Kivell v. Union Carbide Corp. ( 2018 )


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  •       IN THE SUPERIOR COURT OF THE STATE OF DELAWARE
    SANDRA KIVELL,                           )
    individually, and as Personal            )
    Representative of the Estate of          )
    Milton J. Kivell, deceased,              )
    )     C.A. No. N15C-07-093 ASB
    Plaintiff,                        )
    )
    v.                         )
    )
    UNION CARBIDE CORP. et al.,              )
    Defendants.
    Decided: May 1, 2018
    On Defendant’s Motion for Summary Judgment
    after reviewing additional evidence.
    GRANTED.
    ORDER
    This Court granted summary judgment on August 30, 2017 in favor of
    Defendant Union Carbide Corporation (“UCC”). The Court granted Defendant’s
    motion for summary judgment based on Louisiana case law including Western
    District of Louisiana’s decision in Roach v. Air Liquid America.
    On their Motion for Reargument, Plaintiff argued that UCC did not advance
    any of the evidentiary issues relied on by this Court in its motion for summary
    judgment, and thus waived the arguments concerning the presence of asbestos in the
    Taft facility.
    Plaintiff’s main argument on her Motion is that evidence, not available at the
    time of summary judgment, was discovered by Plaintiff’s counsel.                Plaintiff
    contends that the contracts, and subsequent documents produced by Kiewit contain
    evidence that this Court determined Plaintiff was missing on summary judgment.
    In granting a motion for reargument under Superior Court Civil Rule 59(e),
    the only issue is whether the Court overlooked something that would have changed
    the outcome of the underlying decision.1 The Court considered the documents as
    newly discovered evidence because it was evidence that the Court did not have and
    was not able to consider at the time of its decision. Plaintiff laid out his position in
    the initial Motion. Defendant responded to Plaintiff’s argument regarding the new
    evidence and Plaintiff has filed a reply.
    The Court may grant a motion for summary judgment made pursuant to
    Superior Court Civil Rule 56 where the movant can show from the pleadings,
    depositions, answers to interrogatories, and admissions on file, together with any
    affidavits, that no material issues of fact exist so that the movant is entitled judgment
    1
    Brenner v. Vill. Green, Inc., 
    2000 WL 972649
    , at *1 (Del. Super. May 23, 2000)
    aff'd, 
    763 A.2d 90
    (Del. 2000).
    2
    as a matter of law. In considering a motion for summary judgment, the Court views
    the evidence in the light most favorable to the nonmoving party.2
    In Plaintiff’s motion for reargument three facts are called into question upon
    which summary judgement was granted; that UCC exercised a degree control over
    its independent contractor and Mr. Kivell so as to impute vicarious liability to UCC,
    that the Taft facility contained asbestos sufficient to hold UCC directly liable, and
    that UCC can be held strictly liable based on the custody of asbestos Mr. Kivell
    encountered through his work at the UCC facility.
    Generally a principal is not liable for acts of an independent contractor in the
    performance of their contractual obligations.3 The two exceptions to this rule are 1)
    The independent Contractor is involved in “ultrahazardous” work, or 2) The
    principal is in direct control over the manner in which the independent contractor
    completes the work.4
    The determination of “ultrahazardous” activity has been held by the Supreme
    Court of Louisiana to include activities that can cause injury to others, “even when
    2
    Smith v. Advanced Auto Parts, Inc., 
    2013 WL 6920864
    , at *3 (Del. Super. Ct.
    Dec. 30, 2013);
    see Moore v. Sizemore, 
    405 A.2d 679
    , 680 (Del. 1979); Nutt v. A.C. & S., Inc., 
    517 A.2d 690
    , 692 (Del. Super. Ct. 1986); In re Asbestos Litigation (Helm), 
    2012 WL 3264925
    (Del. Aug. 13, 2012).
    3
    See Touchstone v. G.B.Q. Corp., 
    596 F. Supp. 805
    , 813-14 (E.D. La. 1984), citing
    Ewell v. Petro Processors of Louisiana, Inc., 
    364 So. 2d 604
    , 606 (La.App 1978)
    and Wallace v, Oceaneering Intern, 
    727 F.2d 427
    , 437 (5th Cir. 1984).
    4
    
    Id. 3 conducted
    with the greatest prudence and care.”5 When the activity at issue is not
    ultrahazardous, the principal has no duty to ensure, through instructions or
    supervision, that the independent contractor performs its obligations in a reasonably
    safe manner.6
    In their initial motion in opposition Plaintiff conceded not to pursue a theory
    of vicarious negligence based on this “ultrahazardous” exception, and therefore this
    Court will address the second exception raised for the first time in Plaintiff’s motion
    for reargument.
    The second exception is based on a determination that the principal was in
    direct control over the manner in which the independent contractor completed the
    work. In making the determination of whether a principal retained supervision or
    control over the contractor, it is the principal's right to exercise control that is of
    primary concern, not the supervision and control actually exercised.7 A principal
    who exercises no operational control has no duty to discover and remedy hazards
    5
    Kent v. Gulf States Utilities Co., 
    418 So. 2d 493
    , 498 (La. 1982). See Craig v.
    Montelepre Realty Co., 
    252 La. 502
    , 
    211 So. 2d 627
    (1968) and D'Albora v. Tulane
    University, 
    274 So. 2d 825
    (La.App. 4th Cir. 1973), cert. denied, La., 
    278 So. 2d 504
    and 505 (pile driving); Langlois v. Allied Chem. Corp., above (escaping gas
    used in manufacture of petrochemical products); Gotreaux v. Gary, 
    232 La. 373
    ,
    
    94 So. 2d 293
    (1957) (crop dusting by airplanes); Fontenot v. Magnolia Petroleum
    Co., 
    227 La. 866
    , 
    80 So. 2d 845
    (1955) (blasting with explosives).
    6
    Hawkins v. Evans Cooperage Co., Inc., 
    766 F.2d 904
    , 908 (5th Cir. 1985).
    7
    Crane v. Exxon Corp., U.S.A., 
    613 So. 2d 214
    , 220 (La. Ct. App. 1992)
    4
    created by acts of its independent contractors.8 Similarly contractual obligations to
    observe prevailing safety rules “does not signify requisite right of operational control
    necessary to vitiate the independent contractor relationship.” 9 Courts have implied
    that direct liability would result if the principal required strict adherence to safety
    protocols by its independent contractors and the principal subsequently failed to
    follow its own requirements.10
    Plaintiff again points to UCC safety monitoring of contract personnel as
    evidence of control over Kiewit’s contractual obligations. The Court in Davenport
    correctly points out that periodic safety inspections and pointing out violations does
    not constitute sufficient right to control so as to impose liability on the principal.11
    To hold any principal liable based on monitoring their contractors would lead to the
    undesirable result of condoning or ignoring unsafe activities.12
    Plaintiff points to contractual obligations of Kiewit to perform projects as
    directed by UCC as evidence of the right to control the independent contractor. The
    right to control is not a question of controlling the work to be performed, but rather
    8
    Hawkins, at 908
    9
    Davenport v. Amax Nickel, Inc., 
    569 So. 2d 23
    , 28 (La.App. 4th Cir. 1990).
    10
    Roach v. Air Liquide America LP, 
    2016 WL 3626333
    .
    11
    Davenport, 
    569 So. 2d 23
    , 28 (La.App. 4th Cir. 1990).
    12
    See Davenport, (Imposing liability based on [pointing out safety violations and
    correcting them] could lead to the absurd result of encouraging owners to ignore
    and condone safety violations by independent contractors in order to avoid
    liability).
    5
    the manner in which the independent contractor performs the work assigned.13
    Plaintiff concedes in their motion that UCC employees would instruct Kiewit to have
    a team to perform various side jobs on site. These side jobs were contractual
    obligations governed by “Job Instructions” to be provided by UCC. The “Job
    Instructions” contained in the contract provide description and scope of work to be
    completed, cost accounting, and other details. Neither the “Job Instructions” nor
    Mr. Kivell’s testimony indicate that UCC retained the right to control the manner in
    which Mr. Kivell, Kiewit, or its employees were to complete these tasks. The Court
    finds no evidence that UCC retained the right to control its independent contractors
    sufficient to hold UCC vicariously liable.
    In Roach, the Court held that Smith was an “improper expansion of Louisiana
    law,” and “there is a distinction between hazards that are inherent in a defendant’s
    premises (for which a premises owner owes a duty) and hazards inherent in an
    independent contractor’s job (for which a premises owner does not owe a duty).”14
    In Roach the Court pointed out that the hazard to the plaintiff in that case,
    silica, was “not inherent in defendant’s premises; the airborne silica which was
    temporary in nature and transported to the facility by the plaintiff’s employer and/or
    supplier. The hazard was inherent in the performance of the sandblasting.”15
    13
    Roach v. Air Liquide America, 
    2016 WL 1453074
    , at *2.
    14
    
    Id. 15 Id.
                                           6
    Louisiana case law on asbestos exposure is derived from cases involving asbestos
    fibers released into the air and subsequently inhaled. There is no case law to suggest
    that the presence of asbestos is inherently dangerous or harmful. Louisiana Courts
    have held the opposite to be true finding for the purpose of strict liability that “[The
    Court] cannot find that [asbestos’] mere presence in the [vicinity of the plaintiff]
    constituted a defect in the [premesis] for which the [Defendant] could be held
    liable.”16   Similarly Courts have upheld summary judgment where “There is no
    evidence to suggest that the construction site was inadequate for the safe handling
    of asbestos or that the alleged exposure was due to the failure of the premises owner
    to provide a safe work environment.”17 In Roach, the Court reached the conclusion
    that “it is the employer’s duty to ensure plaintiff’s safety with respect to the specific
    hazards created by the performance of his work.”18
    Plaintiff’s newly discovered evidence has failed to show that UCC failed to
    provide a safe working environment for its independent contractors. Mr. Kivell
    never worked directly for UCC. UCC contracted Kiewit to complete construction
    and maintenance work at its Taft facility. The dangers posed by the work to be
    completed by Kiewit and its subcontractors were contemplated in the contract
    16
    Palermo v. Port of New Orleans, 
    951 So. 2d 425
    , 438 (La. Ct. App.), writ
    denied, 
    957 So. 2d 1289
    (La. 2007)
    17
    Jordan v. Thatcher St., LLC, 
    167 So. 3d 1114
    , 1119 (La. Ct. App. 2015)
    18
    Roach v. Air Liquide America, 
    2016 WL 1453074
    at *4
    7
    formation calling for Kiewit to complete its obligations in accordance with
    prevailing regulations and safety practices in place at the time. The contract
    submitted as new evidence only serves to strengthen the application of Roach to his
    circumstances. The contract submitted with their motion for reargument speaks to
    transferring of care, custody, and control from the independent contractor to UCC.19
    This implies that all new construction work to be performed under the contract is
    necessarily under the sole control and custody of the independent contractor until its
    acceptance by UCC. This includes all materials to be installed at the facility. That
    UCC was aware of dangers associated with asbestos is not to imply that they
    condoned unsafe practices related to it.
    The conclusion in Roach means that hazards inherent in an independent
    contractor’s job includes all work falling within the scope of the contracted work,
    not each individual employed by the independent contractor. To hold differently
    would require premises owners to exert a level of controlling oversight on their
    independent contractors so as to render all premises owners vicariously liable.
    Furthermore, holding a premises owner liable for the hazards inherent in the
    independent contractor’s job would negate the independent contractor’s duty to
    ensure their employee’s safety with respect to the specific hazards created by the
    performance of their work. Plaintiff has failed to provide new evidence that UCC’s
    19
    See Contract No. 511-776-18 at 10.
    8
    premises contained any inherent hazards for which a UCC owed a duty to protect its
    independent contractors from.
    Plaintiff argues that as UCC retained the “right to benefit from the thing
    controlled”, namely the Taft facility, UCC was in custody of any asbestos the
    plaintiff worked with.
    In a factually similar case the Louisiana Supreme Court reviewed custody as
    it pertained to an independent contractor’s employee and asbestos exposure. In
    Rando v. Anco Insulations Inc., plaintiff worked on the premises of an industrial site
    under construction. The premises owner specified the use of asbestos, required the
    contractor to abide by certain engineering standards, and the plaintiff was ultimately
    harmed by asbestos exposure. However, the Court found that the independent
    contractor, not the premises owner, was in possession and control.20
    The Court finds that Plaintiffs argument in favor of a finding of strict liability
    based on UCC’s “right to benefit from the thing controlled” an impermissible
    extension of Louisiana jurisprudence. To hold that a premises owner meets the “care
    and custody” requirement for strict liability based on “receiving a benefit from” the
    premises itself would be to overrule Louisiana precedent “that mere physical
    20
    Rando v. Anco Insulations Inc., 
    16 So. 3d 1065
    (La. 2009).
    9
    presence on [the] premises does not constitute custody.”21 Plaintiff’s new evidence
    provides no further support for a finding of strict liability against UCC.
    For the forgoing reasons Defendant’s Motion for Summary Judgment is
    GRANTED.
    IT IS SO ORDERED.
    /s/ Calvin L. Scott
    The Honorable Calvin L. Scott, Jr.
    21
    LeBlanc v. Hullinghorst Indus., Inc., 
    542 So. 2d 642
    , 645 (La. Ct. App.), writ not
    considered, 
    544 So. 2d 412
    (La. 1989).
    10