Stephen L Lowry v. Cellar Door Productions of Mich Inc ( 2001 )


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  •                                                                        Michigan Supreme Court
    Lansing, Michigan 48909
    ____________________________________________________________________________________________
    C hief Justice                   Justices
    Maura D. Cor rigan
    Opinion
    Michael F. Cavanagh
    Elizabeth A. Weaver
    Marilyn Kelly
    Clifford W. Taylor
    Robert P. Young, Jr.
    Stephen J. Markman
    ____________________________________________________________________________________________________________________________
    FILED JUNE 26, 2001
    MOLLY MACDONALD,
    Plaintiff-Appellee,
    v	                                                                               No. 114039
    PKT, INC, known as PINE KNOB MUSIC
    THEATER, and ARENA ASSOCIATES,
    jointly and severally,
    Defendants-Appellants,
    and
    CAPITAL CITIES/ABC, INC,
    Defendant.
    STEPHEN L. LOWRY,
    Plaintiff-Appellant,
    v	                                                                               No. 115322
    CELLAR DOOR PRODUCTIONS OF MICHIGAN,
    INC, a Michigan corporation, and
    ARENA ASSOCIATES INC, d/b/a PINE
    KNOB MUSIC THEATER, jointly and
    severally,
    Defendants-Appellees.
    BEFORE THE ENTIRE BENCH
    YOUNG, J.
    I. INTRODUCTION
    In   these     consolidated            premises     liability      cases,
    plaintiffs seek to recover for injuries they suffered when
    fellow concertgoers at the Pine Knob Music Theater (Pine
    Knob), an outdoor amphitheater that offered seating on a
    grass-covered hill, began pulling up and throwing pieces of
    sod.     We granted leave to address the duty of premises owners
    concerning the criminal acts of third parties.
    Under Mason v Royal Dequindre, Inc, 
    455 Mich. 391
    ; 566
    NW2d 199 (1997), merchants have a duty to respond reasonably
    to situations occurring on the premises that pose a risk of
    imminent and foreseeable harm to identifiable invitees.                         We
    hold today that the duty to respond is limited to reasonably
    expediting the involvement of the police and that there is no
    duty to otherwise anticipate and prevent the criminal acts of
    third parties. Finally, consistent with Williams v Cunningham
    Drug Stores, Inc, 
    429 Mich. 495
    ; 418 NW2d 381 (1988), and Scott
    v Harper Recreation, Inc, 
    444 Mich. 441
    ; 506 NW2d 857 (1993),
    we   reaffirm     that     merchants        are    not    required   to     provide
    security personnel or otherwise resort to self help in order
    to deter or quell such occurrences.
    II. FACTUAL   AND   PROCEDURAL BACKGROUND
    A.    MACDONALD
    In   MacDonald,    plaintiff           Molly    MacDonald   attended     a
    concert on May 4, 1995, at Pine Knob at which several bands
    were performing.         Pine Knob offers seating on a grass-covered
    hill, as well as seating in a pavilion.                     Plaintiff received
    the tickets to the concert as part of a promotional giveaway
    by   a    local   radio    station        sponsoring       the   concert.      When
    2
    plaintiff arrived at Pine Knob, she and a friend found a spot
    to sit on the hill.        While a band called Bush was performing,
    some patrons began pulling up sod and throwing it.
    Before the concert, the event coordinator had asked the
    bands to stop performing in the event that the audience
    members began throwing sod, and announce that the sod throwing
    must stop.        There were also flyers posted in the dressing
    rooms     of    the   bands     requesting    the     bands    to   make     an
    announcement to the audience to stop throwing sod.                  Pursuant
    to that request, the band finished the song and stopped
    performing,       making   an    announcement       that   unless    the    sod
    throwing stopped, the concert would not continue.                   The crowd
    complied with the band’s request, and several individuals were
    ejected from Pine Knob for throwing sod.
    While the next band, the Ramones, was performing, the sod
    throwing       resumed.       After   that   band    refused   to    make    an
    announcement to stop throwing sod, the event coordinator
    turned on the house lights.           When the sod throwing continued,
    the band made an additional announcement demanding that it
    stop.     Once again, several individuals who were involved in
    throwing sod were ejected from the theater. During the second
    incident of sod throwing, plaintiff fractured her ankle when
    she fell while attempting to avoid being struck by a piece of
    sod.     Discovery materials indicated that there had been two
    sod-throwing incidents at previous concerts at Pine Knob, one
    incident in 1991, at a Lollapalooza concert, and another
    3
    incident in 1994, at a Metallica concert.1
    Plaintiff filed a complaint against, among others, PKT,
    Inc.,        also   known   as   Pine   Knob   Music   Theater   and   Arena
    Associates.2         Plaintiff alleged that Pine Knob was negligent
    in failing to provide proper security, failing to stop the
    performance when it should have known that continuing the
    performance would incite the crowd, failing to screen the
    crowd to eliminate intoxicated individuals, and by selling
    alcoholic beverages. Pine Knob moved for summary disposition,
    arguing that it did not have a duty to protect plaintiff from
    the criminal acts of third parties.                Meanwhile, plaintiff
    moved to amend her complaint to add certain theories including
    design defect, nuisance, and third-party beneficiary claims
    and to more specifically set forth her negligence claim.
    The trial court granted summary disposition for Pine Knob
    pursuant to MCR 2.116(C)(8) and (10), but the Court of Appeals
    reversed.3          The Court of Appeals held that the trial court
    erred in granting summary disposition in favor of Pine Knob
    because there were fact questions for the jury regarding
    whether the sod throwing incident created a foreseeable risk
    of harm and whether the security measures taken by Pine Knob
    1
    The 1994 sod-throwing incident resulted in the lawsuit
    at issue in Lowry.
    2
    Although not fully explained by the parties, apparently
    Pine Knob Music Theater and Arena Associates is one entity.
    Capital Cities/ABC, Inc., the owner of the radio station that
    sponsored the concert, was dismissed as a party defendant from
    the case early on and is not a party to this appeal.
    3
    
    233 Mich. App. 395
    ; 593 NW2d 176 (1999).
    4
    were reasonable. The Court of Appeals reasoned that plaintiff
    submitted evidence that there had been incidents of sod
    throwing at previous concerts, that Pine Knob was aware of
    those instances, and that it had formulated policies to deal
    with sod throwing incidents before the concert. Regarding the
    question whether security measures taken by Pine Knob were
    reasonable,     the    Court    of    Appeals    stated        that    plaintiff
    presented evidence sufficient to survive summary disposition
    by submitting the affidavit of an expert witness who stated
    that Pine Knob was negligent by (1) failing to have adequately
    trained     security     personnel         properly    positioned       at   the
    concert,4 (2) failing to summon the police to eject or arrest
    those throwing sod, (3) failing to have a clear, written
    policy regarding the sod throwing, (4) allowing the concert to
    continue after the first incident, and (5) serving alcohol.
    Finally, the Court of Appeals held that the trial court
    abused its discretion in denying plaintiff’s motion to amend
    her complaint pursuant to MCR 2.116(I)(5).                      The Court of
    Appeals     stated     that    the    proposed        claims    were     legally
    sufficient and were justified by the evidence. This Court
    granted Pine Knob’s application for leave to appeal.5
    B. LOWRY
    In Lowry, plaintiff and a friend attended a Suicidal
    Tendencies/Danzig/Metallica concert at Pine Knob on June 22,
    4
    Approximately forty security officers and eleven
    officers from the Oakland County Sheriff’s Department were
    working at the concert.
    5
    
    461 Mich. 987
     (2000).
    5
    1994.    Plaintiff suffers from multiple sclerosis and uses the
    aid of two canes or a wheelchair.        Plaintiff was seated in the
    handicapped section at Pine Knob, which is located at the rear
    of the pavilion immediately adjacent to the grass seating.
    During the performance of Danzig, patrons seated on the lawn
    of Pine Knob began throwing sod.             Plaintiff was allegedly
    struck with sod on the head and shoulders.             Within a few
    minutes, the band stopped performing and an announcement was
    made requiring individuals to stop or the concert would not
    continue.     Alcohol sales were cut off.       Deposition testimony
    indicated that the sod throwing stopped within ten to fifteen
    minutes and numerous individuals were ejected from Pine Knob.6
    Plaintiff brought a negligence action against Pine Knob,
    as well as Cellar Door Productions of Michigan, Inc., the
    producer of the concert, alleging that defendants failed to
    protect plaintiff from the foreseeable dangers of sod throwing
    by patrons. Plaintiff also alleged that defendants violated
    his rights under the Michigan Handicapper’s Civil Rights Act
    (MHCRA), (now: Persons With Disabilities Civil Rights Act),
    MCL 37.1101 et seq., by failing to adequately accommodate his
    disability.
    Defendants   moved   for   summary    disposition   under   MCR
    2.116(C)(8) and (10), arguing that they owed no duty to
    protect plaintiff from the criminal acts of third parties, and
    that plaintiff’s handicap was fully accommodated. With regard
    6
    Approximately seventy crowd control personnel, as well
    as officers from the Oakland County Sheriff’s Department, were
    present at the concert.
    6
    to plaintiff’s premises liability claim, the trial court
    granted summary disposition for defendants on the ground that
    the sod throwing was unforeseeable and that defendants took
    reasonable measures to protect their patrons. The trial court
    also granted summary disposition for defendants on plaintiff’s
    handicapper discrimination claim, holding that defendants
    provided plaintiff with full and equal utilization of the
    facilities.
    The Court of Appeals affirmed in an unpublished per
    curiam decision.7    As an initial matter, the Court of Appeals
    noted that both the parties and the trial court had failed to
    recognize that because Cellar Door was not the owner of the
    premises, it could not have been negligent under a premises
    liability theory.8     By implication, the Court also held that
    Cellar Door could not have violated plaintiff’s rights under
    the MHCRA.     With regard to Pine Knob, the Court of Appeals
    held that it owed no duty to protect plaintiff because it was
    unforeseeable as a matter of law that the crowd would throw
    sod at plaintiff during the concert.      In that respect, the
    Court of Appeals found that the instant case was factually
    distinguishable from MacDonald because (1) unlike MacDonald,
    in the instant case there was no evidence whatsoever that
    defendants had formulated a specific policy to deal with sod
    throwing incidents, (2) the sod throwing incident in this case
    7
    Issued June 8, 1999 (Docket No. 206875).
    8
    Plaintiff does not challenge this aspect of the Court of
    Appeals decision.    Accordingly, we deem plaintiff to have
    abandoned his claims against Cellar Door.
    7
    occurred           before    the   incident      in   MacDonald,       and    (3)     in
    MacDonald,           the    plaintiff     was    injured      during    the    second
    occurrence of sod throwing during the same concert, whereas in
    this case, there were no incidents of sod throwing during the
    prior evening’s performance that involved the same bands. The
    Court of Appeals also held that Pine Knob fully accommodated
    plaintiff’s disability.
    One        panel    member    dissented       in   part,    arguing         that
    “[a]lthough plaintiff did not present evidence regarding the
    number of previous sod throwing incidents or the dates and
    circumstances              surrounding      those      previous        occurrences,
    plaintiff nonetheless established the existence of a genuine
    issue        of    material    fact      with   respect    to   whether       the    sod
    throwing incident at issue in this case was foreseeable.” The
    dissent further suggested that the reasonableness of Pine
    Knob’s conduct with respect to protecting the patrons with
    disabilities from injuries should have been submitted to a
    jury.
    This Court granted plaintiff’s application for leave to
    appeal.9
    III. STANDARD     OF REVIEW
    We review de novo a trial court’s decision to grant or
    deny summary disposition.                 The Herald Co v Bay City, 
    463 Mich. 111
    ,        117;    614     NW2d   873    (2000).      A   motion      for    summary
    disposition under MCR 2.116(C)(8) tests the legal sufficiency
    of   the          complaint    and    allows     consideration      of    only       the
    9
    
    461 Mich. 987
     (2000).
    8
    pleadings.    Wade v Dep’t of Corrections, 
    439 Mich. 158
    , 162;
    483 NW2d 26 (1992).        The motion should be granted only when
    the claim is so clearly unenforceable as a matter of law that
    no factual development could possibly justify a right of
    recovery.    Id. at 163.
    A motion for summary disposition pursuant to MCR 2.116
    (C)(10) tests the factual support of a claim.                   Smith v Globe
    Life Ins Co, 
    460 Mich. 446
    , 454; 597 NW2d 28 (1999).                            The
    motion should be granted if the evidence demonstrates that no
    genuine issue of material fact exists, and that the moving
    party is entitled to judgment as a matter of law.                 Id. at 454­
    455, quoting Quinto v Cross & Peters Co, 
    451 Mich. 358
    , 362­
    363; 547 NW2d 314 (1996).
    IV. THE    DUTIES OF A MERCHANT
    We recognized in Mason the general rule that merchants
    "do   not    have   a    duty      to   protect       their    invitees    from
    unreasonable risks that are unforeseeable."                      Id. at 398.
    Accordingly, we held that a duty arises only on behalf of
    those invitees that are "‘readily identifiable as [being]
    foreseeably endangered.’" Id., quoting Murdock v Higgins, 
    454 Mich. 46
    , 58; 559 NW2d 639 (1997).               We further held that the
    measures taken must be reasonable.                Mason at 405.          In the
    instant cases, we are called upon to further clarify the duty
    that we articulated in Mason.
    Mason and its companion case, Goodman v Fortner, both
    involved altercations that began in bars.                   In Mason, one of
    the   plaintiff’s       friends,     Dan     Kanka,   was     involved    in    an
    altercation with another man, Thomas Geoffrey.                  The plaintiff
    9
    was in a different area of the bar when the fight began, and
    only witnessed its conclusion. The bar’s bouncers immediately
    ejected Geoffrey and, in an attempt to avoid more conflict,
    instructed Kanka to remain until Geoffrey left the premises.
    When the plaintiff left the bar some time later, Geoffrey
    assaulted him in the parking lot, breaking his nose and jaw.
    Id. at 393-394.    We upheld the dismissal of the plaintiff’s
    resulting premises liability claim on the ground that, because
    the plaintiff was not near the area where the initial fight
    occurred   (and   the    defendant            had   no    knowledge   that       the
    plaintiff was associated with either Kanka or Geoffrey), the
    defendant had no reason to believe that the plaintiff was in
    danger.    Even   viewed       in   a    light      most    favorable       to   the
    plaintiff, we held that the facts did not support a finding
    that the attack on the plaintiff was foreseeable. Id. at 404.
    In Goodman, the plaintiff’s girlfriend, Theresa Woods,
    was involved in a bar room scuffle with the plaintiff’s former
    girlfriend and mother of his child, Joslynn Lewis.                    The fight
    continued in the parking lot and then moved back inside the
    bar, with two of Lewis’ relatives joining the fray.                     Despite
    repeated   requests     that    they      call      the    police,    the    bar’s
    bouncers refused, although they did remove Lewis and her group
    from the bar. When the plaintiff and Woods attempted to leave
    the bar, Lewis and her friends were waiting out in the parking
    lot, yelling at the plaintiff and threatening to kill him.
    There was evidence that the bouncers standing at the door
    could undoubtedly hear the commotion.                    One of Lewis’ friends
    eventually shot the plaintiff in the chest.                    Id. at 395-396.
    10
    We upheld a jury verdict in the plaintiff’s favor on the
    ground that a reasonable jury could find that the harm to the
    plaintiff was foreseeable.            We also held that a reasonable
    jury could find that the defendant did not take reasonable
    steps to prevent the plaintiff’s injury.              Id. at 404-405.
    As we made clear in Williams and Scott, a merchant has no
    obligation generally to anticipate and prevent criminal acts
    against its invitees.        Indeed, as the Court of Appeals panel
    in   Lowry    correctly     noted,    we    have    never   recognized   as
    "foreseeable" a criminal act that did not, as in Goodman,
    arise      from   a   situation    occurring   on    the    premises   under
    circumstances that would cause a person to recognize a risk of
    imminent and foreseeable harm to an identifiable invitee.
    Consequently, a merchant’s only duty is to respond reasonably
    to such a situation.              To hold otherwise would mean that
    merchants have an obligation to provide what amounts to police
    protection, a proposition that we soundly rejected in both
    Williams and Scott.10         To the extent that, in Goodman, we
    relied upon evidence of previous shootings at the bar in
    assessing whether a reasonable jury could find that the
    Goodman plaintiff’s injury was foreseeable, we now disavow
    that analysis as being flatly inconsistent with Williams and
    Scott.
    10
    Mason cited § 344 of 2 Restatement of Torts, 2nd, and
    comment f to § 344, which indicate that a merchant has a duty
    to take precautions against the criminal conduct of third
    persons that may be reasonably anticipated. We overrule that
    portion of Mason as conflicting with Williams and Scott.
    11
    A   premises   owner’s   duty    is    limited   to    responding
    reasonably to situations occurring on the premises because, as
    a matter of public policy, we should not expect invitors to
    assume that others will disobey the law.              A merchant can
    assume that patrons will obey the criminal law.            See People v
    Stone, 
    463 Mich. 558
    , 565; 621 NW2d 702 (2001), citing Prosser
    & Keeton, Torts (5th ed) § 33, p 201; Robinson v Detroit, 
    462 Mich. 439
    , 457; 613 NW2d 307 (2000); Buzckowski v McKay, 
    441 Mich. 96
    , 108, n 16; 490 NW2d 330 (1992); Placek v Sterling
    Hts, 
    405 Mich. 638
    , 673, n 18; 275 NW2d 511 (1979).                This
    assumption should continue until a specific situation occurs
    on the premises that would cause a reasonable person to
    recognize a risk of imminent harm to an identifiable invitee.
    It is only a present situation on the premises, not any past
    incidents, that creates a duty to respond.
    Subjecting a merchant to liability solely on the basis of
    a foreseeability analysis is misbegotten.          Because criminal
    activity is irrational and unpredictable, it is in this sense
    invariably foreseeable everywhere.         However, even police, who
    are specially trained and equipped to anticipate and deal with
    crime, are unfortunately unable universally to prevent it.
    This is a testament to the arbitrary nature of crime.            Given
    these realities, it is unjustifiable to make merchants, who
    not only have much less experience than the police in dealing
    with criminal activity but are also without a community
    deputation to do so, effectively vicariously liable for the
    criminal acts of third parties.
    12
    Having established that a merchant’s duty is to respond
    reasonably to criminal acts occurring on the premises, the
    next question is what is a reasonable response?            Ordinarily,
    this would be a question for the factfinder. However, in cases
    in which overriding public policy concerns arise, this Court
    may determine what constitutes reasonable care. See Williams,
    supra at 501, citing Moning v Alfono, 
    400 Mich. 425
    , 438; 254
    NW2d 759 (1977).         Because such overriding public policy
    concerns    exist   in   the   instant      cases,   the   question   of
    reasonable care is one that we will determine as a matter of
    law.    Williams, supra at 501.          We now make clear that, as a
    matter of law, fulfilling the duty to respond requires only
    that a merchant make reasonable efforts to contact the police.
    We believe this limitation is consistent with the public
    policy concerns discussed in Williams.
    In Williams, supra, the plaintiff was shopping in the
    defendant’s store when an armed robbery occurred.               As the
    plaintiff, a store patron, attempted to flee, the robber shot
    him. The plaintiff sued the defendant store, alleging that it
    breached its duty to exercise reasonable care in part by not
    providing armed and visible security guards for the security
    of the store’s patrons.        Id. at 497.     This Court held that a
    merchant’s duty of reasonable care does not include providing
    armed, visible security guards to deter criminal acts of third
    parties.   Id. at 501.    We reasoned that such a duty is vested
    in the government alone, and that to shift the burden to the
    private sector "would amount to advocating that members of the
    public resort to self-help.        Such a proposition contravenes
    13
    public policy."      Id. at 503-504.       We further explained that
    [t]o require defendant to provide armed, visible
    security guards to protect invitees from criminal
    acts in a place of business open to the general
    public would require defendant to provide a safer
    environment on its premises than its invitees would
    encounter in the community at large.      Defendant
    simply does not have that degree of control and is
    not an insurer of the safety of its invitees. [Id.
    at 502.]
    The rationale of this Court in Williams for not requiring
    merchants to provide security guards to protect invitees from
    the criminal acts of third parties is the same rationale for
    not imposing on merchants any greater obligation than to
    reasonably expedite the involvement of the police.                  That is,
    the   duty   to   provide   police    protection     is    vested    in   the
    government. Williams, supra at 501. To require a merchant to
    do    more   than   take    reasonable     efforts    to    expedite      the
    involvement of the police,        would essentially result in the
    duty to provide police protection, a concept that was rejected
    in Williams.11      Merchants do not have effective control over
    situations    involving     spontaneous     and   sudden    incidents      of
    criminal activity. On the contrary, control is precisely what
    has been lost in such a situation.12               Thus, to impose an
    obligation on the merchant to do more than take reasonable
    efforts to contact the police is at odds with the public
    policy principles of Williams.
    11
    A merchant may voluntarily do more than reasonably
    attempt to notify the police. However, we hold today, that a
    merchant is under no legal obligation to do so.
    12
    In most instances, other than merely being the owner of
    the business being victimized, the merchant and invitee will
    be situated in roughly the same position in terms of their
    vulnerability to the violent criminal predator.
    14
    In Scott, supra at 452, we expanded on this theme by
    holding that, even where a merchant voluntarily takes safety
    precautions in an effort to prevent criminal activity, "[s]uit
    may not be maintained on the theory that the safety measures
    are less effective than they could or should have been."
    Consequently, in any case in which a factfinder, be it the
    trial court or a jury, will be assessing the reasonableness of
    the   measures   taken   by    a   merchant    in       responding    to   an
    occurrence on the premises, a plaintiff may not present
    evidence   concerning    the   presence   or    absence       of    security
    personnel, or the failure to otherwise resort to self-help, as
    a basis for establishing a breach of the merchant’s duty.                   A
    jury thus must be specifically instructed in accordance with
    the principles of Williams and Scott as we have outlined them
    here.
    To summarize, under Mason, generally merchants "have a
    duty to use reasonable care to protect their identifiable
    invitees from the foreseeable criminal acts of third parties."
    Id. at 405.   The duty is triggered by specific acts occurring
    on the premises that pose a risk of imminent and foreseeable
    harm to an identifiable invitee.              Whether an invitee is
    readily identifiable as being foreseeably endangered is a
    question for the factfinder if reasonable minds could differ
    on this point.     See id. at 404-405.          While a merchant is
    required to take reasonable measures in response to an ongoing
    situation that is taking place on the premises, there is no
    obligation to otherwise anticipate the criminal acts of third
    parties.      Consistent   with     Williams,       a    merchant    is    not
    15
    obligated to do anything more than reasonably expedite the
    involvement of the police.        We also reaffirm that a merchant
    is not required to provide security guards or otherwise resort
    to self help in order to deter or quell such occurrences.
    Williams, supra.
    V.    APPLICATION
    A.    MACDONALD
    The Court of Appeals in MacDonald held that plaintiff
    presented sufficient evidence to create a genuine issue of
    material   fact   concerning      whether      the   harm   to    her    was
    foreseeable.      We    agree    that    plaintiff    created      a    jury­
    submissible    issue     concerning      whether     she    was    readily
    identifiable as being foreseeably endangered once the sod
    throwing began.        However, we reject the Court of Appeals
    reliance on incidents previous to the day in question as a
    basis for concluding that sod throwing was “foreseeable” in
    this instance.     The Mason duty, as clarified here, is not
    based upon the general question whether a criminal act was
    foreseeable, but, rather, once a disturbance occurs on the
    premises, whether a reasonable person would recognize a risk
    of imminent harm to an identifiable invitee.                As stated, a
    merchant has no obligation to anticipate the criminal acts of
    third parties.
    The Court of Appeals also held that a genuine issue of
    material   fact   exists   concerning       whether    Pine      Knob    took
    reasonable measures in response to the sod throwing.                       We
    disagree. Because Pine Knob already had the police present at
    the concert, Pine Knob fully discharged its duty to respond.
    16
    Thus, we reverse the Court of Appeals decision denying Pine
    Knob’s motion for summary disposition and reinstate the trial
    court’s decision to grant summary disposition for Pine Knob
    pursuant to MCR 2.116(C)(8) and (10).
    We also reverse the Court of Appeals decision that the
    trial court abused its discretion in denying plaintiff’s
    motion   to   amend   her   complaint    to   add   certain   theories
    including design defect, nuisance, and third-party beneficiary
    claims and to more specifically set forth her negligence
    claim. We conclude that plaintiff’s amendment would have been
    futile.
    B.    LOWRY
    In contrast with MacDonald, the Court of Appeals panel in
    Lowry relied solely on the absence of evidence concerning
    previous incidents of sod throwing to uphold the trial court’s
    decision granting summary disposition for Pine Knob. This too
    was error.    Whether Pine Knob could have anticipated that sod
    throwing would be a problem does not answer the legally
    relevant question whether plaintiff Lowry was foreseeably
    endangered once sod throwing began on the day of plaintiff’s
    attendance. However, in accordance with this opinion, because
    Pine Knob already had the police at the concert, we hold that
    Pine Knob had no further obligation. Pine Knob discharged its
    duty to respond by having police present once the sod throwing
    began. Thus, we affirm the Court of Appeals affirmance of the
    trial court’s decision to grant summary disposition in favor
    of Pine Knob.   We also affirm the Court of Appeals decision to
    uphold summary disposition in Pine Knob’s favor on plaintiff’s
    17
    handicapper discrimination claim.            We agree that Pine Knob
    fully accommodated plaintiff’s disability.
    VI. RESPONSE   TO THE   DISSENT
    The dissent accuses us of “uproot[ing] the entire basis
    for imposing a duty on merchants to protect their invitees
    that we expressed in Mason . . . .”             Slip op, pp 4-5.     We
    disagree.
    The principal difference between the dissent and the
    majority lies in our respective attempts to reconcile our
    several   premises   liability      cases    and   the   policies   that
    undergird them.      The dissent seeks in effect to limit or
    ignore the holdings of Williams and Scott. The majority
    refuses to do so.
    In its effort to explain away the tort duty policy
    choices this Court adopted in Williams and Scott, the dissent
    reads into Mason rationales and holdings the dissent would
    have liked Mason to have adopted but which that opinion
    plainly did not embrace.
    We believe that the actual policy rationales of Williams
    and Scott must be reconciled with the merchant’s duty set
    forth in Mason.       In reconciling these cases, we seek to
    establish a clear rule.    We reject the premises liability rule
    that the dissent proposes because (1) it provides little
    guidance to any premises owner concerning its obligations
    under law and (2) despite its claims to the contrary, the
    dissent’s rule would unfairly expose merchants in high-crime
    areas to excessive tort liability and increase the pressure on
    18
    commercial enterprises to remove themselves from our troubled
    urban and high-crime communities.   Mason undeniably cites
    2 Restatement Torts, 2d, § 344, and comment f.13   However, in
    quoting that section and comment of the restatement, the Mason
    majority did not “recognize” the imposition of a duty on a
    merchant to protect its invitees from criminal conduct of
    third parties as being “contingent upon whether the character
    of his business, or past experience . . . gives the merchant
    knowledge or reason to know that those acts may occur again.”
    Slip op, p 4.   Other than in the text of the restatement, the
    “character of the merchant’s business” is not even discussed
    13
    The dissent cannot seriously suggest that the mere
    quotation of comment f of the Restatement in Mason constituted
    an adoption of it.     Comment f explicitly provided that a
    premises owner’s duty encompasses the responsibility to
    "provide a reasonably sufficient number of servants to afford
    a reasonable protection" against the criminal acts of third
    parties.    This proposition was flatly rejected in both
    Williams and Scott. See Williams at 502-503 and Scott, supra.
    Nevertheless, “this Court is not, nor is any other court,
    bound to follow any of the rules set out in the Restatement.”
    Rowe v Montgomery Ward, 
    437 Mich. 627
    , 652; 473 NW2d 268
    (1991).    “[T]he application of a common-law rule to a
    particular set of facts does not turn on whether those facts
    can be characterized in the language of the Restatement.”
    Smith v Allendale Mutual Ins Co, 
    410 Mich. 685
    , 712-13; 303
    NW2d 702 (1981). While the drafters of the Restatements “may
    sometimes strive to choose ‘the better rule’ or to predict or
    shape the development of the law, its influence depends upon
    its persuasiveness.” Id. at 713 (emphasis added).
    Even where a particular Restatement section
    has received specific judicial endorsement, cases
    where that section is invoked must be decided by
    reference to the policies and precedents underlying
    the rule restated.       Textual analysis of the
    Restatement is useful only to the extent that it
    illuminates these fundamental considerations. [Id.
    (emphasis added).]
    Further, our rejection of § 344, and comment f, is consistent
    with the overriding public policy concerns discussed in this
    opinion.
    19
    in Mason.    Nor did we “implicitly note” in Mason that a
    careful consideration of the facts in each case, namely, the
    nature of the harm, etc., is essential in determining whether
    a § 344 analysis is justified.          Thus, the dissent ingeniously
    injects concepts into Mason that clearly were not adopted by
    the Mason court.
    The dissent attempts to distinguish Williams from Mason
    and the instant cases by explaining that Williams involved
    "random crime” "unrelated to the character of the merchant’s
    business", slip op, p 8, and asserting that the sod-throwing
    incidents   in   these   cases   were     “related”   to   Pine   Knob’s
    business because the nature of the harm was created by the
    “character” of its business.             We do not agree with the
    dissent’s focus on the “randomness” or spontaneity of a
    criminal act as being a relevant factor in determining whether
    an occurrence was foreseeable. The key inquiry is not whether
    the criminal act was "random," but rather whether, as stated
    in Mason, the merchant has reason to recognize a risk of
    imminent harm to an identifiable invitee.             In Williams, the
    merchant had no reason to expect the criminal attack.                 In
    Mason, we distinguished Williams and Scott by explaining that
    in Williams and Scott "[t]he merchants had had no previous
    contact with the assailants and could not have determined that
    the plaintiffs were in danger."           Mason, supra at 402.       The
    rule set forth in this opinion is thus consistent with Mason
    as well as Williams and Scott:             A merchant should not be
    20
    expected to anticipate any type of criminal activity, whether
    "random" or otherwise, before there is some specific activity
    on the premises creating a foreseeable risk of imminent harm
    to an identifiable invitee.14               The merchant then must make
    efforts      to    notify    those     deputized   to   deal       with   such
    circumstances: the police.
    Moreover, none should be mistaken that the test of
    “relatedness” proposed by the dissent would apply, if not now,
    then very soon, to virtually all criminal acts in commercial
    establishments. It cannot be questioned that there can always
    be,   given       crime’s   unfortunate     pervasiveness,     a    plausible
    argument      that    the   criminal    being   drawn   to   the     business
    enterprise at all makes it “related” in such a way as to
    trigger liability.15         Surely after one crime has occurred on
    the premises, or even in a similar business, with the criminal
    14
    Mason distinguished Williams by analyzing the merchant's
    ability to foresee imminent harm, i.e., awareness of a
    situation. However, as articulated in this opinion, we would
    not go so far as to consider specific prior incidents, as that
    would conflict with the general proposition in Williams and
    Scott that merchants are “ordinarily” not legally responsible
    to patrons and others on their premises for the criminal acts
    of third parties, as well as the premise that a merchant can
    assume that others will obey the criminal law until they
    actually do otherwise. See slip op, pp 11-13.
    15
    The “relatedness” test proposed by the dissent states:
    If the nature of the harm is random and
    spontaneous, and thus unrelated to the character of
    the merchant’s business, the merchant cannot be
    expected to foresee its occurrence, and reference
    to prior similar occurrences is not justified. If
    the nature of the harm was created by the character
    of the merchant’s business, reference to prior
    similar occurrences is justified because a merchant
    can be expected to foresee such harm happening
    again, in light of his prior experience with such
    acts. Slip op, p 8.
    21
    having been arguably drawn to that business, the “relatedness”
    test will be met.            Indeed, probably even more attenuated
    linkages (the crime rate in the area comes to mind) will
    suffice, as the law develops, to establish “relatedness.”
    This will all mean, and it was this the Williams and Scott
    courts understood, that urban merchants will be exposed to
    crippling tort liability.
    Thus, the dissent’s rule would have its most pernicious
    and devastating effect on the many commercial businesses that
    are   located      in    Michigan’s    urban   and   high-crime    areas.
    Avoiding this kind of adverse effect was one of the Court’s
    primary concerns when it adopted the Williams and Scott
    principles.16
    It simply cannot be gainsaid that businesses in
    urban and high-crime areas do foresee that criminals may
    attack     their        establishments—opportunistically      or     with
    premeditation.          Indeed, the fact that many businesses in our
    16
    Imposing liability on the business owner, poses the
    threat that businesses may move away from high crime areas.
    See Homant & Kennedy, Landholder Responsibility for Third
    Party Crimes in Michigan: An Analysis of Underlying Legal
    Values, 27 U Tol L Rev 115, 147 (1995). See also McNeal v
    Henry, 
    82 Mich. App. 88
    , 90, n 1; 266 NW2d 469 (1978), stating:
    In the majority of urban communities, both
    large and small businesses could not bear the heavy
    insurance burden which would be required to protect
    against this extraordinary kind of liability. Some
    of our big cities have more than their share of
    destructive and violent persons, young and old, who
    roam through downtown department stores and other
    small retail businesses stealing and physically
    abusing legitimate patrons. Guards are placed in
    the stores but those activities continue. We fear
    that to hold businessmen liable for the clearly
    unforeseeable third-party torts and crimes incident
    to these activities would eventually drive them out
    of business.
    22
    urban and high-crime areas erect barriers to protect their
    employees is ample proof that they actually anticipate crime
    occurring in their establishments.              Plainly stated, their
    precautions give proof that they understand that criminal acts
    in their establishments are not “random” as the dissent would
    understand it, but rather are foreseeable risks related to the
    business.
    For these policy reasons, we, as the courts before us,
    decline to adopt the dissent’s proposed rule.
    VII. CONCLUSION
    Consistent with our decisions in Williams, Scott, and
    Mason, we conclude that merchants have a duty to respond
    reasonably to situations occurring on the premises that pose
    a risk of imminent and foreseeable harm to identifiable
    invitees.     We hold that the duty to respond is limited to
    reasonably expediting the involvement of the police, and that
    there is no duty to otherwise anticipate the criminal acts of
    third parties.     Finally, we reaffirm that merchants are not
    required to provide security personnel or otherwise resort to
    self-help in order to deter or quell such occurrences.
    In MacDonald, we reverse the Court of Appeals decision
    denying summary disposition.         In Lowry, the decision of the
    Court of Appeals to grant summary disposition for Pine Knob is
    affirmed.
    CORRIGAN ,   C.J.,   and   WEAVER ,   TAYLOR ,   and   MARKMAN ,   JJ.,
    concurred with YOUNG , J.
    23
    S T A T E     O F   M I C H I G A N
    SUPREME COURT
    MOLLY MACDONALD,
    Plaintiff-Appellee,
    v                                                             No. 114039
    PKT, INC, known as PINE KNOB MUSIC
    THEATER, and ARENA ASSOCIATES,
    jointly and severally,
    Defendants-Appellants,
    and
    CAPITAL CITIES/ABC, INC,
    Defendant.
    ________________________________
    STEPHEN L. LOWRY,
    Plaintiff-Appellant,
    v                                                             No. 115322
    CELLAR DOOR PRODUCTIONS OF MICHIGAN,
    INC, a Michigan corporation, and
    ARENA ASSOCIATES INC, d/b/a PINE
    KNOB MUSIC THEATER, jointly and
    severally,
    Defendants-Appellees.
    ________________________________
    CAVANAGH, J. (dissenting).
    The majority holds that under Mason v Royal Dequindre,
    Inc, 
    455 Mich. 391
    ; 566 NW2d 199 (1997), a merchant has a duty
    to “respond reasonably to situations occurring on the premises
    that   pose   a   risk   of    imminent     and    foreseeable     harm   to
    identifiable      invitees,”    and   the   duty    to   respond   entails
    nothing more than the merchant’s attempt to contact the
    police.      Slip op at 2.   This artful formulation of the Mason
    duty removes any inquiry into prior similar occurrences as
    part    of     the    foreseeability        analysis,   reducing   the
    foreseeability question to whether a merchant should have
    known that an ongoing occurrence on the premises could have
    harmed an identifiable invitee.         Because the majority created
    this formulation of the Mason duty with brazen disregard for
    the principles that created it, I respectfully dissent.
    I
    In Mason, we had to determine whether merchants have a
    common-law duty to protect their patrons from criminal acts of
    third parties.        To resolve this question, we examined the
    rationale behind imposing a duty on a person to protect
    another      person   endangered   by   a    third   party’s   conduct.
    Generally, a person has no duty to protect another person
    endangered by a third party’s conduct unless there is a
    special relationship between those persons.             The reason for
    this exception to the general no-duty rule when a special
    relationship is present is based on control. As we explained,
    “In each situation one person entrusts himself to the control
    and protection of another, with a consequent loss of control
    to protect himself.       The duty to protect is imposed upon the
    person in control because he is best able to provide a place
    of safety.”      Mason at 398.     Thus, while merchants are not
    insurer’s of their invitees’ safety, we recognized that courts
    will impose a duty on a merchant to protect its invitees, like
    the duty imposed when a special relationship is present, when
    they    are    “readily   identifiable       as   [being]   foreseeably
    2
    endangered.”    Id. at 398, quoting Murdock v Higgins, 
    454 Mich. 46
    , 58; 559 NW2d 639 (1997).
    After exploring the basis for imposing a duty on a
    merchant to protect its invitees, we explained that these same
    principles are embodied in 2 Restatement Torts, 2d, § 344,
    pp   224-225,   and   comment   f   to   §   344,   pp   225-226.   The
    Restatement further explains how control and foreseeability
    govern a landowner’s liability to its invitees. Section 344
    provides:
    A possessor of land who holds it open to the
    public for entry for his business purposes is
    subject to liability to members of the public while
    they are upon the land for such a purpose, for
    physical harm caused by the accidental, negligent,
    or intentionally harmful acts of third persons or
    animals, and by the failure of the possessor to
    exercise reasonable care to
    (a) discover that such acts are being done or
    are likely to be done, or
    (b) give a warning adequate to enable the
    visitors to avoid the harm, or otherwise to protect
    them against it.
    Comment f to § 344 states:
    Since the possessor is not an insurer of the
    visitor’s safety, he is ordinarily under no duty to
    exercise any care until he knows or has reason to
    know that the acts of the third person are
    occurring, or are about to occur. He may, however,
    know or have reason to know, from past experience,
    that there is a likelihood of conduct on the part
    of third persons in general which is likely to
    endanger the safety of the visitor, even though he
    has no reason to expect it on the part of any
    particular individual. If the place or character
    of his business, or his past experience, is such
    that he should reasonably anticipate careless or
    criminal conduct on the part of third persons,
    either generally or at some particular time, he may
    be under a duty to take precautions against it, and
    to provide a reasonably sufficient number of
    servants to afford a reasonable protection.
    3
    In quoting § 344 and comment f, we recognized that the
    imposition of a duty on a merchant to protect its invitees
    from criminal conduct of third parties is contingent upon
    whether the character of his business, or past experience
    either in general or at a specific time, gives the merchant
    knowledge or reason to know that those acts may occur again.
    As noted in the quoted sections of the Restatement, this
    analysis includes a consideration of whether such acts had
    occurred in the past.
    Following these premises liability principles, we held
    that “merchants can be liable in tort for failing to take
    reasonable measures to protect their invitees from harm caused
    by the criminal acts of third parties.         The harm must be
    foreseeable to an identifiable invitee and preventable by the
    exercise of reasonable care.”         Id. at 393.   Clearly, our
    holding in Mason was premised on tort principles that require
    a look into the character of the merchant’s business and prior
    similar   occurrences    to   determine   whether   the   harm   is
    foreseeable.
    The majority introduces a version of the Mason duty that
    ignores the basis of our holding in Mason and instead holds
    that under Mason, a merchant has a duty to respond to ongoing
    frays on the premises, and the duty is only to make an effort
    to contact the police.    This formulation essentially uproots
    the entire basis for imposing a duty on merchants to protect
    their invitees that we expressed in Mason by extinguishing the
    consideration of the character of the merchant’s business and
    prior similar occurrences when deciding if the harm was
    4
    foreseeable.    Instead, the majority limits the foreseeability
    question to whether this particular fray would have harmed
    this particular plaintiff, without citing any legal support
    for its decision to alter the duty.
    In reformulating the Mason duty, the majority overrules
    Mason to the extent that it relied on § 344 and comment f of
    the Restatement which clearly refutes the majority’s clarified
    version of the Mason duty.       Slip op at 13, n 10.    The reason
    the majority states for overruling this part of Mason is that
    § 344 and comment f are contrary to our holding in Williams v
    Cunningham Drug Stores, Inc, 
    429 Mich. 495
    ; 418 NW2d 381
    (1988).   In    Williams,   we   stated   that   merchants   are   not
    ordinarily responsible for criminal acts of third parties
    because it is against public policy to require a merchant to
    anticipate crime in the community that may harm its invitees.
    The majority claims that the only way to reconcile Williams
    with the Mason holding that a merchant may be liable when the
    criminal act that harmed its invitee was foreseeable is to say
    that a merchant only has a duty to “respond reasonably to such
    a situation.”     Slip op at 12-13. Furthermore, the majority
    concludes that the duty entails only making an effort to
    contact the police because Williams prevents the imposition of
    any further act.    The majority fails to recognize, however,
    that a new formulation of the Mason duty is not necessary in
    light of Williams because we       distinguished Williams when we
    decided Mason.
    According to the majority, Williams closed the door to
    applying § 344 when deciding whether a merchant has a duty to
    5
    protect its invitees from criminal acts because merchants
    cannot    anticipate      crime.       A     close    reading       of   Williams,
    however, reveals that is not true. In Williams, we recognized
    § 344, but refused to apply it to the facts because the nature
    of the harm, random crime in the community unrelated to the
    merchant’s business, presented the merchant with no degree of
    control over its prevention.               Williams at 501, n 15.             Thus,
    contrary     to   the    majority’s        assertion,     we    recognized         in
    Williams that application of § 344 depends on the facts of a
    case, i.e., the nature of the harm and degree of control a
    merchant had in each case.
    In Mason, we discussed the Williams’ decision and cited
    Justice Levin’s dissent in Alexander v American Multi-Cinema,
    
    450 Mich. 877
    ;      540     NW2d   674     (1995),     as       support     for
    distinguishing the Williams holding.                  Mason at 401-402, n 5.
    In Alexander, a theater patron was injured in a scuffle with
    another patron who was standing in line for a late night show.
    Justice Levin dissented from the majority’s decision to deny
    leave,    stating      that    he   would     grant    leave    to       discuss    a
    merchant’s duty to protect its invitees from the criminal acts
    of third parties.             Quoting § 344, Justice Levin explained
    that, although no invitor is automatically liable for criminal
    acts of third parties on the invitor’s property, an invitor
    has   a   duty    to    act    reasonably      to    protect    invitees       from
    foreseeable hazards. Alexander at 879-880.                      Distinguishing
    Williams on its facts, Justice Levin explained that the
    merchant     in   Williams       was   not    faced     with    a    foreseeable
    altercation because the merchant had no control over the
    6
    random,   spontaneous      nature     of    the    harm.     Thus,     Williams
    addressed “the random assault bearing no relation to the
    merchant’s     business,   and   did       not    address    the   merchant’s
    liability for risks created by the merchant’s business.”                     Id.
    at 882.       Noting that this distinction is relevant, Justice
    Levin stated that although we have held that “a merchant is
    not ordinarily required to protect customers from the criminal
    acts of third persons, . . . [i]f one assumes that a situation
    created by the defendant will be classified as extraordinary,
    the distinction then becomes relevant.”              Id. at 881 (emphasis
    added).   Thus, if the merchant created the situation that led
    to the harm, the situation can be treated as extraordinary and
    a merchant can be liable for the criminal acts that harmed its
    patrons, if the acts were foreseeable. Justice Levin noted
    that the facts in Alexander created such an extraordinary
    situation because the scuffle between the patrons waiting in
    line “was foreseeable in light of the owner’s considerable
    experience with crowd control in general, and handling and
    organizing the pretheater crowd in particular.”                    Id.
    Contrary to the majority’s assertion that the Mason
    holding is inconsistent with Williams, in Mason we recognized
    Justice   Levin’s      dissent   in    Alexander      as     the    method    to
    distinguish the Williams holding and created a duty based on
    § 344 that essentially focused on the nature of the harm, the
    foreseeability of the harm, and the control a merchant has
    over    the    harm.     We   implicitly          noted     that   a      careful
    consideration of the facts in each case is essential to
    determine whether a § 344 analysis is justified.                          If the
    7
    nature      of   the    harm   is      random   and   spontaneous,        and   thus
    unrelated to the character of the merchant’s business, the
    merchant cannot be expected to foresee its occurrence, and
    reference to prior similar occurrences is not justified.                          If
    the nature of the harm was created by the character of the
    merchant’s business, reference to prior similar occurrences is
    justified because a merchant can be expected to foresee such
    harm happening again, in light of his prior experience with
    such acts.       Accordingly, we concluded that “merchants have a
    duty to use reasonable care to protect their identifiable
    invitees from the foreseeable criminal acts of third parties.”
    Mason at 405.           Our decision in Mason was therefore clearly
    based on a careful consideration of the common-law tort
    principles of control and foreseeability, as articulated in
    § 344, and how they coexist with the holding in Williams.
    Thus, clarification of the Mason duty is not necessary, as
    that   decision         clearly     acknowledged       how   the    control      and
    foreseeability origins of § 344 may apply to certain factual
    scenarios without violating our holding in Williams.
    II
    As    the       preceding       discussion     illustrates,        premises
    liability law contains many nuances that, without complete
    consideration, may appear inconsistent.                      The majority has
    seized on this apparent, but vacuous, inconsistency and held
    that   a    clarification         is    necessary     in   this    area    of   law.
    However, read closely, the principles have distinguishing
    characteristics that allow them to exist without conflict in
    three separate categories.
    8
    (1) Traditional Premises Liability
    Traditionally, a merchant has had a duty to protect its
    invitees from defects or dangerous conditions on the land of
    which the merchant knew or had reason to know.
    (2) Hybrid Premises Liability
    Under hybrid premises liability, a merchant has a duty to
    protect its invitees from activities involving actors on the
    premises of which a merchant knew or had reason to know.               The
    tricky   part,    however,    is   when   the   activity   consists     of
    criminal acts by third parties.           If the activity on the land
    is a criminal act, it must be determined whether the character
    of the merchant’s business and the nature of the act are of a
    sort that a merchant could be expected to anticipate.            If the
    nature of the criminal act is random, spontaneous, and thus
    unrelated to the merchant’s business and the invitee’s purpose
    for being there, the situation falls into category three,
    discussed below.        If, however, the nature of the criminal act
    is not random or spontaneous, and is related to the merchant’s
    business   and    the    invitee’s   purpose    on   the   premises,    as
    explained in Mason and Justice Levin’s dissenting opinion in
    Alexander, we resort to the control and foreseeability origins
    of § 344 to determine whether the merchant has a duty.                 See
    Prosser & Keeton, Torts (5th ed), § 61, p 428 (stating that a
    possessor of land is required to take action when he has
    reason to believe, from what he has observed or from past
    experience, that the conduct of others on the land will be
    dangerous to other invitees, but not when the landowner cannot
    anticipate the harm).
    9
    (3) The Exception To Hybrid Liability
    The exception to hybrid liability is when there is a
    criminal act by third parties on the premises, but the act is
    random and spontaneous, having no relation to the merchant’s
    business other than that it is a business, the merchant has no
    duty.     In the exception situation, the random, spontaneous
    nature of the act removes any degree of control a merchant has
    over the act occurring, thus making any application of the
    control and foreseeability origins of § 344 improper.                 See,
    e.g., Williams.
    III
    The facts of these cases must be examined to determine
    which of the three premises liability categories                  governs.
    Because the harm did not result from a physical defect on the
    premises,    the    act    does    not   fall   within   the    traditional
    premises liability category.             Rather, the harm resulted from
    activity on the land, potentially criminal in nature, which
    requires us to decide whether the nature of the act qualifies
    it as a hybrid or exception situation.                   The character of
    defendant Pine Knob’s business created the risk of harm to its
    invitees, by subjecting its patrons to view concerts in a
    venue where sod throwing had previously occurred.                  The sod
    throwing     in    these   cases    was,    therefore,    not    random   or
    spontaneous, was related to the invitee’s purpose on the
    premises, qualifying these cases under the hybrid category,
    and thus justifies         applying the control and foreseeability
    origins of § 344.
    Pine Knob charges its patrons to enter its forum to watch
    10
    concerts, where part of the seating area for patrons is a sod­
    covered hill. Once the patron sets foot inside the venue, he
    has entrusted himself to the control and protection of Pine
    Knob, and his ability to protect himself from activities that
    may occur on the premises diminishes.        Thus, contrary to the
    majority’s claim, Pine Knob has better control over the
    activities of patrons it has chosen to host than the patrons
    themselves.   The potentially criminal activity in these cases
    that occurred in this controlled environment was patrons
    ripping up sod from the hill and throwing it.          The question
    becomes whether this act arose from the character of Pine
    Knob’s business, or was random or spontaneous.         The majority
    has manipulated the class of activity at issue in this case,
    sod throwing, to be strictly criminal.            In so doing, the
    majority   ignores   the    fact    that   this   activity,   albeit
    potentially criminal,1 only occurred because of the nature of
    Pine Knob’s business.      In other words, a patron at Pine Knob
    would not be subjected to injury from such a concert activity
    like sod throwing if he were not present on Pine Knob’s
    premises; it is unique to Pine Knob’s business.        Because Pine
    Knob charged a fee for entry, subjected its patrons to seating
    on sod-covered ground, sod-throwing acts had occurred before,2
    and the harm suffered was a result of plaintiffs’ purpose on
    1
    The record indicates that some 100 sod-throwing patrons
    were ejected from the premises, pursuant to Pine Knob’s
    policy.
    2
    In Lowry, the sod throwing occurred once before at the
    same festival-type music concert, and in MacDonald it occurred
    twice in one night.
    11
    the premises and the nature of Pine Knob’s business, to watch
    concerts at such a venue, I would find this an “extraordinary”
    situation, unlike that in Williams.          These factors justify
    imposing a duty on Pine Knob.      Pine Knob not only created the
    risk of harm to its invitees, but it had reason to know that
    such sod throwing may occur again, on the basis of its prior
    experience with such activity.      This act is therefore unlike
    the    random,    spontaneous   criminal    act   that     occurred   in
    Williams, which had nothing to do with the nature of the store
    owner’s business, and the concerns of applying the control and
    foreseeability concepts do not arise.         It thus becomes clear
    that    the   majority’s    overstated     concern   for     subjecting
    merchants in high crime areas to increased liability is
    misplaced.       Random crimes in the community are unique to the
    community, not to the businesses present in that community.
    Hence, the initial analysis, as proposed by Justice Levin and
    further explained in § 344, focuses on whether the act that
    injured the patron is unique to the merchant’s business, not
    the location of the merchant’s business. If the act is unique
    to the merchant’s business, only then is it justifiable to say
    that the merchant has control over such acts and, thus, can
    foresee such future occurrences.        Thus, retaining the control
    and foreseeability origins of § 344 in this situation does not
    vitiate the Williams holding, and Pine Knob should be held
    liable if a jury finds that the sod throwing was a foreseeable
    act and Pine Knob failed to take reasonable measures to
    protect its invitees from such foreseeable harm.
    IV
    12
    Today the majority embarks on the unnecessary journey of
    clarifying the duty a merchant has to protect its invitees
    from criminal acts of third parties, as discussed in Mason.
    This clarification takes premises liability into an unfounded
    direction with far-reaching consequences.3 By eradicating the
    two   profound   tenets   behind    the   Mason   duty,   control   and
    foreseeability, the majority has created an unprecedented
    formulation of the duty providing that if the act that caused
    the harm could be charged as criminal, the merchant can never
    be liable if it attempts to contact the police.                Such a
    conclusion ignores an entire category of criminal acts that
    arise solely because of the character of the merchant’s
    3
    The following hypothetical example illustrates the
    fundamental problems with the majority’s reformulation.
    Defendant humane society allows persons interested in
    adopting animals to observe the animals through cages. There
    is a separate “dog wing” in which all the dogs are kept in
    individual cages.    Patrons on the premises interested in
    adopting a dog are allowed access to the dog wing. A patron
    who is visiting the dog wing gets increasingly passionate
    about the dogs being cooped up and breaks open each cage,
    setting the dogs free. The dogs become scared and attack a
    family who was there adopting their new pet. Unfortunately,
    one of the children is severely injured. The humane society
    is familiar with this “passionate patron” syndrome, and it in
    fact occurred the previous day, killing a patron. Luckily for
    the humane society, under the majority’s clarified Mason duty,
    this previous attack will not be considered, regardless of the
    number of times the attacks have happened, the humane
    society’s experience with controlling the animals on its
    premises, and the experience the humane society has with the
    harm caused by “passionate patrons.” Rather, in the midst of
    watching the dogs viciously attacking patrons, all the humane
    society must do to avoid liability to the injured patrons is
    to make the effort to call the police. Thus, even though the
    character of the business created the risk of harm, the humane
    society had past experience with such mishaps, and the degree
    of control the humane society has over its patrons was great,
    there is no duty to protect. I cannot agree that this is a
    proper formulation of the duty.
    13
    business and the invitee’s purpose on the premises.   Because
    this was clearly not intended when we created the Mason duty,
    I dissent.
    In accordance with the original, unclarified Mason duty,
    in both of the instant cases I would deny summary disposition
    so that a jury may determine (1) whether the sod throwing was
    foreseeable, (2) whether the plaintiffs were identifiable
    invitees, and (3) whether defendant Pine Knob took reasonable
    measures to protect its invitees from the harm.
    KELLY , J., concurred with CAVANAGH , J.
    14