vehicle.
¶6 According to trial testimony, the impact with the bull broke virtually every bone in
Larson-Murphy's mid-face and jaw, and dislodged her teeth. Bull hair was actually
removed from several of the bone fractures. Multiple reconstructive surgeries were
required. As a result of the accident, Larson-Murphy's vision was permanently damaged.
¶7 It is undisputed that Larson-Murphy was not at fault. She was driving lawfully at the
time of the accident. The investigating highway patrolman calculated Larson-Murphy's
speed at approximately 34 miles-per-hour, and stated that speed was not a factor in the
collision. He further stated that no motorist could have avoided hitting the bull, which was
standing in the middle of the highway, because of the darkness of the night and the slight
rise in the highway.
¶8 Hoskin Road is a two-lane, paved county highway that it is neither a state highway nor
a part of the federal-aid primary highway system. The undisputed facts indicate that the
road sees fairly significant motor vehicle traffic. Also, the accident occurred on a stretch
of Hoskin Road lying within a "herd district," as provided pursuant to §§ 81-4-301 through
310, MCA.
¶9 It is apparent from the record that the bull escaped from not one, but two enclosures. It
is undisputed that the bull had been placed by the Steiners in a triangular, fenced pasture
located roughly 100 yards from Hoskin Road with five heifers for breeding purposes. The
Steiners had leased both the triangular pasture and an adjacent pasture from Zancanella.
As part of the lease agreement, the Steiners agreed to maintain all of the pasture fences.
The Steiners were required to maintain liability insurance under the lease, and it was the
understanding of the parties that the Steiners would be responsible for any damage that
might be caused by their livestock escaping.
¶10 It is unclear, and therefore in dispute, as to how the bull escaped from the triangular
pasture to the other leased pasture which borders Hoskin Road, where it was observed by a
neighbor prior to the accident. After the accident, both Darin Steiner and the investigating
highway patrolman inspected the fence which enclosed the pasture on the west side of
Hoskin Road and found that the fence was intact and that no gates had been left open.
There were no signs of broken barbed wire, damaged fence posts, or downed gates.
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¶11 During the course of litigation, however, Larson-Murphy contended that the bull may
have escaped through a gate in the perimeter fence enclosing the pasture on the west side
of Hoskin Road. Larson-Murphy presented evidence that the gate was loose with wide
gaps between the wires, and that an irrigation ditch which passed directly beneath the gate
created a gap under which an animal could escape from the pasture. The gate in question
is located within 100 feet of the accident site.
¶12 Darin Steiner conceded that the perimeter fence had apparently failed to restrain the
bull on the night in question, and admitted that the bull was capable of jumping over the
fence and thereby obtaining access to the highway. Edwin Steiner also testified that he
was aware that it would be dangerous to allow livestock to roam freely in the area,
unrestrained by fences. Nevertheless, the Steiners have consistently maintained that the
fences and gates on the leased property were well-maintained at the time of the accident.
PROCEDURAL BACKGROUND
¶13 Larson-Murphy filed her complaint with the District Court on April 26, 1995, and
generally alleged that the Steiners negligently allowed the black Angus bull to leave their
leased premises and occupy the highway right-of-way. Her complaint was later amended
and filed on January 5, 1996, to include Zancanella, the owner of the property leased to
the Steiners. Likewise, Larson-Murphy alleged that Zancanella, as owner and lessor of the
land adjacent to Hoskin Road, was negligent in operating and controlling the premises in a
reasonably safe manner.
¶14 The District Court, in its May 8, 1998 Memorandum, concluded that the Hoskin Road
area was not open range pursuant to § 60-7-102(4), MCA, and accordingly "the open
range doctrine does not apply in this case." The Steiners claimed that although the leased
premises from which the bull escaped were located within a herd district, Hoskin Road, as
a matter of law, was open range. The Steiners legal theory maintained that if the highway
was within open range, they had no duty to anyone, including motorists, to prevent the
bull from wandering onto and occupying the highway, and therefore could not be liable
for any damages suffered by Larson-Murphy. Larson-Murphy alleged that the open range
doctrine does not apply in herd districts, including the traversing roads, and that the
Steiners had a legal duty to maintain a "legal fence" pursuant to state law.
¶15 The court's legal conclusion that the accident did not occur in "open range" followed a
series of motions for summary judgment and a motion for reconsideration brought by the
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respective Defendants. On October 29, 1996, the District Court denied the Defendants'
motion for summary judgment, concluding that the Defendants had failed to establish that
they lacked a duty to maintain legal fences and keep livestock off Hoskin Road. The court
concluded issues of material fact remained in dispute.
¶16 Then, on January 6, 1997, the court granted Defendant Zancanella's motion for
summary judgment, pursuant to a "motion to dismiss" and dismissed him from this action.
The court concluded he did not own the bull involved with the accident, and was not
responsible for maintaining any of the fences in question. At the same time, the court
nevertheless denied the Steiners' motion to reconsider, again concluding that the issue of
whether the accident occurred in an open range area remained a material issue of fact.
¶17 The Steiners' again moved for summary judgment on October 7, 1997, arguing that
although the accident occurred within a herd district, this Court's decision in Williams v.
Selstad (1988), 235 Mont. 137, 766 P.2d 247, provided a legal basis for determining that
the accident nevertheless occurred in open range. The District Court, on November 19,
1997, determined that it could not, as a matter of law:
[R]ule that this area is open range, and that the open range no-duty law applies to
the Defendants in this case. Material issues of fact still exist regarding the status of
this area, and the road where the accident occurred. These facts are for a jury to
decide.
¶18 Nevertheless, the court entered a directed verdict in favor of the Steiners on May 13,
1998, after the trial had begun on May 11, 1998. This judgment was entered without an
accompanying memorandum providing a legal basis for the court's decision.
¶19 Both Larson-Murphy and the Steiners appealed. Due to the controversial nature of the
"open range doctrine" law at issue, this Court also accepted numerous amicus curiae briefs.
STANDARD OF REVIEW
¶20 By way of appeal and cross-appeal, both parties challenge the District Court's granting
and denying motions for summary judgment during the proceedings below. Our review of
the District Court's summary judgment rulings is governed by Rule 56, M.R.Civ.P.
Summary judgment is proper only where the record reveals a complete absence of genuine
issues of material fact and the moving party is entitled to judgment as a matter of law.
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Rule 56(c), M.R.Civ.P.; Clark v. Eagle Sys., Inc. (1996), 279 Mont. 279, 283, 927 P.2d
995, 997. We scrutinize a trial court's ruling on a summary judgment motion de novo,
utilizing the same evaluation as the district court based upon Rule 56, M.R.Civ.P. Dorwart
v. Caraway, 1998 MT 191, ¶ 15, 290 Mont. 196, ¶ 15, 966 P.2d 1121, ¶ 15.
¶21 Finally, this Court has held that issues of negligence are generally not susceptible to
summary judgment and are properly left for a jury determination at trial. Kolar v. Bergo
(1996), 280 Mont. 262, 266, 929 P.2d 867, 869.
¶22 Our review of a directed verdict, which is granted pursuant to Rule 50(a), M.R.Civ.P.,
is governed by well-established principles. We consider only the evidence introduced by
the party against whom the directed verdict is granted. Riley v. American Honda Motor
Co., Inc. (1993), 259 Mont. 128, 131, 856 P.2d 196, 198. If that evidence, when viewed in
a light most favorable to the party, tends to establish the case made by the party's pleading,
we will reverse the directed verdict. Riley, 259 Mont. at 131, 856 P.2d at 198 (citing
Boehm v. Alanon (1986), 222 Mont. 373, 379, 722 P.2d 1160, 1163). The test commonly
used to determine if the evidence is legally sufficient to withdraw cases and issues from
the jury is whether reasonable persons could not draw different conclusions from the
evidence. Riley, 259 Mont. at 131, 856 P.2d at 198.
¶23 We will affirm a district court's grant of a directed verdict, however, if the court's
conclusion is correct; the reasons given by the court for granting the directed verdict are
immaterial to our review. Riley, 259 Mont. at 131, 856 P.2d at 198 (citing Laurie v. M. &
L. Realty Corp. (1972), 159 Mont. 404, 408, 498 P.2d 1192, 1194).
¶24 Here, the District Court gave no reason for entering the directed verdict in favor of the
Defendants. Nevertheless, we will review the evidence in the light most favorable to
Larson-Murphy and determine whether it is sufficient for reasonable persons to draw
different conclusions.
DISCUSSION
I. Introduction
¶25 This case involves a general misconception of the import of Montana's "open range
doctrine" in matters involving the legal relationship between the owners of livestock and
users of motor vehicles on Montana highways. In sum, the law governing the action
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below, as expressed by the District Court, can be summarized as follows: (1) if the
accident occurred in an "open range" area, then the directed verdict was proper because
the Steiners owed no legal duty to anyone to prevent their black bull from standing in the
middle of Hoskin Road at night regardless of any foreseeable risk such an obstruction
posed to passing motorists; or (2) if the accident did not occur within an open range area,
then the action may proceed, because under the circumstances the Steiners conceivably
owed a legal duty to motorists to prevent their bull from occupying and obstructing
Hoskin Road.
¶26 We conclude that as an expression of the prevailing law in Montana, the foregoing is
incorrect. Namely, what has been termed the "no duty rule" under the open range doctrine
does not apply to the legal relationship between livestock owners and motorists traveling
on this state's highways.
¶27 Nevertheless, we also conclude that the "law of the open range remains the law of this
state." See State ex rel. Martin v. Finley (1987), 227 Mont. 242, 245, 738 P.2d 497, 499.
Further, we also conclude that the term "open range" includes all highways outside of
private enclosures and used by the public, as provided under § 81-4-203, MCA, unless so
modified by this state's Legislature. See State ex rel. Martin, 227 Mont. at 244, 738 P.2d at
498 (stating that under § 81-4-203, MCA, "all highways in the state are included under the
open range concept"); § 81-4-306, MCA (proscribing livestock owners from willfully
permitting livestock from running at large within any herd district); § 60-7-201 and 202,
MCA (prohibiting livestock from grazing, remaining upon, or occupying certain state
highways).
¶28 As a starting point in addressing the foregoing apparent contradictions, the terms
"open range" and "open range doctrine" as they appear in Montana statutes and
interpretive case law have little or nothing at all to do with the legal relationship between
livestock owners and motorists under a theory of negligence. Simply stated: the
assumption that a person's livestock may lawfully occupy--or "wander" upon--any public
highway in an "open range" area of this state does not absolutely determine whether or not
the owner owes a subsequent legal duty to motorists. Most motor vehicles may also
lawfully occupy and roam public highways. In the absence of a governing statute
addressing this legal relationship, however, neither enjoy blanket immunity from
exercising ordinary care. See, e.g., § 27-1-701, MCA (providing that "[e]xcept as
otherwise provided by law, everyone is responsible not only for the results of his willful
acts but also for an injury occasioned to another by his want of ordinary care or skill in the
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management of his property or person except so far as the latter has willfully or by want of
ordinary care brought the injury upon himself").
¶29 In contrast, under Montana's current open range doctrine, as expressed under our
"Containment of Livestock" statutes, livestock owners owe no legal duty to other
landowners to prevent their livestock, which may otherwise lawfully occupy the open
range, from accidentally trespassing onto the other landowner's unfenced property--and no
more. While this pronouncement may seem in direct conflict with clear enunciations of
law issued by this Court (see, e.g., Bartsch v. Irvine Co. (1967), 149 Mont. 405, 427 P.2d
302), it is equally apparent that the underlying legal principles expressed by Montana's
open range doctrine statutes have been misconstrued over time, and misapplied in the
context of the specific legal relationship at issue here.
¶30 As the parties here acknowledge, Larson-Murphy's negligence action may be
maintained only if there was a legal duty or obligation that required the Defendants to
conform to a particular standard of conduct in order to protect motorists, as foreseeable
plaintiffs, against unreasonable risks of harm. See generally Lopez v. Great Falls Pre-
Release Services, Inc., 1999 MT 199, ¶¶ 27-28, 295 Mont. 416, ¶¶ 27-28, 986 P.2d 1081,
¶¶ 27-28. The existence of a duty or obligation is a question of law to be determined by
the court. See Yager v. Deane (1993), 258 Mont. 453, 456, 853 P.2d 1214, 1216. Finally,
no immutable rule can be established to determine the extent of a legal duty or obligation
for every circumstance of the future; rather, duty or obligation must necessarily be
adjudicated upon a case-to-case basis. See Busta v. Columbus Hosp. Corp. (1996), 276
Mont. 342, 362, 916 P.2d 122, 134 (quoting Mang v. Eliasson (1969), 153 Mont. 431, 437-
39, 458 P.2d 777, 781-82).
¶31 In turn, the question of duty is a "problem of the relation between individuals which
imposes upon one a legal obligation for the benefit of the other." W. Page Keeton et. al.,
Prosser & Keeton on the Law of Torts, § 53 (5th ed. 1984) (hereinafter Prosser &
Keeton). See also Restatement (Second) of Torts § 291, comment f (stating that "[s]ome
relationship between the parties or some precedent action is necessary to create such a
duty, and duties of positive action are not imposed except under circumstances in which
(1)
normally the benefit to the other outweighs the burden to the actor").
¶32 Accordingly, a court's determination of legal duty in this instance must be tailored to
the relationship of the particular parties: an owner of livestock whose bull escaped
confinement and then wandered onto and obstructed a county highway, and a motorist
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lawfully driving a vehicle on that same road. And therein lies the problem inherent within
our current jurisprudence governing Montana's "open range doctrine" as the discussion
below will address. Namely, no statute explicitly creates or absolves any legal duties
particular to the parties here under the circumstances and yet, regrettably, this Court has
set forth precedent that would seem to indicate the Montana Legislature, in codifying
various tenets and modifications of the open range doctrine, have established such a
comprehensive body of law. We conclude it has not.
¶33 Thus, we proceed to our discussion of what is, and what is not, the law of this case
before addressing the issues presented on appeal.
II. Montana's Open Range Doctrine
A. The common law rule
¶34 In contrast to the "open range doctrine" in the American west, the English common
law held the owner of livestock strictly liable for damages caused to another landowner's
property as a result of a trespass. See Monroe v. Cannon (1900), 24 Mont. 316, 61 P. 863
(stating common law rule that an owner of cattle must answer in damages if they stray
upon the land of another and "tread down his neighbor's herbage, and spoil his corn or his
trees"); Prosser & Keeton, § 76 (stating that "[t]hose who keep such animals for their own
purposes are required to protect the community, at their peril, against the risk involved");
Roy H. Andes, A Triumph of Myth Over Principle: The Saga of the Montana Open-Range,
56 Mont.L.Rev. 485, 486 (1995) (explaining that the common law rule applies in most
American jurisdictions, particularly in the eastern United States) (hereinafter Andes).
¶35 Pursuant to this strict liability theory, proving any degree of fault was unnecessary.
Thus, the owner was liable regardless of whether the trespass resulted from pure accident
or an intentional act. The principle that a livestock owner must "fence-in" or in some
manner restrain his livestock to prevent such a trespass developed from this general
common law rule. See generally Thompson v. Mattuschek (1959), 134 Mont. 500, 506,
333 P.2d 1022, 1025; Andes, 56 Mont.L.Rev. at 486.
B. Modification of the common law in the American west.
¶36 As a modification of the foregoing common law rule, Montana's "open range
doctrine" that took hold during this state's early territorial days in the 1800s exclusively
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applied to the legal relationship between landowners by redefining an aggrieved party's
remedy for trespass.
¶37 Under this doctrine, in order to hold a livestock owner strictly liable for trespass
damages, a landowner carried the burden of establishing, as a condition precedent, that he
had constructed a "lawful fence" surrounding his entire property. See Schreiner v. Deep
Creek Stock Ass'n (1923), 68 Mont. 104, 110, 217 P. 663, 665. Otherwise, livestock could
"roam" onto private property and graze and water at will, and the aggrieved landowner
could not recover damages for such a trespass. See Smith v. Williams (1874), 2 Mont. 195,
197, 202. From a pragmatic standpoint, the open range doctrine did nothing more than
allocate the cost of constructing and maintaining a fence to landowners who wished to
exclude livestock from their property.
¶38 As explained by scholars and various courts over the years, the underlying reason for
modifying the common law remedy as well as reassigning the cost burden--and providing
livestock owners with what amounted to a trespass liability shield--was that the range
cattle industry of the 19th century was based on the availability of unoccupied public
domain, which as a matter of state and federal policy remained open for grazing purposes.
See Valerie Weeks Scott, The Range Cattle Industry: Its Effect on Western Land Law, 28
Mont.L.Rev. 155, 156, 178-81 (1967) (stating that a typical rancher in the late 1800s
required between 2,000 and 50,000 acres of land upon which to graze his cattle)
(hereinafter Scott). Scott's article quotes an early Colorado decision indicating the
underlying policy of shifting the cost of fencing to landowners--namely farmers--who
wished to exclude another person's livestock from their property:
The commons are now owned principally by the State and by the general
government, and if the grasses which grow thereon are not depastured, they will
waste and decay. And while it is impracticable to purchase and fence sufficiently
pasture lands for the stock, the tillage and meadow lands can be fenced, and, in
point of fact, are now inclosed in nearly all parts of the state.
Scott, 28 Mont.L.Rev. at 179 (quoting Morris v. Fraker, 5 Colo. 425, 428-29 (1880)). See also Lazarus
v. Phelps (1894), 152 U.S. 81, 85, 14 S.Ct. 477, 478, 38 L.Ed. 363 (stating that "it was not thought
proper, as the land was gradually taken up by individual proprietors, to change the custom of the
country in that particular, and oblige cattle owners to incur the heavy expense of fencing their land, or
be held as trespassers by reason of their cattle accidentally straying upon the land of others").
¶39 Thus, in the days of this Court's 1874 Smith decision, an owner's cattle were free to
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roam the open range immune from liability in the event livestock wandered onto a
neighbor's unfenced property and caused damages. See Schreiner, 68 Mont. at 109, 217 P.
at 665 (stating that "[t]his state has long been a public range state wherein livestock of
private ownership have been and now are permitted by license of the government to graze
without hindrance or restriction on the open, unoccupied, public domain"). It was from
this particular relationship between landowners that the open range "no-duty" rule arose.
See, e.g., Beinhorn v. Griswold (1902), 27 Mont. 79, 90, 69 P. 557, 558 (explaining that
the "cattle-owning plaintiff did not owe to the land-owning defendant the duty to fence his
cattle in" and likewise the latter "did not owe to the former the duty to fence them out . . . .
neither of them was under obligation to the other in that regard").
¶40 While born from custom, these trespass rules were legislated into law early on and
remain codified to this day in Montana. As this Court stated in its pivotal decision,
Bartsch v. Irvine Co., "[w]hen Montana became a state, the policy of the open range
continued, and the Legislature enacted various statutes which dealt with trespass by
livestock and the necessity of lawful fences to support any action for trespass." Bartsch,
149 Mont. at 408, 427 P.2d at 304 (emphasis added).
¶41 The Territorial statutes at issue in Smith, as the parties and amici thoroughly address,
are in fact substantially the same as several of the statutes at issue here. See § 81-4-101,
(2)
MCA (defining legal fence), and § 81-4-215, MCA (imposing on "owners of stock"
liability for all trespass damages resulting from livestock breaking into "any enclosure" if
the "fence of the enclosure is legal" pursuant to § 81-4-101, MCA).
¶42 Accordingly, the "legal fence" statutes did not create any affirmative duty to fence;
rather, the open range "legal fence" statutes established only a standard of care for those
landowners who chose to "fence-out" a livestock owner's animals. See § 81-4-103, MCA
(establishing liability for damages "by reason of injury to stock" in the event a fence not
described in § 81-4-101, MCA, is defective); § 81-4-104, MCA (requiring that barbed
wire fences be kept in repair so as not to injure livestock).
¶43 Hence, the custom that a landowner must bear the financial burden of "fencing-out"
his neighbor's cattle in order to recover damages--rather than requiring the livestock owner
to bear the far more onerous cost of "fencing-in" his herd--became the statutory doctrine
of Montana and other western states in determining liability for trespass. See, e.g., Smith, 2
Mont. at 197, 202 (holding that the "lawful fence" statute must be substantially complied
with "before a right of action accrues," and stating that the action was "in the nature of
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trespass . . . to recover damages," after the defendant's cattle broke and entered the farm or
inclosure of the plaintiff, and destroyed his grain crop) (Wade, C.J., writing for the Court).
See also Fant v. Lyman (1889), 9 Mont. 61, 22 P. 120 (discussing trespassing sheep). See
generally Andes, 56 Mont.L.Rev. at 487 (indicating that most other western states passed
statutes substantively identical to Montana's); Coby Dolan, Examining the Viability of
Another Lord of Yesterday: Open Range Laws and Livestock Dominance in the Modern
West, 5 Animal L. 147, 151-52 (1999) (discussing the custom of open range in the west
and its early recognition by various courts).
¶44 This statutory modification of the English common law strict liability rule was
acknowledged and deemed proper by this Court. See Beinhorn, 27 Mont. at 89, 69 P. at
558 (stating that "[b]y custom as well as by statute the common law of England has been
so modified in Montana . . . [t]his is undoubtedly a legitimate exercise of the police
power"). See also § 1-1-108, MCA (originally enacted in 1895, and providing that in this
state there is no common law in any case where the law is declared by statute); § 1-2-103,
MCA (originally enacted in 1895, and providing that statutes in derogation of the common
law "establish the law of this state respecting the subjects to which they relate, and their
provisions and all proceedings under them are to be liberally construed with a view to
effect their objects and to promote justice") (emphasis added).
¶45 Thus, the statutory "open range doctrine" proceeded into the 20th century.
III. Exceptions to the Open Range Doctrine
A. Exclusion of intentional conduct
¶46 By the turn of the century the west's open range doctrine was narrowed, excluding all
but accidental trespasses from the statutory "fence-out" rule. In Montana, the modification
followed a U.S. Supreme Court decision, Lazarus v. Phelps, which arose in Texas. The
Lazarus decision essentially waived the "fence-out" condition precedent in cases where
the trespass was intentional, reasoning that the open range doctrine applied narrowly only
to those trespasses that were accidental--where livestock merely followed the inherent
instinct to seek food and water. See Lazarus, 152 U.S. at 85, 14 S.Ct. at 478. See also
Fant, 9 Mont. at 61-62, 22 P. at 120-21 (indicating that willful or malicious herding of
sheep onto plaintiff's land by owner would exempt plaintiff from lawful fence
requirement).
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¶47 This narrowing of the doctrine was followed by this Court in 1900, in Monroe v.
Cannon (1900), 24 Mont. 316, 61 P. 863. In that case, it was undisputed that the plaintiff's
land was not fenced. Nevertheless, the Court affirmed the plaintiff's right to recovery for
damages where the defendant had willfully or maliciously herded his sheep onto the
plaintiff's land. See Monroe, 24 Mont. at 324-26, 61 P. at 865-66 (following Lazarus v.
Phelps, and distinguishing Smith v. Williams and Fant v. Lyman).
¶48 Thus, at the start of the 20th century in Montana, livestock trespasses resulting from
willful, malicious, or even negligent conduct by the livestock owner followed the English
common law rule and waived the lawful fence requirement, leaving only purely accidental
livestock trespasses under the open range doctrine, which required a lawful fence in order
to recover damages. See, e.g., Bartsch, 149 Mont. at 409, 427 P.2d at 305 (providing that
"willful or intentional herding or driving of livestock onto another's unfenced land or
placing them so near that trespass is bound to occur" is an exception to the open range
doctrine) (quoting Montgomery v. Gehring (1965), 145 Mont. 278, 283, 400 P.2d 403,
406); Andes, 56 Mont.L.Rev. at 488-93 (discussing narrow application of open range
doctrine under Lazarus to include only accidental trespass of livestock); § 1-2-103, MCA
(providing that statutes in derogation of the common law "establish the law of this state
respecting the subjects to which they relate" and should be liberally construed to "effect
their objects") (emphasis added).
B. Exclusion of certain animals
¶49 Montana's Legislature has, over time, amended the open range "Containment of
Livestock" statutes to prohibit owners from allowing certain kinds of animals to run at
large. See § 81-4-201, MCA (prohibiting swine, sheep, llamas, alpacas, bison, ostriches,
rheas, emus, and goats from "running at large"); § 81-4-204, MCA (prohibiting male
equine from running at large on the open range); § 81-4-210, MCA (prohibiting any kind
of bull that is not purebred, and any bull between December 1 and June 1 of each and
every year from running at large upon "any such public highways, open range, or national
forest reserve"); § 81-4-211, MCA (prohibiting female breeding cattle unaccompanied by
a purebred bull from running at large upon "the public ranges or national forest reserves").
See also Jorgenson v. Story (1927), 78 Mont. 477, 493, 254 P. 427, 432 (stating that
"when cattle are in the public highway, in charge of a person directing or controlling their
movements, they are not 'running at large'").
¶50 The foregoing statutes are accompanied by penalties, including monetary fines,
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liability for damages "to any party injured by the violation," castration of the offending
animal, and even killing of the offending animal. See §§ 81-4-202, 207, 208, 209 and 212,
MCA. Thus, any trespass resulting from the intentional act of permitting such animals to
run at large waives the "fence-out" condition precedent of the open range doctrine. See §
81-4-217, MCA (allowing retention of "wrongfully" trespassing animal as well as those
breaking through legal fences); § 81-4-215, MCA (providing that "[t]his section may not
be construed to require a legal fence in order to maintain an action for injury done by
animals running at large contrary to law).
¶51 Further, the monetary penalty under § 81-4-202, MCA, as well as the "damages to any
party injured" language expanded the scope of the open range doctrine to provide a benefit
for the general public, not just a landowner who suffers damages as a result of a trespass.
Nevertheless, the conduct proscribed under §§ 81-4-201, 204, 210 and 211, MCA, is
explicitly intentional. Thus, an accidental escape of one of the animals identified under
these statutes from an owner's premises is not a per se violation. As made clear by this
Court in Monroe, and the U.S. Supreme Court in Lazarus, the open range doctrine, as a
modification of the common law, never included intentional conduct. See Monroe, 24
Mont. at 324-26, 61 P. at 865-66.
¶52 Finally, liberally construing Part 2 of our "Containment of Livestock" statutes as a
whole, it is clear that "open range" includes "all highways" or "public highways" that pass
through open range areas. See § 81-4-203, MCA (providing that the term "open range"
includes "all lands in the state of Montana not enclosed by a fence of not less than two
wires in good repair" as well as "all highways outside of private enclosures and used by
(3)
the public"); § 81-4-210, MCA (providing that non-purebred bulls, and all bulls between
December 1 and June 1 shall not be turned upon or allowed to run at large on "public
highways, open range, or national forest reserve" within the state).
¶53 Even so, we conclude that these statutes offer no clear enunciation of any explicit
legal duty owed by livestock owners to motorists beyond the inferential duty to not
intentionally permit certain animals to occupy highways, which does not include negligent
conduct. Therefore, the "running at large" statutes, under a negligence theory, at the most
establish a different standard of care for owners of certain livestock from that required in
open range areas: in open range, certain animals may be lawfully permitted to occupy
highways, and other animals may not. Again, the only clear legal duty addressed by the
foregoing is that between livestock owners and landowners.
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C. Exclusion of statutory herd districts
¶54 Under Part 3 of Montana's Containment of Livestock statutes, the Montana
Legislature has permitted landowners to exempt a particular area of land from the open
range. See § 81-4-301, MCA (stating requirements for herd district creation); § 81-4-322,
MCA (stating requirements for horse herd districts). This exemption is not absolute; such
a district may be in effect for only certain months of the year. See § 81-4-305, MCA.
¶55 Critical to our discussion is the fact that the term "fence" (legal or otherwise) does not
appear once under this Part in any form, nor did the Legislature include any reference to
highways and motorists. See §§ 81-4-301 through 328, MCA. Further, aside from the
horse herd district statutes, the more general herd district laws prohibit only willful acts.
See § 81-4-306, MCA (providing penalty to owner who "willfully permits the animals to
(4)
run at large"). See also Jenkins v. Valley Garden Ranch, Inc. (1968), 151 Mont. 463,
466-67, 443 P.2d 753, 755 (equating "willfully" with "purposely or knowingly" and
concluding that escaped cattle did not result from willful act). Thus, similar to § 81-4-201
through 220, MCA, the herd district statutes do not explicitly contemplate that a livestock
owner whose animal accidentally escapes from the owner's premises commits a per se
violation of the statute, or that livestock may lawfully occupy roads within herd districts
under the care of herders.
¶56 In light of these omissions, and of particular relevance to the action here, this Court's
decision in Williams v. Selstad (1988), 235 Mont. 137, 766 P.2d 247, addressed whether
herd districts under §§ 81-4-301 through 328, MCA, provided an exception to Montana's
open range doctrine. Specifically, the Court addressed whether the statutes imposed a duty
on livestock owners to keep livestock from "wandering onto the roadway within the herd
district." Williams, 235 Mont. at 139, 766 P.2d at 248. Ultimately, we held that the
"Legislature did not intend to change the open range no-duty rules through enactment of
the herd district statutes." Williams, 235 Mont. at 141, 766 P.2d at 249.
¶57 This holding, however, was premised on the assumption that "the open range doctrine
relieves owners or possessors of livestock of a duty to keep their livestock from wandering
onto the roadway," which in turn inferentially applied the "no duty" standard to livestock
owners whose animals are involved with accidents with motorists. Williams, 235 Mont. at
138, 766 P.2d at 247-48.
¶58 With the enactment of herd district statutes, pursuant to §§ 81-4-301 through 328,
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MCA, the open range doctrine rule that livestock may follow their instincts, and freely
wander in search of food and water, came to an end once such a district was created. If
owners of livestock are statutorily proscribed from permitting their animals to "run at
large," then the notion that the owner of livestock "has no duty to prevent the livestock
from wandering" no longer exists. Compare § 81-4-306, MCA (prohibiting any livestock
owner from "willfully" permitting animals to run at large within herd district) with
Bartsch, 149 Mont. at 409, 427 P.2d at 305 (stating that an owner of livestock has no duty
to prevent livestock from wandering in open range country). In turn, if the open range
includes "all highways outside private enclosures used by the public," as we have already
concluded, then highways passing through herd districts are no longer part of the open
range, as a matter of law, during those periods when the herd district is in effect.
¶59 Again, there is no express broadening of the underlying legal relationship that the
open range doctrine addresses: livestock owners and landowners. Rather, as a matter of
law, herd districts are no longer "open range," and therefore the open range "fence-out"
rule is no longer required to maintain an action for trespass, which ostensibly returns such
districts to the common law trespass rule during those periods when they are in effect. See
§ 81-4-307, MCA (entitled "Trespassing animals in herd districts" and permitting the
owner of premises "wrongfully" entered by animals referred to in § 81-4-306, MCA, to
recover damages and costs, with no mention of legal fence requirement).
¶60 Thus, the Court in Williams correctly stated that the herd district statutes "were
intended only to protect landowners and owners of livestock." Williams, 235 Mont. at 140,
766 P.2d at 248. In turn, the Court also was correct in its conclusion that it was not clear
whether "Montana's Legislature intended to create a duty owed to motorists through
enactment of the herd district statutes," Williams, 235 Mont. at 140, 766 P.2d at 248, and
thus such a duty may not be judicially "inserted" by this Court. See § 1-2-101, MCA. The
Court incorrectly assumed, however, that the open range doctrine's "no duty" rule that
applied exclusively to livestock owners and landowners inferentially applied to the legal
relationship between livestock owners and motorists--an assumption that the statutes
simply fail to address.
¶61 Therefore, we overrule Williams v. Selstad to the extent that it holds that the open
range doctrine "no duty" rule may be applied to the legal relationship between livestock
owners within a herd district and motorists traveling on herd district highways. We further
hold, however, that the herd district statutes, similar to the "running at large" statutes
discussed above, do not establish an explicit legal duty owed by livestock owners to
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motorists beyond the inferential duty to not intentionally permit certain animals to run at
large within the districts--which, again, does not include negligent conduct. Rather, we
conclude that the herd district statutes--like the running at large statutes--establish a
different standard of care for owners of livestock from that found in open range areas: in
open range, certain animals may be lawfully permitted to occupy highways, in herd
districts none may be lawfully permitted to "run at large" on highways.
D. Exclusion of statutorily designated state highways.
¶62 Similar to the "running at large" and herd district statutes, our Legislature in 1951
removed certain state highways from the open range--again, without invoking any explicit
statutory duties arising from the legal relationship of livestock owners and motorists. The
Legislature merely made it unlawful for livestock owners to use certain U.S. and state
highways as a "place for the pasturage or running of livestock." See Ch. 95, L. 1951.
Codified under §§ 32-1018-1020, RCM, the statutes were originally inserted under the
"obstructions and encroachments" chapter of the Highways, Bridges and Ferries statutes.
¶63 Unlike the "running at large" and herd district statutes, however, traffic safety on such
highways can reasonably be presumed as one of the purposes of what would eventually
(5)
become §§ 60-7-201 through 205, MCA. Nevertheless, there was never an explicit legal
duty, or a standard of liability, ascribed to livestock owners that was owed to motorists.
See and compare, e.g., § 49-4-216, MCA (describing duty and civil liability of pedestrian
or driver approaching blind person); § 61-5-108, MCA (describing liability of minors
imputed to parents under motor vehicles statute); § 61-6-201, MCA (describing liability of
owner for negligence of employee driver); § 61-7-106, MCA (describing duty of a driver
of any vehicle which collides with any vehicle which is unattended); § 61-7-107, MCA
(describing duty of driver of any vehicle involved in an accident upon striking fixtures or
other property upon a highway); § 61-8-384, MCA (describing liability of operator of a
vehicle in a funeral procession).
¶64 Moreover, as originally codified, a violation occurred only if the livestock owner
acted "wilfully," which first required that 24-hours' written notice be given to the owner
by a peace officer informing the owner of the presence of his animals on the highway, or a
finding that the owner "habitually permits such use of such highway by livestock." See Ch.
95, L. 1951. Otherwise, as originally conceived, there was no immediate legal duty owed
by livestock owners to other highway users; rather, livestock could occupy a fenced
highway traveled by motorist up until written notice was provided, or the livestock's
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presence on a highway was deemed "habitual."
¶65 Today, § 60-7-201, MCA, is far less lenient. An owner of livestock now may not
lawfully permit his livestock to graze, remain upon, or occupy a part of the right-of-way
of:
(1) a state highway running through cultivated areas or a part of the fenced right-of-
way of a state highway if in either case the highway has been designated by
agreement between the transportation commission and the secretary of
transportation as a part of the national system of interstate and defense highways; or
(2) a state highway designated by agreement between the transportation commission
and the secretary of transportation as a part of the federal-aid primary system,
except as provided in 60-7-202.
Under this statute, this Court has held that livestock owners in Montana may now be found
"liable for negligent rather than wilful conduct which results in the presence of their cattle
on the right-of-ways," but cannot be held strictly liable. Ambrogini v. Todd (1982), 197
Mont. 111, 120, 642 P.2d 1013, 1018 (construing the term "permit" subsequent to a
legislative amendment that excised the term "wilful"). Nevertheless, the Legislature
expressly provided that even if a livestock owner violates § 60-7-201, MCA, "there is no
presumption or inference that the collision was due to negligence on the part of the owner
or the person in possession of the livestock or the driver or owner of the vehicle." See § 60-
7-203, MCA.
¶66 Further, under § 60-7-202, MCA, the prohibitions of § 60-7-201, MCA, do not apply
to the following: (1) livestock on state highways under the charge of one or more herders;
(2) the parts of fenced highways adjacent to open range where a highway device has not
been installed to exclude range livestock; and (3) the parts of a state highway or a part of
the federal-aid primary system which the department of transportation designates as being
impracticable to exclude livestock.
¶67 In Ambrogini, this Court determined that because none of the foregoing exceptions
applied to the facts, the livestock owner, Todd, had a "legal duty to exercise due care in
preventing his livestock from wandering on Highway 10." Ambrogini, 197 Mont. at 121,
642 P.2d at 1019. After reviewing the facts of the livestock's escape from the defendant's
premises, we further concluded that "[t]he reasonableness of Todd's conduct is for a jury
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to decide" and therefore reversed the district court's summary judgment in his favor.
Ambrogini, 197 Mont. at 121, 642 P.2d at 1019.
¶68 Thus, under the explicit terms of the foregoing statutes, an owner of livestock may not
permit his livestock to freely wander on certain clearly defined state highways that, prior
to enactment, may once have been part of the open range. Nevertheless, under certain
circumstances, livestock may lawfully occupy such highways without violating the
"grazing of livestock on highways" statutes. Accordingly, establishing a standard of
reasonable care for livestock owners in their legal relationship with motorists on such
highways is a fact-driven, circumstance-specific inquiry that is merely assisted by a
proven violation of § 60-7-201, MCA.
E. Summary of exclusions
¶69 Therefore, even with the various judicial and statutory modifications providing
exceptions and exclusions, Montana's open range doctrine remains true to its original
purpose from the 1874 Smith decision forward until 1967: to determine the rights and
remedies arising from the relationship of livestock owners and landowners in actions
involving the accidental trespass on private property of livestock lawfully occupying the
open range. Although our Legislature statutorily altered the common law rule regarding
trespass to fit the conditions of this state, and has subsequently from time to time modified
these laws, it has not similarly addressed the common law rule regarding the duty, or lack
of duty, owed by livestock owners to the users of public highways in Montana other than
within the narrow scope of §§ 60-7-201 through 203, MCA, as addressed in Ambrogini.
¶70 We conclude, therefore, that any assertion of legal duties arising from the legal
relationship between the owners of livestock and motorists is clearly beyond the scope of
Montana's statutory "open range doctrine."
IV. Bartsch and Indendi reconsidered
¶71 Until fairly recently, Montana's "open range doctrine," pursuant to all relevant statutes
discussed thus far, applied exclusively to the legal relationship between landowners in
actions involving the accidental trespass of livestock that lawfully run at large on the open
range.
¶72 This course was altered, however, by two of this Court's decisions, Bartsch v. Irvine
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Co. (1967), 149 Mont. 405, 427 P.2d 302, and Indendi v. Workman (1995), 272 Mont. 64,
899 P.2d 1085. Bartsch was the first decision that looked to the open range doctrine to
determine whether or not a livestock owner owed a legal duty to a motorist driving on
highways passing through open range, after a motorist brought an action for negligence
following a fatal vehicle accident involving the defendant's horse. Likewise, Indendi
considered whether the open range doctrine statutes governing a "legal fence" could be
applied to livestock owners under a theory of negligence per se, in a case that also
involved an accident between a vehicle and a horse.
¶73 We conclude that in light of the foregoing discussion, as well as the arguments set
forth by the parties and amici, both decisions must be reconsidered.
A. Bartsch v. Irvine Co.
¶74 The Court in Bartsch accurately recounted the history of open range trespass case law.
See Bartsch, 149 Mont. at 407-409, 427 P.2d at 304-305. The Bartsch Court first cited the
1874 decision Smith v. Williams, and stated that the action was "brought for damages due
to the trespass of cattle on plaintiff's land." Next, the Court cited the 1902 decision
Beinhorn v. Griswold, and stated that in that case "the doctrine of open range was further
discussed and explained in another trespass action." The Court then cited to the 1923 case,
Schreiner v. Deep Creek Stock Ass'n, and referred to it as "another trespass action." Next,
a 1959 case, Thompson v. Mattuschek, was cited for the proposition that "in range country
[livestock] may wander." Thompson was a trespass action brought after the defendant's
cattle damaged the plaintiff's barley crop. Finally, the Court cited Montgomery v. Gehring,
a 1965 decision involving a boundary dispute between private landowners where the open
range doctrine was raised. The excerpted quote from Montgomery included the open range
doctrine rule that "[o]ne releasing his livestock onto lands where he has a right to do so is
under no duty to restrain them from entering another's unenclosed land." Bartsch, 149
Mont. at 409, 427 P.2d at 305 (quoting Montgomery v. Gehring (1965), 145 Mont. 278,
283, 400 P.2d 403, 406) (emphasis added).
¶75 Omitting the operative terms "another's unenclosed land," the Bartsch Court then
reasoned that because the owner of livestock owed no general duty to "prevent the
livestock from wandering . . . . he cannot be said to be negligent if the livestock do
wander--even if such wandering takes them onto a highway right of way which runs
through open range." Bartsch, 149 Mont. at 409, 427 P.2d at 305. In reaching this
conclusion, not once did the Court refer to any of the open range doctrine statutes. Further,
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the Court did not cite to any other western-state jurisdiction's case law that had similarly
extended the open range trespass doctrine to the legal relationship between livestock
owners and motorists, under similar state laws. See, e.g., Kendall v. Curl (Or. 1960), 353
P.2d 227, 231 (concluding that "[i]f cattle and horses have a right to be on the road [in
open range areas], their owner is not negligent in allowing them on the road").
¶76 Subsequently, a series of decisions addressing and applying the open range doctrine to
the legal relationship between livestock owners and motorists followed. See Jenkins v.
Valley Garden Ranch, Inc. (1968), 151 mont. 463, 443 P.2d 753; Sanders v. Mount
Haggin Livestock Co. (1972), 160 Mont. 73, 500 P.2d 397; Ambrogini v. Todd (1982), 197
Mont. 111, 642 P.2d 1013; Siegfried v. Atchison (1985), 219 Mont. 14, 709 P.2d 1006;
State ex rel. Martin v. Finley (1987), 227 Mont. 242, 738 P.2d 497; Williams v. Selstad
(1988), 235 Mont. 137, 766 P.2d 247; Yager v. Deane (1993), 258 Mont. 453, 853 P.2d
1214; Indendi v. Workman (1995), 272 Mont. 64, 899 P.2d 1085. But see Williams, 235
Mont. at 141, 766 P.2d at 249 (Sheehy, J., dissenting) (stating that for their purposes,
"livestock containment laws have a valid application; for torts not related to their
purposes, the livestock containment laws should be disregarded and the ordinary rules of
negligence laws should apply").
¶77 Amicus Montana Stock Growers Association urges this Court to recognize the rule
that this Court "may not substitute its judgment for that of Legislature." See Bay v.
Department of Admin. (1984), 212 Mont. 258, 265, 688 P.2d 1, 4 (stating that it is "the
province of courts to construe and apply the law as they find it and to maintain its integrity
as it has been written by a coordinate branch of the state government").
¶78 We agree. Substituting its judgment for that of the Legislature is precisely what the
Court in Bartsch accomplished by ignoring the fundamental purpose of Montana's open
range doctrine by taking a statutory body of law that pertains to one particular legal
relationship and applying it to another that the statutes involved simply do not address,
and, consequently, inserting an expansive "no-duty" rule that, to this date, has been
omitted from any legislation. See § 1-2-101, MCA (stating that "[i]n the construction of a
statute, the office of the judge is simply to ascertain and declare what is in terms or in
substance contained therein, not to insert what has been omitted or to omit what has been
inserted").
¶79 We therefore overrule our decision in Bartsch--as well as subsequent decisions that
followed Bartsch--to the extent that it holds that a livestock owner, pursuant to Montana's
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"open range doctrine," owes absolutely no duty to motorists driving on public highways in
open range areas. See Yager, 258 Mont. at 458, 853 P.2d at 1217; Williams, 235 Mont. at
139-40, 766 P.2d at 248; State ex rel. Martin, 227 Mont. at 245, 738 P.2d at 499;
Siegfried, 219 Mont. at 16, 709 P.2d at 1007; Ambrogini, 197 Mont. at 119, 642 P.2d at
1018; Jenkins, 151 Mont. at 465, 443 P.2d at 755.
B. Indendi v. Workman
¶80 In our 1995 decision, Indendi v. Workman, the injured driver, Indendi, brought a
negligence claim against the owners of a horse with which she had collided. It was
undisputed that the highway in question was part of the federal-aid primary system, and
therefore subject to § 60-7-201, MCA, as well as our decision in Ambrogini.
¶81 The district court had determined that the owners of the horse, the Workmans, fell
under the statutory exclusion, § 60-7-202(2), MCA, which provides that the general
proscription of permitting livestock to occupy such highways does not apply to "the parts
of fenced highways adjacent to open range where a highway device has not been installed
to exclude range livestock." The court concluded that although the Workmans' horse had
been confined within a fenced pasture, their ranch nevertheless was "open range," and
therefore they owed no duty to prevent the horse from occupying the highway. See
Indendi, 272 Mont. at 67, 899 P.2d at 1087.
¶82 We concluded that the factual statements in the court's memorandum and order were
not substantiated by the record. See Indendi, 272 Mont. at 69, 899 P.2d at 1088. We
concluded that the directed verdict entered in favor of the Workmans was therefore
inappropriate because pursuant to the exception under subsection (2) of § 60-7-202, MCA,
there was no evidence that the highway in question was fenced, and that the area adjacent
to the highway was, as a matter of law, open range. Indendi, 272 Mont. at 69-70, 899 P.2d
at 1088-89.
¶83 After properly reaching this conclusion, and requiring a remand, we then moved into a
negligence per se analysis based on Indendi's contention that the Workmans had not
constructed a "legal fence" around their property in accordance with § 81-4-101, MCA. As
explained by the Court, one of the key criteria for establishing a negligence per se claim
based on the violation of a statute is that the statute was enacted to protect a specific class
of persons, and the plaintiff is a member of that class. See Indendi, 272 Mont. at 72, 899
P.2d at 1090 (quoting negligence per se test from VanLuchene v. State (1990), 244 Mont.
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397, 401, 797 P.2d 932, 935). We stated:
It is apparent that the whole purpose for the legislature's requiring fences to be
constructed in a certain manner is to insure, to the extent possible, that livestock not
on open range are adequately confined and are not free to roam and to cause harm to
persons and property or to breed with the livestock of others. There could be no
other purpose for that sort of legislation.
Indendi, 272 Mont. at 72, 899 P.2d at 1090 (emphasis added). Based on this assumption, we then
stated that "it is reasonable to conclude that the legislature . . . recognizes the reality that one of the
purposes of a legal fence is to keep livestock off the roadways of this state." Indendi, 272 Mont. at 72,
899 P.2d at 1090 (addressing § 81-4-102, MCA, a 1933 amendment, which allows a cattle guard
exemption to the legal fence requirement of § 81-4-101, MCA). But see Ambrogini, 197 Mont. at 118,
642 P.2d at 1017 (stating that § 81-4-102, MCA, merely provides that an auto pass will not make an
otherwise legal fence illegal). We reasoned that because "§ 81-4-101, MCA, was enacted to require the
containment of livestock by means of a 'legal fence' and, thereby, to prevent, among other harm,
livestock/vehicle accidents, Indendi presented evidence that the Workmans violated the statute by failing
to construct a legal fence." Indendi, 272 Mont. at 73, 899 P.2d at 1090.
¶84 As addressed above, the purpose of the legal fence statutes, as indicated by § 81-4-
215, MCA, was to exclude not confine livestock, and applies strictly to the legal
relationship between livestock owners and landowners who wish to establish the condition
precedent necessary to sustain a trespass action. Based on a clearly erroneous premise, we
again substituted our judgment for that of the Legislature by inserting a statutory duty that
simply did not exist, and by further establishing that the legal fence statutes established
motorists as a "class of person" that the statutes supposedly were enacted to protect.
¶85 Thus, we conclude that § 80-4-101, MCA, which defines a "legal fence," and §§ 80-4-
103 and 104, MCA, which establish liability for defective fences, do not mandate any
statutory duty on the part of livestock owners in this state to "fence-in" their animals or
otherwise maintain fences, and thus overrule Indendi v. Workman to the extent it holds
that a violation of § 80-4-101, MCA, may serve as a basis for a finding of negligence per
se with regard to an injury to a motorist or passenger traveling on a highway. Thus,
Larson-Murphy's argument to the District Court and here that Zancanella's fence, which
the Steiners were obligated to maintain, was "legally defective" due to the fact it violated
the "legal fence statute" is without merit.
V. Livestock owner's common law duty to highway users
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¶86 Seemingly at odds with the historical common law trespass rule--that an owner of
livestock is strictly liable for damages caused to another landowner--is the companion
historical common law rule that on a highway, an animal is not a trespasser, and therefore
there is no strict liability for any harm which it may cause to other highway users. Under
the common law, as expressed by the House of Lords in a comprehensive 1947 decision:
An underlying principle of the law of the highway is that all those lawfully using the
highway, or land adjacent to it, must show mutual respect and forbearance. The
motorists must put up with the farmer's cattle: the farmer must endure the motorist.
Searle v. Wallbank [1947] 1 L.R.App.Cas. 341, 361 (L. du Parcq, concurring). See also Andes, 56
Mont.L.Rev. at 492 (discussing "public ways" exception); Prosser & Keeton, § 76 (stating that on the
highway itself, "even an escaped animal is not a trespasser, and there is no strict liability for any harm
which it may do upon that basis"); Kendall v. Curl (Or. 1960), 353 P.2d 227, 230 (citing Searle). The
common law exception to this rule involved cases only where the animal was known by the owner to
have a dangerous propensity or trait that was not characteristic of a domestic animal of like kind. See
Prosser & Keeton, § 76.
¶87 Thus, at common law, on the one hand a livestock owner may have a legal duty to
restrain his livestock to prevent harm to his neighbor's crops, but has no similar duty to
restrain his livestock to prevent them from "using" a highway--even though the animal
may have escaped the very restraint intended to prevent harm to the neighbor. This
apparent contradiction is reconciled by the historical context of the common law as it
developed: neither cost-efficient fencing such as barbed wire, nor motor vehicles were a
feature of rural England prior to the 20th century. The rural road system, in fact,
developed in correlation to markets where livestock were routinely herded, and a rural
traveler's common mode of transportation was either on foot or by horse. See generally
Searle, 1 L.R.App.Cas. at 345-353.
¶88 The foregoing "mutual respect and forbearance" rule of common law was never
codified in Montana under its open range doctrine statutes, nor has it been expressed, or
referenced to, or in any clear manner discussed by our Legislature or this Court in the
context of the legal relationship and duties between livestock owners and motorists on
Montana highways.
¶89 In contrast, other western states' legislatures have clearly adopted and incorporated
this common law rule into their respective open range doctrines. See Idaho Code § 25-
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2118 (stating that "[n]o person owning, or controlling the possession of, any domestic
animal running on open range, shall have the duty to keep such animal off any highway on
such range, and shall not be liable for damage to any vehicle or for injury to any person
riding therein, caused by a collision between the vehicle and the animal"); Nev. Rev. Stat.
§ 568.360(1) (stating that "[n]o person, firm or corporation owning, controlling or in
possession of any domestic animal running on open range has the duty to keep the animal
off any highway traversing or located on the open range, and no such person, firm or
corporation is liable for damages to any property or for injury to any person caused by any
collision between a motor vehicle and the animal occurring on such a highway"); N.M.
State. Ann. § 66-7-363(C) (providing that "[o]wners of livestock ranging in pastures
through which unfenced roads or highways pass shall not be liable for damages by reason
of injury or damage to persons or property occasioned by collisions of vehicles using said
roads and highways and livestock or animals ranging in said pastures unless such owner of
livestock is guilty of specific negligence other than allowing his animals to range in said
pasture").
¶90 Our Legislature, meanwhile, has only incidentally modified the concept of the
common law "public way" rule by restricting certain kinds of animals from running at
large in certain areas that include highways, and from restricting animals from certain
kinds of highways. Thus, we have no express statutory affirmation or modification or
complete abrogation of the common law rule governing the legal relationship between
livestock owners and motorists as equal, lawful users of highways in Montana.
¶91 As previously addressed, in Montana, pursuant to § 1-1-108, MCA, where the law is
not declared by statute, the common law shall be the law and rule of the decision. We have
also held that the term "common law" also means "that body of jurisprudence as applied
and modified by the courts of this country up to the time it became a rule of decision in
this commonwealth." Aetna Accident & Liab. Co. v. Miller (1918), 54 Mont. 377, 382,
170 P. 760. Furthermore, in Nehring v. LaCounte, (1986), 219 Mont. 462, 712 P.2d 1329,
we declared that where "[c]urrent conditions in Montana are such that the literal
application of the common law rule has become unjust," we may judicially adopt a
standard against which negligence or due care can be measured. See Nehring, 219 Mont.
at 469, 712 P.2d at 1334 (citing statutory maxim under § 1-3-201, MCA, that "[w]hen the
reasons of a rule ceases, so should the rule itself").
¶92 Thus, we first turn to § 27-1-701, MCA, encoded in 1895, which provides the general
standard against which negligence or due care can be measured:
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Except as otherwise provided by law, everyone is responsible not only for the
results of his willful acts but also for an injury occasioned to another by his want of
ordinary care or skill in the management of his property or person except so far as
the latter has willfully or by want of ordinary care brought the injury upon himself.
Further, our Legislature (also in 1895) has provided that "[e]very person is bound, without
contract, to abstain from injuring the person or property of another or infringing upon any
of his rights." See § 28-1-201, MCA. In the absence of an express statute, it is from these
foregoing general rules that the duty in this instant case must be derived.
¶93 With these general principles in mind, we next observe that we need not judicially
adopt an entirely new standard to meet the current conditions. Rather, our case law already
provides that where two parties have an equal right to use a public highway, each must use
it so as not to injuriously interfere with the other's right, and each must exercise a degree
of care commensurate with the danger of the agency that he himself is using. See Franck
v. Hudson (1962), 140 Mont. 480, 484-85, 373 P.2d 951, 953; Sztaba v. Great Northern
Ry. Co. (1966), 147 Mont. 185, 197, 411 P.2d 379, 386, overruled in party by Kyriss v.
State (1985), 218 Mont. 162, 707 P.2d 5; Hightower v. Alley (1957), 132 Mont. 349, 355,
318 P.2d 243, 247; Fulton v. Chouteau County Farmers' Co. (1934), 98 Mont. 48, 64, 37
P.2d 1025, 1029-30. See also § 1-3-205, MCA (stating maxim that one must so use his
own rights as not to infringe upon the rights of another).
¶94 The roots of the foregoing rule in Montana can be traced to the mid-1800s common
law in this country that existed at the time Montana became a Territory. See, e.g., Warner
v. New York Cent. R.R. Co. (N.Y.App.Div. 1866), 45 Barb. 299, rev'd on other grounds
(1871), 44 N.Y. 465 (stating that "[i]t is not a question of superior, or subordinate right, in
passing, which arises in an action for damages occasioned by a collision between a
locomotive on the railroad and a vehicle upon the highway, but a question merely of the
exercise of suitable caution and prudence, by either party in the exercise of a common and
equal right); Bradley v. Boston & M.R. Co. (Mass. 1848), 2 Cush. 539 (concluding that the
defendants had "a right to run their engines on the road at all times, for all suitable and
proper purposes, using proper care not to interfere with the equal right of travelers to use
the road crossed"); Potter v. Pettis (R.I. 1853), 2 R.I. 483 (concluding that the plaintiff and
defendant had each an equal right to the river as a navigable highway, and when one was
in the lawful use of it, the other should have yielded).
¶95 In Franck, a case involving a collision between a plaintiff's logging truck and a
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defendant's cattle, this Court approved of a jury instruction which provided that "[w]here
two parties have an equal right to use a public highway, each must use it so as not to
injuriously interfere with the other's right, and each must exercise a degree of care
commensurate with the danger of the agency that he himself is using." Franck, 140 Mont.
at 484-85, 373 P.2d at 953 (concluding that instructions "taken as a whole . . . adequately
state the applicable law"). In Sztaba we concluded that "[b]oth the railroad and the
motoring public have an equal right to the use of a crossing." Sztaba, 147 Mont. at 197,
411 P.2d at 386. In Hightower, we likewise concluded that in Montana, a pedestrian and a
motorist have equal rights in the use of a public highway. Hightower, 132 Mont. at 355,
318 P.2d at 247 (stating that a pedestrian must use ordinary care for his own safety).
Finally, in Fulton, we stated that this rule applies to all "other persons lawfully using the
highway." Fulton, 98 Mont. at 64, 37 P.2d at 1030 (stating that the "driver of an
automobile certainly, in case of a breakdown, a collision, or other accident, if he exercises
reasonable care, may use the highway for the purpose of inspection, or repair in case his
car is unable to proceed, or may render assistance to another on the highway").
¶96 Thus, because both a livestock owner and a motorist may have an equal right to
lawfully occupy a highway in an "open range" area, or, to a limited extent, within a herd
district under § 80-7-306, MCA, or designated state highway under § 60-7-201, MCA, we
hold that both owe each other a legal duty to use such roads so as not to injuriously
interfere with the other's right of use. Accordingly, ascertaining the precise standard of
care each owes the other is a fact-driven question that must be viewed in light of the
circumstances under which the harm occurs. See Lopez v. Great Falls Pre-Release
Services, Inc., 1999 MT 199, ¶¶ 27-28, 295 Mont. 416, ¶¶ 27-28, 986 P.2d 1081, ¶¶ 27-28;
Ambrogini, 197 Mont. at 120, 642 P.2d at 1019 (stating that reasonableness of livestock
owner was for jury to decide).
¶97 Obviously, in Montana such a determination involves a broad spectrum of
circumstances. As observed by amici, "open range" encompasses remote, seldom traveled
unpaved highways where no fences at all restrain livestock, as well as heavily fenced areas
traversed by high levels of traffic on paved roads near dense population centers where
livestock customarily have no cause to be herded or otherwise occupy the highway for the
purpose of grazing or seeking water.
¶98 Accordingly, the duty owed to motorists by an owner of a black Angus bull, which is
standing in the middle of a highway at night in harm's way, conceivably may be no
different than that owed by an owner of a vehicle who permits his or her vehicle to remain
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in harm's way in the middle of the same highway, under the same circumstances. In both
instances, each has a legal right to use the highway. Yet both must act in a reasonable
manner under the circumstances, and failure to do so may constitute negligence on his or
her part. See, e.g., Morton v. Mooney (1934), 97 Mont. 1, 8, 33 P.2d 262, 264 (stating that
if a car becomes disabled, "the motorist should employ due diligence to remove it from the
highway within a reasonable time, but, in the absence of any showing of lack of diligence,
the mere fact that a disabled car is standing on the highway does not constitute actionable
negligence"). See also Carrow v. Lusby (Az. 1991), 804 P.2d 747, 754 (applying duty of
ordinary care to livestock owners and stating that "in open range territory, the mere failure
to prevent one's cattle from entering the highway, by erecting fences or otherwise, does
not constitute conduct falling below the standard of care required of livestock owners");
Shively v. Dye Creek Cattle Co. (Cal.Ct.App. 1994), 35 Cal.Rptr.2d 238, 244 (applying
duty of ordinary care to livestock owners and stating that "against the backdrop of the
'open range' law, the duty of ordinary care in this context does not contemplate extreme
preventive measures").
¶99 In accordance with the foregoing we now turn, at last, to the issues raised by the
parties.
VI. Issues presented
1. Did the District Court err in granting summary judgment to Zancanella?
¶100 The District Court, in its January 6, 1997 Order, dismissed Zancanella from the
action based on the conclusion that he did not have the duty to either keep the Steiners'
bull off the highway in question, or maintain any fence on the property leased to the
Steiners.
¶101 Larson-Murphy's argument on appeal rests primarily on the contention that
Zancanella had a non-delegable statutory duty to maintain the fences on the property
leased to the Steiners, notwithstanding the lease agreement. As discussed above,
Zancanella had no statutory duty to maintain a legal fence, pursuant to § 81-4-101, MCA,
and therefore this argument must fail.
¶102 Moving to a common-law theory, however, Larson-Murphy further relies on Fagan
v. Silver (1920), 57 Mont. 427, 188 P. 900, for the proposition that a lessor and lessee may
both be liable for damages resulting from maintaining a "nuisance or hazard," and that,
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generally, lessors under certain circumstances may be liable for damages suffered by a
third party that result from the lessee's activities. Contrary to the District Court, which did
not actually cite authority for its conclusions, we find merit in this argument to the extent
that material facts related to this theory remain in dispute.
¶103 Zancanella is correct that a lessor of land usually has no control over the conduct of
the lessee or the person upon the leased land while the lessee is in possession of it.
Therefore, the traditional common law rule has been that the lessor is under no obligation
to anyone to look after the premises or to keep them in repair, and is not responsible,
either to persons injured on or off the land for conditions which develop or are created by
the tenant after possession has been transferred. See Prosser & Keeton, § 63; Parrish v.
Witt (1976), 171 Mont. 101, 104, 555 P.2d 741, 743 (requiring plaintiff to show that
exception to general rule); Lake v. Emigh (1948), 121 Mont. 87, 119-20, 190 P.2d 550,
566 (stating general rule that in the "absence of an agreement in the lease binding the
landlord to put or keep the premises in repair, he is not liable in damages for failure to do
so or for injuries sustained by the tenant by reason thereof") (citations omitted).
¶104 Two relevant exceptions to the foregoing general rule, to which Larson-Murphy's
argument alludes, are expressed under two, related sections of the Restatement (Second)
of Torts §§ 379A and 837, which we conclude are persuasive authority in this instance.
Section 379A provides that a lessor of land is subject to liability for physical harm to
persons outside of the land caused by activities of the lessee or others on the land after the
lessor transfers possession if, but only if:
(a) the lessor at the time of the lease consented to such activity or knew that it would
be carried on, and
(b) the lessor knew or had reason to know that it would unavoidably involve such an
unreasonable risk, or that special precautions necessary to safety would not be taken.
Restatement (Second) of Torts, § 379A (1965). Similarly, § 837 provides that a lessor of
land is subject to liability for a nuisance caused by an activity carried upon the land while
the lease continues and the lessor continues as owner, if the lessor would be liable if he
had carried on the activity himself; and
(a) at the time of the lease the lessor consents to the activity or knows or has reason
to know that it will be carried on, and
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(b) he then knows or should know that it will necessarily involve or is already
causing the nuisance.
Restatement (Second) of Torts § 837 (1979). See also Restatement (Second) of Property,
Landlord & Tenant § 18.4 (1977) (providing substantially the same rule as § 379A). These
Restatement sections and interpretive case law suggest that where, for example, a land
owner abutting a public highway leases the property knowing it will be used for a
potentially hazardous purpose, and as a result a traveler on the highway is injured, the
owner may be subject to liability. See Restatement (Second) of Torts § 379A, comment c;
Park v. Hoffard (Or. 1993), 847 P.2d 852, 855-56 (holding that landlord may be liable for
damage caused by tenant's dog); Klimkowski v. De La Torre (Ariz.Ct.App. 1993), 857
P.2d 392, 395 (holding that if landlord has knowledge of nuisance, and has opportunity to
reenter and abate the nuisance, he may be held liable if a third party suffers damage as a
result of the nuisance); Easson v. Wagner (S.D. 1993), 501 N.W.2d 348, 351 (stating that
a landlord may be held liable for damage to adjoining property occasioned by a tenant's
use of the property that was sanctioned by the landlord, pursuant to negligent leasing
theory); Walker v. Everist, Inc. (N.M.Ct.App. 1985), 701 P.2d 382, 387 (providing rule
that if the potential harm is sufficiently substantial and predictable, it is the duty of the
lessor to abate the nuisance created by his lessee).
¶105 Further, our decision in Criswell v. Brewer (1987), 228 Mont. 143, 741 P.2d 418,
upon which Zancanella relies, can be distinguished from the facts here. In that case, we
concluded that the owner of a ranch could not be liable for the ranch foreman's dog that bit
a third party, concluding that the ranch owner was not a "keeper" of the dog. We
nevertheless concluded that the ranch owner must still exercise reasonable care as a
landowner. The facts indicated that the dog had bitten someone approximately two years
before the incident with the plaintiff, the ranch owner was aware of the earlier biting, and
had satisfied his duty of reasonable care by providing materials to the dog's owner to build
a fence and dog pen behind the ranch house, and requiring that the foreman keep the dog
in the pen unless accompanied by the foreman. See Criswell, 228 Mont. at 144, 741 P.2d
at 419.
¶106 Thus, the claim of negligence against Zancanella gives rise to two questions of fact:
whether he knew of, or consented to, the tenant's activity which caused the harm and
whether he realized the risks associated with that activity. If the expected activity under
the lease resulted in a reasonably anticipated injury, the landlord cannot disclaim liability.
See Easson, 501 N.W.2d at 351 (relying on Restatement (Second) of Property, § 18.4 and
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Restatement (Second) of Torts, § 379A).
¶107 The facts here indicate that Zancanella understood and consented that livestock,
including bulls, would be kept by his lessees, the Steiners, and consequently it was a
condition of the lease that they maintain the fences, and take whatever precautions were
necessary for keeping such animals. Obviously, Zancanella was aware of the potential
risks involved, having kept livestock, including a bull, on the property in the mid-1970s.
Further, in anticipation of any damages the livestock may cause, he required that the
Steiners carry liability insurance.
¶108 While such contractual obligations may give Zancanella a right to indemnification
from the Steiners, we conclude that an injured third party, such as Larson-Murphy, is not a
party to such an agreement, and thus Zancanella cannot avoid liability if a legal duty was
owed. See Restatement (Second) of Torts, § 379A, comment d. Further, the facts are
unclear, and therefore in dispute, as to what degree Zancanella exercised reasonable care
in addressing whether this activity on his property would pose a risk to users of the
adjacent roads. Zancanella's argument here, in fact, is premised on the notion that he owed
no duty of care under any circumstances, and this assertion formed the basis of the District
Court's conclusion. Unless all material facts undisputedly show that Zancanella fully
satisfied his duty of ordinary care under the circumstances as an owner and lessor of the
premises, summary judgment in his favor is improper. Accordingly, the District Court's
order dismissing Zancanella from the action is reversed.
2. Did the District Court err in denying summary judgment to the Steiners?
¶109 The District Court denied the Steiners' motion for summary judgment on two
separate occasions, and a motion for reconsideration, all of which address similar issues of
law.
¶110 In the District Court's October 29, 1996 Order, the court determined that "[i]f an area
is not open range, there is a duty to maintain legal fences and keep livestock off the
roadways," pursuant to Indendi v. Workman (1995), 272 Mont. 64, 899 P.2d 1085, and §
60-7-102, MCA. The court stated that whether "Defendants violated the legal fencing
statute, and whether such a violation constitutes negligence per se are questions of fact."
The court concluded that the defendants "failed to establish they lacked a duty to maintain
legal fences and keep livestock off Hoskin road."
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¶111 Pursuant to our discussion here, we conclude that the denial of the defendants'
motion for summary judgment was proper. Although the Steiners had no duty to maintain
a legal fence, pursuant to § 81-4-201, MCA, they nevertheless had a common law duty to
exercise control of their livestock to a particular standard of conduct in order to protect
motorists, as foreseeable plaintiffs, against unreasonable risks of harm under the
circumstances--whether within a herd district or on open range. See § 27-1-701, MCA.
¶112 It is undisputed that the accident occurred within a herd district, which was in effect
at the time. Therefore, the Steiners' bull, which was "at large," was not lawfully occupying
the highway at the time of the accident, because the highway in question was not "open
range." Thus, the question of what was a reasonable standard of care under the
circumstances--where an animal escapes an owner's premises in a herd district--is a fact-
specific inquiry. As the court acknowledged "disputed issues of material fact remain."
Namely, those facts pertaining to how the bull escaped from the premises, and what steps
the Steiners had taken, or should have taken, in light of the risk involved, remained in
dispute at the time the court rendered its decision.
¶113 The District Court's January 6, 1997 Order denying the Steiners' motion to
reconsider is affirmed under the same rationale.
¶114 Finally, the District Court's November 19, 1997 Order again turned on the legal
question of whether the accident occurred in open range, and thus whether or not the
Steiners owed a legal duty to Larson-Murphy. The court concluded that the accident did
not occur in open range. We affirm this conclusion. Ultimately, the court's denial of the
Steiners' motion turned on the disputed fact of which fence was relevant: the triangular
pasture where the Steiners placed the bull, or the perimeter fence near Hoskin Road.
¶115 Disregarding questions of law, we again affirm the order denying the Steiners'
motion for summary judgment. Obviously, material facts regarding which fence was or
was not properly maintained, the condition of the gates on the property, and how these
conditions relate to the reasonable care required in preventing a black bull from
obstructing a highway at night in a herd district remained in dispute at the time of the
court's decision.
3. Did the District Court properly grant the Steiners' motion for a directed
verdict?
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¶116 Pursuant to our standard of review, we consider only the evidence introduced by the
party against whom the directed verdict is granted. If that evidence, when viewed in a light
most favorable to the party, tends to establish the case made by the party's pleading, we
will reverse the directed verdict.
¶117 Here, Larson-Murphy's theory for recovery is that the Steiners were negligent. This
theory can be summarized as follows: (1) at some point in the chain of events leading up
to the collision of Larson-Murphy's vehicle with the Steiners' bull on May 8, 1993, the
Steiners--as well as Zancanella--owed a legal duty to motorists on Hoskin Road to prevent
in some manner the bull from obstructing the county highway; (2) the Defendants
breached this duty when their conduct fell below a recognized standard of care under the
circumstances; (3) this breach of a legal duty caused the accident; and (4) as a result,
Larson-Murphy was damaged. See generally Nehring, 219 Mont. at 469, 712 P.2d at 1334.
¶118 Thus, potentially, if the Steiners acted unreasonably in failing to guard against the
risk that their bull could obstruct and interfere with Larson-Murphy's lawful use of Hoskin
Road, they may be liable for negligence. We conclude that Larson-Murphy presented
sufficient evidence at trial that the Steiners' bull unlawfully obstructed Hoskin Road and
caused the accident resulting in her damages, and that its escape arguably resulted from a
lack of reasonable care by its owners.
¶119 Clearly, therefore, reasonable persons could draw different conclusions from the
evidence concerning whether the Steiners' standard of care was reasonable under the
circumstances. The trier of fact should have been permitted to make this ultimate
determination, and, accordingly, the directed verdict in favor of the Steiners is reversed.
¶120 Therefore, this action is affirmed in part, reversed in part, and remanded for further
proceedings consistent with this opinion.
/S/ JAMES C. NELSON
We Concur:
/S/ W. WILLIAM LEAPHART
/S/ JOHN C. McKEON
District Judge, sitting for
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Justice Jim Regnier
Justice Terry N. Trieweiler concurring.
¶121 I concur with the majority opinion, except for that part which reversed the holding in
Indendi v. Workmen (1995), 272 Mont. 64, 899 P.2d 1085, that violation of Montana's
legal fencing requirements found at § 81-4-101 is negligence per se in the context of a
livestock-motor vehicle collision.
¶122 The majority concludes that violation of the legal fence requirement was not
negligent per se in the context of a livestock-motor vehicle collision because motor
vehicle operators are not members of the class for which the legal fence requirement was
enacted. I disagree and conclude that the majority's interpretation of the statute's purpose
is far too narrow. Plaintiffs were within the class of persons that legal fencing
requirements were enacted to protect because they are victims of cattle roaming in an area
where it is required that they be contained. It is not necessary that the legislature foresee
every manner in which prohibited acts or omissions could cause injury before negligence
as a matter of law can be found.
¶123 As stated in Indendi, the broad purpose of the legal fence requirement is to assure
that livestock are " . . . not free to roam and to cause harm to persons and property or to
breed with livestock of others." Indendi, 272 Mont. at 72, 899 P.2d at 1090. I do not
believe it was necessary for the legislature to foresee each specific type of harm that
wandering livestock could cause before principles of negligence per se are applicable.
¶124 The majority's sweeping conclusion that legal fences were only required to keep
livestock out rather than to keep livestock in is discredited by other provisions found in
Title 81, Chapter 4, Part 1. For example, § 81-4-103, MCA, provides:
Any person constructing or maintaining any fence of any kind not described in 81-4-
101 is liable in a civil action for all damages caused by reason of injury to stock
resulting from such defective fence.
¶125 Section 81-4-104, MCA, provides that owners of barbed wire fences which are in
disrepair are liable to owners of livestock injured thereby, when after notice, the fence is
not repaired. Furthermore, Part 2 provides penalties and civil liability when prohibited
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animals are permitted to run at large. Section 81-4-202, MCA. Part 3 provides penalties
for persons who allow livestock to run at large in a herd district. Section 81-4-306, MCA.
These statutes, when read together, clearly suggest that the legal fencing requirement was
intended for more than to protect fenced land from roaming livestock. The fencing
requirements were also obviously enacted to protect others from livestock which by law,
must be contained. That includes cattle found in herd districts.
¶126 I would conclude that to start limiting the laws protection from roaming livestock to
only certain classes of tort victims without an expressed intention by the legislature to do
so, is far too narrow an application of the legal fencing requirement. For these reasons, I
would follow that part of the Indendi decision which held that in the context of livestock/
motor vehicle collisions, failure to provide a legal fence is negligence per se and I dissent
from the majority's decision to reverse that part of the Indendi holding.
/S/ TERRY N. TRIEWEILER
Justice William E. Hunt, Sr., joins in the foregoing concurring opinion.
/S/ WILLIAM E. HUNT, SR.
Justice Karla M. Gray, dissenting.
¶127 I respectfully dissent from the Court's scholarly and sweeping decision which abrogates decades of
precedent and fails to take into account that the Legislature, like the livestock owners of Montana, have
long relied on that precedent. While I do agree with some of the Court's discussion, my disagreements
are extensive. Rather than have the opinions in this case fill an entire volume of Montana Reports,
however, I will address only major points.
¶128 Regarding points of agreement between myself and the Court, I agree with the
Court's early conclusions that the law of the open range remains the law of this state and
that the term open range includes all highways outside of private enclosures and used by
the public, unless modified by the Legislature. I also agree we correctly held in Williams
that the herd district statutes were intended only to protect landowners and owners of
livestock. Finally, I agree that, while the portions of Indendi analyzing and resolving the
questions at issue pursuant §§ 60-7-201 and 60-7-202, MCA, were correct, the negligence
per se discussion and holding therein must be overruled because the legal fence statutes
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were enacted to exclude, not confine, livestock.
¶129 I disagree with and, therefore, dissent from most of the rest of the Court's opinion,
with regard to its approach, its discussion and its result. In particular, I strenuously
disagree with the Court's statement in the early part of its Discussion that "[t]his case
involves a general misconception of the import of Montana's 'open range doctrine' in
matters involving the legal relationship between the owners of livestock and users of
motor vehicles on Montana highways." Under decades of Montana law, there is no
"misconception," since that law has clearly held for decades that-absent an exception
enacted by the Legislature-an owner of livestock has no duty to prevent the livestock from
wandering onto Montana highways. See, e.g., Bartsch, 149 Mont. at 409, 427 P.2d at 305;
Williams, 235 Mont. at 141, 766 P.2d at 249. For the same reason, I cannot agree with the
Court's statement soon thereafter that the District Court's expression of the "prevailing
law" in Montana with regard to open range is "incorrect." The prevailing law was-at the
time of the District Court's decision-and has been for decades as stated by that court. That
this Court changes, in this case, the prevailing law by overruling decades of well-settled
precedent does not support the Court's statement that the District Court erred under
"prevailing law."
¶130 I also disagree with the Court's statement that open range and the open range
doctrine has nothing to do with the legal relationship between livestock owners and
motorists "under a theory of negligence." The fact is that, under our earlier cases on this
subject, a negligence theory in such situations was available only under legislative
exceptions to the open range doctrine. See, e.g., Bartsch, 149 Mont. at 409, 427 P.2d at
305; Ambrogini, 197 Mont. at 119-21, 642 P.2d at 1019-20.
¶131 Overall, my position is this: The Court sweeps away decades of precedent by
characterizing our statements of law in those cases that an owner of livestock has no duty
to prevent the livestock from wandering on the highways as mere "assumptions." Such a
cavalier approach to the legal determinations of Montana's highest court is inappropriate
and is, in my view, an insufficient starting point to overrule a body of decisions which
stated the rule of law on this subject in Montana for decades and provided the stability and
predictability in the law which is so necessary in an ordered society.
¶132 Moreover, the Court fails to notice what, to me, is the clear tie between our cases and
the Legislature's reliance on-and response to-those cases; in doing so, the Court undercuts
the Legislature's lawmaking authority on this subject. The fact is that our 1967 Bartsch
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decision addressed the livestock-motorist dilemma at a time when the only statutory duty
imposed on livestock owners with regard to livestock on highways was for willfully or
intentionally allowing livestock onto certain highways. There, we stated without
equivocation that
in open range country, the owner of livestock . . . has no duty to prevent the
livestock from wandering. Since he has no duty to prevent such wandering, he
cannot be said to be negligent if the livestock do wander--even if such wandering
takes them onto a highway right of way which runs through the open range.
Bartsch, 149 Mont. at 409, 427 P.2d at 305. Recognizing the propriety of the result, but
concerned about increased motor traffic in the last third of the twentieth century, Justice
John C. Harrison specially concurred, urging the Legislature to give the subject its
"utmost consideration." Bartsch, 149 Mont. at 410, 427 P.2d at 305 (Harrison, J.,
concurring).
¶133 The Legislature heeded Justice Harrison's plea in the very next legislative session by
enacting statutes relating to the subject. See 1969 Mont. Laws Ch. 311, Sec. 1. The
Legislature acted again in 1974, more vigorously, by enacting what subsequently became
§ 60-7-101, MCA, the "Purpose" statement that §§ 60-7-101 through 60-7-103, MCA,
were expressly intended
to balance the tradition of the open range and the economic and geographic
problems of raising livestock with the need for safer highways and the policy of
taking all feasible measures to reduce the high incidence of traffic accidents and
fatalities on Montana highways.
See 1974 Mont. Laws Ch. 255, Sec. 1. In a separate bill, the Legislature also amended
other statutes on the subject. Of special note, it amended the statute referenced in Bartsch-
which previously had imposed a duty only for willfully or intentionally allowing livestock
on certain highways-to provide that the livestock owner "may not permit" occupation of
certain highways by livestock. See 1974 Mont. Laws Ch. 316, Sec. 7. On the basis of this
last legislative amendment, we properly decided in Ambrogini that livestock owners in
Montana could be found liable for merely negligent-rather than willful-conduct which
results in the presence of their cattle on certain highways designated by the Legislature.
Ambrogini, 197 Mont. at 120, 642 P.2d at 1018.
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¶134 It is my view that Title 60, Chapter 7 clearly expresses the Legislature's intent in
balancing the modern dilemma of livestock in an open range state with the competing
concerns for motorist safety. Certain duties have been imposed on the state of Montana
and on livestock owners via those statutes and it is my view that the statutes set the only
parameters within which a motorist or passenger may sue a livestock owner for
negligently allowing livestock on the designated highways. The facts of the present case
do not fall within those parameters.
¶135 The Legislature having done the balancing it found necessary and appropriate, and
having done so in response to Bartsch, there is simply no basis for the Court to extend and
expand that careful legislative balancing--via application of § 27-1-701, MCA-to apply to
circumstances the Legislature clearly did not intend to bring within its purview. In short, it
is my view that, in enacting Title 60, Chapter 7, the Legislature set forth-as the public
policy of this state-the only exceptions to the open range-no duty doctrine available for
livestock-vehicle collisions. Our job is not to decide whether we agree with the
Legislature's actions; our job is to " 'construe and apply the law as [we] find it and to
maintain its integrity as it has been written by a coordinate branch of the state
government.' " Raffety v. Kanta Products, Inc. (1991), 250 Mont. 268, 272, 819 P.2d 1272,
1275 (citation omitted). It is undisputed in the present case that the collision occurred on a
county road not included within the statutory exceptions to the open range doctrine set
forth by the Legislature.
¶136 Furthermore, while the Court's conclusory statement that the herd district statutes
authorize certain landowners "to exempt a particular area of land from the open range" is
not altogether incorrect, I disagree that the herd district statutes impact on livestock-motor
vehicle collisions on county roads. As a result, I also disagree with the Court's conclusion
that, because the accident at issue here occurred within a herd district, it did not occur
within the open range.
¶137 The problem with the Court's reasoning in this regard is that herd districts are created
by owners of land and the penalties for permitting animals to run at large or trespass apply
only "within a herd district." See §§ 81-4-301, 81-4-306 and 81-4-307, MCA. Herd
districts do not include county roads adjacent thereto and, therefore, a livestock-motor
vehicle collision on such a county road simply does not occur within the herd district.
Consequently, the Court's early conclusion that open range "includes all highways outside
of private enclosures and used by the public" unless modified by the Legislature-a
conclusion with which I heartily agree-remains applicable here and no duty arises.
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¶138 In summary, I simply cannot agree with the Court's decision to apply § 27-1-701,
MCA, to the circumstances before us here. The open range-no duty rule and the statutory
duty of ordinary care have coexisted-but been separately applied-in Montana for 100 years
or more. In both cases, the Legislature has enacted exceptions to the general rules and this
Court has applied such statutory exceptions to the cases before it (absent constitutional
infirmity). Nothing in this case persuades me that a change in course, especially one by
this Court that necessitates turning decades of well-settled law and carefully crafted
actions by the Legislature on their head, is either appropriate or necessary. I dissent from
the Court's decision to do so.
¶139 As a final matter, I turn to the issues stated in-and discussed at the very end of-the
Court's opinion. I dissent from the Court's resolution of issue one, which reverses the
District Court's dismissal of Zancanella from the action. I do agree with the Court that
Larson-Murphy's reliance on the fencing statute and Indendi in this regard-which
constitutes the bulk of her argument on this issue-is misplaced. The only other authority
relied on by Larson-Murphy is Fagan and the Court properly does not rely on that case to
reverse the trial court's dismissal of Zancanella.
¶140 Indeed, the Court's decision on this issue is based primarily on a discussion of
various portions of the Restatement (Second) of Torts, a discussion with which I do not
disagree. My problem, however, is that Larson-Murphy's contentions on this issue are
limited to the arguments set forth above. She did not argue Restatement law in support of
her position. It is my view that our duty is to decide cases based on the issues and
arguments raised by the parties, so each party has the opportunity to brief the matters
raised and this Court can make a reasoned decision accordingly.
While the temptation is often great to decide a case on the basis of the argument that
"should have been made," but was not, in blind-siding an issue we run the very real
risk of substituting advocacy for neutrality.
State v. Zabawa (1996), 279 Mont. 307, 318, 928 P.2d 151, 158 (Nelson, J., concurring).
Moreover, in relying on the Restatement (Second) of Torts, the Court shifts the thrust of
Larson-Murphy's entire argument from the purported deficiency of the fence to the activity
of the Steiners-about which Zancanella knew-of maintaining a bull on the property, with
its concomitant risks. It is this sort of "slippery slope" along which it is easy to slide when
the Court undertakes to resolve an issue based on an unraised argument.
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¶141 I also dissent from the Court's conclusion on the second issue that the District Court
properly denied the Steiners' motion for summary judgment. For the reasons discussed
above at some length, it is my view that the Steiners were entitled to summary judgment
under the open range-no duty doctrine, in that no legislative exception to that doctrine
applies here. Because Larson-Murphy's case against the Steiners should have ended with
the grant of their motion for summary judgment, I would not separately address whether
the District Court properly granted the Steiners' motion for a directed verdict.
¶142 In sum, while I agree with portions of the Court's discussion, I dissent from its
overall approach and resolution of this case via the application of § 27-1-701, MCA. I
would affirm the District Court's dismissal of Zancanella from the action and reverse the
denial of the Steiners' motion for summary judgment.
/S/ KARLA M. GRAY
Chief Justice J. A. Turnage joins in the foregoing dissenting Opinion.
/S/ J. A. TURNAGE
1. Restatement (Second) of Torts § 291 provides that "[w]here an act is one which a
reasonable man would recognize as involving a risk of harm to another, the risk is
unreasonable and the act is negligent if the risk is of such magnitude as to outweigh what
the law regards as the utility of the act or of the particular manner in which it is done."
2. It should be noted that a lawful fence, under § 81-4-101(5), MCA, includes "all rivers,
hedges, mountain ridges and bluffs, or other barriers over or through which it is
impossible for stock to pass," in addition to the more common legally-defined barrier of
barbed wire.
3. As originally codified, the open range definition meant all lands not enclosed by a
lawful fence. This definition was changed in 1925, to the current two-wire standard. See
Ch. 63, L. 1925. Thus, again in concert with the purpose of the open range doctrine, the
fencing required to remove land from open range did not apply to livestock owners, who
chose to restrain their animals, but to landowners who wished to exclude other persons
livestock. See also Siegfried v. Atchison (1985), 219 Mont. 14, 17, 709 P.2d 1006, 1008
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(concluding that the "presence of privately constructed fences along the highway right-of-
way does not indicate the area is not open range").
4. This intentional conduct standard was a result of a 1925 amendment. Originally,
livestock were flatly prohibited from running at large, with no mention of intent. Compare
Ch. 74, L. 1917, with Ch. 45, L. 1925. For reasons that remain unclear, no similar willful
standard was amended to the horse herd district statute, which does not require intentional
conduct. See § 81-4-324, MCA.
5. In 1974, the Legislature charged the State with the duty of fencing certain highways.
See § 60-7-101 through 103, MCA. The Legislature provided that the purpose of this duty
was to "balance the tradition of the open range and the economic and geographic problems
of raising livestock with the need for safer highways and the policy of taking all feasible
measures to reduce the high incidence of traffic accidents and fatalities on Montana
highways." See § 60-7-101, MCA. This pronouncement came, however, more than 20
years after the "grazing of livestock on highways" statutes were codified, and offers no
express reference to §§ 60-7-201 through 205, MCA. Thus, it is unclear whether the
Legislature intended this clear enunciation of "safer highways" policy to apply to the
grazing statutes as well.
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