Webster v. Shaw , 2016 Ohio 1484 ( 2016 )


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  • [Cite as Webster v. Shaw, 2016-Ohio-1484.]
    IN THE COURT OF APPEALS OF OHIO
    THIRD APPELLATE DISTRICT
    WYANDOT COUNTY
    SHAILYN WEBSTER, ET AL.,                                 CASE NO. 16-15-08
    PLAINTIFFS-APPELLANTS,
    v.
    ROBERT D. SHAW, ET AL.,                                  OPINION
    DEFENDANTS-APPELLEES.
    Appeal from Wyandot County Common Pleas Court
    Trial Court No. 13-CV-0120
    Judgment Reversed
    Date of Decision: April 11, 2016
    APPEARANCES:
    Ronald A. Annotico for Appellant
    J. Alan Smith for Appellee
    Case No. 16-15-08
    WILLAMOWSKI, J.
    {¶1} Plaintiffs-appellants, Stacy Webster (“Stacy”), and her two minor
    children, (collectively “Plaintiffs”), bring this appeal from the judgment of the
    Common Pleas Court of Wyandot County, Ohio, granting a motion for summary
    judgment in favor of Defendants-appellees, Robert Shaw (“Robert”) and Diane
    Shaw (“Diane”) (collectively “the Shaws”).       For the reasons that follow, we
    reverse the trial court’s judgment.
    Factual and Procedural Background
    {¶2} In May 2009, Stacy and her husband, William Webster (“William”),
    rented a residential property from the Shaws. The property was an older home,
    from the early 1900s, which was partially renovated by the Shaws. The Shaws did
    not provide the Websters with federally-mandated lead information or disclosures
    with respect to the rental property. After about a month, Stacy’s two minor
    children were diagnosed with high lead levels.        An inspection of the rental
    residence, conducted by the Ohio Department of Health in July 2009, revealed that
    the premises contained lead-based paint.      Stacy and her family vacated the
    residence in October 2009.
    {¶3} On December 18, 2013, Stacy and her minor children filed a
    complaint against the Shaws alleging seven causes of action, including (I)
    negligence, (II) negligence per se based on violation of state and federal statutes,
    (III) breach of implied warranty of habitability, (IV) nuisance, (V) breach of
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    express warranty, (VI) violation of 42 U.S.C. 4852d, and (VII) loss of consortium.
    (R. at 1.) The Shaws denied the allegations. (R. at 7.) The Shaws also made
    certain specific denials in their responses to Plaintiffs’ First Set of Requests for
    Admissions. (R. at 8.) Among others, the Shaws denied any awareness that lead
    paint may be dangerous to humans or that lead paint was used in homes
    constructed prior to 1978. (Id.)
    {¶4} The parties engaged in discovery, which included taking depositions
    of Stacy, William, Diane and Robert. Thereafter, Plaintiffs moved for a partial
    summary judgment on the issue of liability only as to counts two (negligence per
    se) and six (violation of 42 U.S.C. 4852d). (See R. at 18.) The Shaws opposed
    summary judgment and filed a cross motion for summary judgment in their favor
    on all causes of action. (R. at 28.) The parties engaged in additional briefing and
    jointly requested an extension of the discovery deadline. (See R. at 33.) The trial
    court denied the request and instead proceeded to rule on the parties’ motions for
    summary judgment.       The trial court overruled Plaintiffs’ partial motion for
    summary judgment and granted the Shaws’ motion for summary judgment,
    dismissing the complaint.
    {¶5} The trial court rejected the negligence, negligence per se, and nuisance
    claims (counts one, two, and four), on the theory that the Shaws were absolved
    from liability due to a lack of notice that a lead hazard was present on the
    premises. With respect to count six, and “any claim in the Complaint” brought
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    under 42 U.S.C. 4852d, the trial court determined that the minor plaintiffs lacked
    standing to bring a suit over violation of the federal statute because they “were
    neither lessees nor purchasers of the rental property,” and Stacy “appears to claim
    no injury other than that which may be derived from lead being discovered in her
    children’s systems.” (R. at 40, at 4-5.) The trial court did not expressly address
    count three—breach of the implied warranty of habitability, count five—breach of
    express warranty, or count seven—loss of consortium. These counts, or the trial
    court’s failure to expressly address them, are not the subject of the assignments of
    error or the issues before us. Plaintiffs raise one assignment of error, as quoted
    below.
    Assignment of Error
    THE TRIAL COURT ERRED IN GRANTING SUMMARY
    JUDGMENT TO DEFENDANTS/APPELLEES
    Standard of Review
    {¶6} Under Civ.R. 56,
    Summary judgment shall be rendered forthwith if the pleadings,
    depositions, answers to interrogatories, written admissions,
    affidavits, transcripts of evidence, and written stipulations of fact, if
    any, timely filed in the action, show that there is no genuine issue as
    to any material fact and that the moving party is entitled to judgment
    as a matter of law. No evidence or stipulation may be considered
    except as stated in this rule. A summary judgment shall not be
    rendered unless it appears from the evidence or stipulation, and only
    from the evidence or stipulation, that reasonable minds can come to
    but one conclusion and that conclusion is adverse to the party against
    whom the motion for summary judgment is made, that party being
    entitled to have the evidence or stipulation construed most strongly
    in the party’s favor.
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    Case No. 16-15-08
    Civ.R. 56(C); Parrish v. Jones, 
    138 Ohio St. 3d 23
    , 2013-Ohio-5224, ¶ 13, quoting
    Civ.R. 56(C).
    {¶7} The party moving for summary judgment has the initial burden “to
    inform the trial court of the basis for the motion, identifying the portions of the
    record, including the pleadings and discovery, which demonstrate the absence of a
    genuine issue of material fact.” Reinbolt v. Gloor, 
    146 Ohio App. 3d 661
    , 2001-
    Ohio-2224, 
    767 N.E.2d 1197
    , ¶ 8 (3d Dist.); accord Todd Dev. Co., Inc. v.
    Morgan, 
    116 Ohio St. 3d 461
    , 2008-Ohio-87, 
    880 N.E.2d 88
    , ¶ 12. The burden
    then shifts to the party opposing summary judgment. 
    Id. In order
    to defeat
    summary judgment, the nonmoving party may not rely on mere denials but “must
    set forth specific facts showing that there is a genuine issue for trial.” Byrd v.
    Smith, 
    110 Ohio St. 3d 24
    , 2006-Ohio-3455, 
    850 N.E.2d 47
    , ¶ 10, quoting Civ.R.
    56(E).
    {¶8} “[B]ecause summary judgment is a procedural device to terminate
    litigation, it must be awarded with caution.” Murphy v. Reynoldsburg, 65 Ohio
    St.3d 356, 358-359, 
    604 N.E.2d 138
    (1992). The court must thus construe all
    evidence and resolve all doubts in favor of the non-moving party, here Plaintiffs.
    
    Id. But if
    the evidence so construed fails to support the essentials of their claims,
    summary judgment is proper. Welco Industries, Inc. v. Applied Cos., 67 Ohio
    St.3d 344, 346, 
    617 N.E.2d 1129
    (1993). An appellate court reviews de novo a
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    trial court’s decision on a motion for summary judgment. Esber Beverage Co. v.
    Labatt USA Operating Co., L.L.C., 
    138 Ohio St. 3d 71
    , 2013-Ohio-4544, ¶ 9.
    Analysis
    {¶9} Challenging the trial court’s ruling on appeal, Plaintiffs focus on the
    theory of negligence per se and make no contentions with respect to the common
    law negligence claim, as asserted in count one of the complaint, or with respect to
    the remaining counts of the complaint. Indeed, the claim for violation of 42
    U.S.C. 4852d, originally presented in count six of the complaint, is not argued
    separately on appeal. Instead, Plaintiffs allege that violation of this federal statute
    constitutes negligence per se.1
    {¶10} “The concept of negligence per se allows the plaintiff to prove the
    first two prongs of the negligence test, duty and breach of duty, by merely
    showing that the defendant committed or omitted a specific act prohibited or
    required by statute.” Lang v. Holly Hill Motel, Inc., 
    122 Ohio St. 3d 120
    , 2009-
    Ohio-2495, 
    909 N.E.2d 120
    , ¶ 15, citing Chambers v. St. Mary’s School, 82 Ohio
    St.3d 563, 565-566 1998-Ohio-184, 
    697 N.E.2d 198
    .                            But the plaintiff in a
    negligence per se action still has to prove proximate cause and damages. Sikora v.
    Wenzel, 
    88 Ohio St. 3d 493
    , 496, 2000-Ohio-406, 
    727 N.E.2d 1277
    . Additionally,
    “a negligence-per-se violation will not preclude defenses and excuses, unless the
    1
    As indicated above, although count six alleged a violation of 42 U.S.C. 4852d as a separate cause of
    action, this federal statute was also included among other statutes that formed basis for the negligence per
    se claim in count two of the complaint. (See R. at 1, ¶ 10.) It was also the subject of the summary
    judgment briefing. (See R. at 18, at 8-9; R. at 28, at 11.)
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    Case No. 16-15-08
    statute clearly contemplates such a result.” Robinson v. Bates, 
    112 Ohio St. 3d 17
    ,
    2006-Ohio-6362, 
    857 N.E.2d 1195
    , ¶ 23.
    {¶11} Here, Plaintiffs’ negligence-per-se claims are based on R.C. 5321.04.
    This statute lists ten obligations of a landlord who is a party to a rental agreement.
    Among others, and as singled out by Plaintiffs on appeal, the statute requires that
    the landlord:
    (1) Comply with the requirements of all applicable building,
    housing, health, and safety codes that materially affect health and
    safety;
    (2) Make all repairs and do whatever is reasonably necessary to put
    and keep the premises in a fit and habitable condition.
    (App’t Br. at 12, quoting R.C. 5321.04.) Plaintiffs claim that the presence of lead
    on the premises rendered the property “unfit or in an uninhabitable condition,” in
    violation of R.C. 5321.04(A)(2). (App’t Br. at 12.) They further assert that the
    Shaws violated R.C. 5321.04(A)(1) by not complying with the federal statute
    concerning lead disclosures, 42 U.S.C. 4852d.
    {¶12} The Ohio Supreme Court has recognized that “[a] landlord’s
    violation of the duties imposed by R.C. 5321.04(A)(1) or 5321.04(A)(2)
    constitutes negligence per se, but a landlord will be excused from liability under
    either section if he neither knew nor should have known of the factual
    circumstances that caused the violation.” Sikora at syllabus. The issue reviewed
    by the trial court and raised on appeal is whether the Shaws knew or should have
    known of the factual circumstances that rendered the rental property at issue unfit
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    or uninhabitable. More specifically, did the Shaws know or should they have
    known that lead-based paint was present on the premises.           See Trammell v.
    McDonald, 3d Dist. Defiance No. 4-04-15, 2004-Ohio-4805, ¶ 14 (holding that
    under subsection (A)(2) of R.C. 5321.04, “[a] tenant must show that the landlord
    had actual or constructive knowledge of the actual defect in order for liability to
    attach under this subsection”); Rice v. Reid, 3d Dist. Crawford No. 3-91-34, 
    1992 WL 81424
    , *1 (Apr. 23, 1992) (“Notice to the landlord that a problem exists is
    necessary before liability can be imposed on a landlord, pursuant to R.C.
    5321.04.”); 
    id. at 3
    (“it would be unfair to impose liability on a landlord for the
    presence of lead based paint and its resulting injuries unless he has notice that such
    paint is present on his premises” (emphasis sic.)).
    Notice of Lead-Based Paint on the Premises
    {¶13} Ohio law recognizes that the notice of the defective condition on the
    property may be actual or constructive. See 
    Sikora, 88 Ohio St. 3d at 495
    , 2000-
    Ohio-406, 
    727 N.E.2d 1277
    ; Rice at *2. The difference between the two types of
    notice has been explained by some courts in terms relating to “the manner in
    which notice is obtained or assumed to have been obtained.” In re Fahle’s Estate,
    
    90 Ohio App. 195
    , 
    105 N.E.2d 429
    (6th Dist.1950), syllabus; Manning v. Dept. of
    Transp., 10th Dist. Franklin No. 96API07-931, 
    1997 WL 202270
    , *2 (Apr. 24,
    1997); Howley v. Wythe Par. Homeowners Ass’n, Inc., 2d Dist. Montgomery No.
    12506, 
    1991 WL 228708
    , *3 (Oct. 2, 1991). The Sixth District Court of Appeals
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    Case No. 16-15-08
    observed that the actual notice includes “notice that a specific condition exists and
    that it is harmful” as well as “ ‘knowledge or information of facts sufficient to put
    a prudent man upon inquiry.’ ” Richardson v. Boes, 6th Dist. No. L-08-1015, 
    179 Ohio App. 3d 418
    , 2008-Ohio-6173, 
    902 N.E.2d 77
    , ¶ 29, quoting G/GM Real
    Estate Corp. v. Susse Chalet Motor Lodge of Ohio, Inc., 
    61 Ohio St. 3d 375
    , 380,
    
    575 N.E.2d 141
    (1991); see also Johnston v. Faith Baptist Church, Inc., 3d Dist.
    Allen No. 1-87-14, 
    1989 WL 43017
    , *6 (Apr. 26, 1989) (reviewing various
    definitions of the term “notice”). Constructive notice can be imputed when it
    appears that a condition “existed in such a manner that it could or should have
    been discovered, that it existed for a sufficient length of time to have been
    discovered, and that if it had been discovered it would have created a reasonable
    apprehension of a potential danger or an invasion of private rights.” Beebe v. City
    of Toledo, 
    168 Ohio St. 203
    , 
    151 N.E.2d 738
    (1958), paragraph two of the
    syllabus; see also Faith Baptist Church, Inc., at *6-7; Johnston v. Filson, 12th
    Dist. Clinton No. CA2014-04-007, 2014-Ohio-4758, ¶ 11 (“ ‘Actual notice’ ” is
    defined as notice ‘given directly to, or received personally by, a party.’ Black’s
    Law Dictionary, 1090 (8th Ed.2004). ‘Constructive notice’ is notice ‘arising by
    presumption of law from the existence of facts and circumstances that a party had
    a duty to take notice of.’ Id.”).
    {¶14} The trial court in this case determined that “there are insufficient
    facts to impute notice of a hazardous condition, either actual or constructive, to the
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    Defendants.” (R. at 40.) The trial court’s holding in effect meant that the Shaws
    established a lack of notice and that Plaintiffs had no sufficient facts to dispute the
    Shaws’ assertion that they did not know, nor should have known of the lead
    presence on the premises. We start our de novo review by looking at the facts
    relevant to the notice requirement in the light most favorable to Plaintiffs.
    {¶15} The Shaws have been in the rental business since 1993 and they own
    several rental properties. (R. Shaw Dep. at 11.) The Shaws bought the rental
    property at issue in 1993 and they never had the house inspected. (Id. at 12, 28.)
    They performed certain fixes and upgrades on the house upon purchasing it in
    1993. (Id. at 13.) Some improvements were also performed in 2009, prior to
    Plaintiffs moving in. (Id. at 20-21.) In May 2009, the Shaws executed a written
    lease agreement with Stacy and William. The document included “a lead paint
    disclosure saying this house, if it was built before [1978], it could have lead.” (Id.
    at 30.) The disclosure further stated that lead-based paint “may place young
    children at risk of developing lead poisoning,” which “may produce permanent
    neurological damage.” (Def. Ex. C.)
    {¶16} In his deposition, Robert testified that he was aware that the house
    had been built in the early 1900s. (R. Shaw Dep. at 20.) At the time when he was
    renting the property to the Websters, Robert knew that lead had been used in paint,
    but he was not aware that lead was toxic to humans. (Id. at 32.) Robert further
    testified that prior to this case being filed he never researched Ohio laws about
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    landlords and tenants, never heard of the Ohio Landlord-Tenant Act, and he had
    no idea that federal law required him to provide lead disclosure statements to his
    tenants. (Id. at 17-18, 31.) In fact, he testified that he had no idea that anything
    like lead hazard pamphlets or information about lead even existed. (31-32.) Upon
    learning that the house had lead problems, Robert participated in a lead abatement
    course and performed lead abatement on the property. (Id. at 11, 17-19.)
    {¶17} Robert testified that he was “sure there was some” chipping or
    peeling paint on the property in May 2009. (Id. at 23-24.) He admitted that the
    paint on the porch was chipping when the Websters moved in and that he
    promised to paint it. (Id. at 25.) He testified that the paint was from the 1950s and
    it was “government-issued paint.” (Id. at 25.) He further stated, “Don’t know if it
    had lead. Probably did. * * * as far as I know, before ‘78 a lot of paint had lead in
    it.” (Id. at 26.) But he added that he only knew that because of the lead abatement
    class that he took after being notified of the lead problem on his property,
    “[b]efore that it was never anything you ever thought about.” (Id. at 26.) In spite
    of reading newspapers and watching the news, Robert claimed he never learned
    about lead hazards or the dangers of lead poisoning, until he received a letter from
    the State of Ohio in the instant case. (See 
    id. at 9,
    17, 48.) Furthermore, in spite
    of reading the lease, he claimed to have no knowledge of the possibility of lead-
    based paint on the premises. (Id. at 29-31.) He stated, “I was aware that it said it
    could have lead paint, but I had no idea what that even meant.” (Id. at 30.) He
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    Case No. 16-15-08
    explained this deficiency by saying that the lease agreement was “a form letter,”
    purchased at “Office Max or somewhere like that.” (Id. at 29, 31.)
    {¶18} Diane’s deposition largely confirmed the facts in Robert’s testimony.
    (See D. Shaw Dep.) Diane additionally testified that none of their other rental
    properties had any issues with lead paint. (Id. at 28.) She testified that she had
    never been to any kind of educational seminars for landlords and never learned
    how to run a rental business. (Id. at 29.) Diane read the lease agreement, which
    included the lead disclosure statement. (Id. at 45.) She admitted that the property
    at issue was constructed prior to 1978 and that paragraph fifteen of the lease stated
    that a residential dwelling built prior to 1978 “may present exposure to lead from
    lead-based paint.” (Id. at 53.) She claimed, however, that paragraph fifteen did
    not give her notice that her property might contain lead-based paint. (Id. at 52,
    53.) Like Robert, Diane had little knowledge about lead and “never thought of it”
    before 2009. (Id. at 50.) She was not aware of any federal laws concerning
    documents that needed to be provided to tenants. (Id. at 57.) She believed the
    property was safe for tenants when she rented it to the Websters. (Id. at 56-57.)
    {¶19} In addition to Robert and Diane’s depositions, the trial court relied
    on their affidavits attached to the cross-motion for summary judgment. (See R. at
    28.) The affidavits indicated that the premises at issue had been rented to families
    with young children before and that no prior tenants had ever been diagnosed with
    lead poisoning or reported lead exposure from the residence. (Id., R. Shaw Aff. at
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    Case No. 16-15-08
    ¶ 9; D. Shaw Aff. at ¶ 9.) They further indicated that before this case, “[n]o
    government housing agency or health agency had ever performed a lead
    inspection” on the premises and they had never received any notices concerning
    the possibility of lead in this residence. (
    Id. at ¶
    10.)
    {¶20} On behalf of Plaintiffs, Stacy testified in her deposition that she
    contacted the Shaws to tell them about the lead problem when she “knew both kids
    had high lead,” which was before July 17, 2009, and before the Department of
    Health conducted the home visit and found lead on the property. (S. Webster Dep.
    at 82.) Stacy testified that when she later informed Robert that lead was found in
    the house, “his response was, well, what did you do, let them lick the walls?” (Id.
    at 59.) She further testified that Robert made a comment indicating that “they
    wouldn’t have found out about the lead” if he had not rented to someone on
    welfare, because he assumed that “it was because of welfare” that the children got
    tested for lead. (Id. at 59.) No exact date of this conversation was provided, and it
    is unknown whether it occurred before or after the Shaws received the letter from
    the Department of Health informing them about lead presence on their premises.
    Stacy testified, however, that she had called Robert twice. “The first time letting
    him know that my children had high lead levels,” which was before the lead
    testing in the house. (Id. at 61-62.) Stacy did not recall any statements made by
    Robert during the first call. (Id. at 62.) The second call was when Stacy “let him
    know there’s lead paint top to bottom, the entire house. * * * That’s when he got
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    upset” and made the statements at issue. (Id. at 59, 62.) There is some evidence
    about a phone call from Robert to Stacy around July 30, indicating that the Shaws
    had received the letter from the Ohio Department of Health, which according to
    Robert was the first time he received any notice about lead hazards or the dangers
    of lead poisoning. (Id. at 17, 86; Def. Ex. D.)
    {¶21} Stacy did not recall any other statements made by the Shaws about
    the issue of lead on the property. (S. Webster Dep. at 60, 63.) She conceded that
    the Shaws never admitted to her that they had known the house had lead in it. (Id.
    at 150.) When asked whether she had any reason to believe that the Shaws were
    aware of the presence of lead, Stacy responded, “Upon the comment of, well, what
    did you do, let your kids lick the walls, yeah, I kind of feel like he knew.” (Id. at
    150.) She construed it as an admission. (Id. at 151.)
    {¶22} Stacy’s husband, William testified in his deposition that when the
    family moved in, on the first day, they had a conversation with Robert about the
    paint on the front porch. (W. Webster Dep. at 31.) He stated that the paint on the
    porch was “all bubbled; and every time you walked through, it like [tracked] in
    with you wherever you went.” (Id. at 31-32.) William testified that Robert
    rejected their offer to paint the porch by themselves. (Id. at 32.) William had no
    other discussions with Robert about the topic. (Id. at 34.) He did not recall any
    statements made by the Shaws indicating that they had knowledge about the lead
    presence in the house at the time. (Id. at 34.)
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    Case No. 16-15-08
    {¶23} The trial court’s conclusion based on these facts indicated that no
    reasonable jury could “impute notice of a hazardous condition, either actual or
    constructive, to the Defendants.” (R. at 40, at 9.) We disagree. The facts in the
    record, when viewed in the light most favorable to Plaintiffs, cast some doubt on
    Robert’s assertions of complete ignorance as to the lead issues before his taking
    the lead abatement classes. They also cast doubt on the trial court’s statement in
    the judgment entry that “Defendants were first notified that the rental home may
    contain lead” following an inspection by the Department of Health. (R. at 40, at
    3.) Stacy testified that she contacted Robert twice: first after she found out about
    the children’s high lead levels, which was before the inspection by the Department
    of Health, and second, after the inspection, to inform Robert that lead was found in
    the house. While the inspection by the Department of Health confirmed that the
    house contained lead, the first phone call from Stacy might have been the time
    when the Shaws were first notified that the rental home may contain lead.
    {¶24} Similarly, Robert’s statement to Stacy about the children licking
    walls casts doubt on his testimony that he only knew about lead being present in
    paint because of the lead abatement class, which he took after being notified of the
    lead problem on his property.     Although it is possible that Robert made the
    comment after he had received the letter from the Department of Health, which
    gave him some knowledge of the lead existence and its dangers, we do not have
    actual dates of the letter receipt or the conversation in the record and summary
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    Case No. 16-15-08
    judgment standard requires us to resolve the doubts in favor of non-movants.
    Further, his comment that “they wouldn’t have found out about the lead,” suggests
    a possibility that Robert wanted to hide the existence of lead on the premises. (S.
    Webster Dep. at 59.)
    {¶25} Another doubt that must be resolved in favor of Plaintiffs comes
    from Robert and Diane’s acknowledgments that they had read the lease and the
    lead paint disclosure, which talked about lead hazards in houses built prior to
    1978, but they had absolutely no indication that their property, which was built
    prior to 1978, could pose such hazard. Finally, Stacy disputed Robert’s assertion
    of the lack of notice based on his comments to her, which created a conflict in
    evidence that must be resolved by a trier of fact. (See S. Webster Dep. at 150,
    151.)
    {¶26} While the above facts do not necessarily prove that the Shaws knew
    about lead presence on the property, they create a genuine issue on the material
    fact of whether the Shaws had actual or constructive notice of the lead being
    present on their property.
    {¶27} We recognize that the trial court’s decision was based on several
    appellate opinions in which the courts found that defendants proved lack of notice
    as a matter of law. The first case on which the trial court relied was a landlord-
    tenant case involving lead poisoning from our sister district, Patterson v. Ahmed,
    6th Dist. Lucas No. L-09-1222, 2010-Ohio-4160. In that case, the plaintiffs were
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    Case No. 16-15-08
    “Section 8 program” beneficiaries, which meant that the Lucas County
    Metropolitan Housing Authority inspected the house before the plaintiffs moved
    in. 
    Id. at ¶
    3-4. It was “undisputed” that “the home passed the inspection required
    by the Section 8 program prior to appellants’ tenancy,” and that the inspection
    “looked for chipping, peeling, or cracking paint,” in order to assess “conditions
    strongly associated with lead-based paint poisoning.” 
    Id. at ¶
    4, 68. The plaintiff-
    tenant testified that the paint was in good condition when she first moved into the
    home, and she did not notice peeling and chipping paint until later into her
    tenancy. 
    Id. at ¶
    27. She did not ask the landlord to paint any portion of the
    property until after increased lead levels were found in her children’s blood. 
    Id. at ¶
    26, 31, 53-56.
    {¶28} The Patterson court presumed for summary judgment purposes that
    lead-based paint was present on the property at some point when the plaintiffs
    resided there, even though there was no evidence of its presence at the
    commencement of the lease. 
    Id. at ¶
    11. The court also acknowledged that the
    landlord had multiple rental residences and he had a “real estate salesperson”
    license, which he obtained in the early 1990s, but he did not work as a real estate
    agent. 
    Id. at ¶
    4, 26. Although according to the landlord’s testimony, the licensing
    classes or test “never covered the issue of lead-based paint,” the court charged the
    landlord “with constructive knowledge of the hazards of lead-based paint in
    housing, particularly as they relate to children,” based on local housing
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    regulations. 
    Id. at ¶
    24, 26. Yet, as to the issue of notice that the lead-based paint
    was present on the rental premises at issue, the record “only support[ed] a finding
    that appellees neither knew nor should have known” of it until after the plaintiff’s
    children had been diagnosed with lead poisoning. 
    Id. at ¶
    66. The court refused to
    impute constructive notice of the paint being present on the premises, in spite of
    the landlord’s real estate knowledge or experience. 
    Id. at ¶
    69-71. The court
    noted lack of any evidence that the scope of his real estate training or experience
    should have put him on notice that this particular property contained lead-based
    paint, especially considering the inspection and lack of any chipping and peeling
    paint on the premises at the commencement of the tenancy. 
    Id. at ¶
    69-71.
    {¶29} This case is similar to Patterson in that it involved an experienced
    landlord who nevertheless denied any knowledge of “the dangers of lead-based
    paint,” until the beginning of the case at issue. 
    Id. at ¶
    26. But the facts pertaining
    to the presence of the lead hazard in the particular residence at issue differ. In
    Patterson, the testimony was undisputed that no chipping or peeling paint was
    noticed by anyone until some time after the tenant moved into the premises. The
    issue of painting the premises in that case was not raised until after the children
    had been diagnosed with lead poisoning.          Finally, and most importantly, the
    landlord in Patterson had an affirmative assurance that his property was lead-free,
    in the form of an inspection by the Housing Authority.               That inspection
    contradicted an inference of a constructive notice “that a lead-based paint hazard
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    Case No. 16-15-08
    existed on the property.” 
    Id. at ¶
    68. In fact, the Patterson court held that the
    passed inspection was such a strong evidence of the absence of a lead hazard on
    the premises at the beginning of the plaintiff’s tenancy that even the fact that the
    landlord received “written information regarding lead-based paint and the
    potential health hazards that might be caused by peeling, chipping, and flaking
    lead-based paint particles,” was not sufficient to impute constructive notice to the
    landlord. 
    Id. at ¶
    68. Indeed, in the absence of peeling, chipping, and flaking
    paint, information about “the potential health hazards that might be caused by
    peeling, chipping, and flaking lead-based paint particles” is not relevant to the
    issue of whether the property owner knows of a lead hazard on the premises. See
    
    id. {¶30} In
    the instant case, it is undisputed that the chipping and peeling
    paint was present and pointed out to Robert at the beginning of the lease. Stacy
    and William requested that the porch be painted before lead was discovered in the
    children’s system. Coupled with the disclosure in the lease, it could have served
    as evidence of notice to the Shaws that there was a lead hazard on the premises.
    See 
    id. at ¶
    20 (holding that when combined with other evidence, notice that paint
    is chipping and peeling is “relevant” to the “question of whether the landlord
    knew or should have known of the hazard of lead-based paint exposure on his
    premises,” although it is not, by itself evidence of notice for the purpose of
    liability), quoting Lowery v. Ondrus, 6th Dist. Lucas No. L-08-1100, 2009-Ohio-
    - 19 -
    Case No. 16-15-08
    46, ¶ 24; accord Walker v. Barnett Mgt., Inc., 8th Dist. Cuyahoga No. 84188,
    2004-Ohio-6632, ¶ 56. Additionally, although the trial court construed the Shaws’
    affidavits attesting that no prior tenants ever reported lead exposure as akin to the
    “positive notice” in Patterson that “the rental unit had passed an inspection by
    governmental body,” we find the two notices to differ significantly. (R. at 40, at
    7.) The affidavits of Robert and Diane do not refer to a “positive notice” given to
    them by any third party, but rather to a lack of a “negative” notice. Unlike the
    evidence of the inspection reports in Patterson, the affidavits here did not indicate
    that anyone had looked for lead-based paint hazards or that any of the prior tenants
    had ever been tested for lead. The Shaws attested that the property had never been
    professionally inspected. Therefore, the affidavits that no one had ever asked
    about or reported lead concerns, are not tantamount to the affirmation that the
    house passed a lead inspection performed by a governmental agency. For all these
    reasons, we conclude that reliance on Patterson is misplaced.
    {¶31} The second case on which the trial court relied comes from the
    Twelfth District Court of Appeals and concerns an injury caused to a tenant by a
    tree growing on the rented property. See Johnston v. Filson, 12th Dist. Clinton
    No. CA2014-04-007, 2014-Ohio-4758, ¶ 2. The tree “was approximately 40-50
    years old and it had a “ ‘v-crotch’ ” split, which was later determined to contain
    decay; but at the time of the incident “the tree was alive and had green needles on
    it.” 
    Id. at ¶
    3. The testimony of the landlord indicated that he visited the property
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    Case No. 16-15-08
    and inspected it visually, that “the tree looked ‘okay’ before it fell,” and that there
    were no prior indications that the tree required attention. 
    Id. at ¶
    15-16. The
    plaintiffs-tenants also testified that they had had no concerns or worries about the
    tree at issue prior to the accident. 
    Id. at ¶
    18, 20. Even though they had noticed an
    area of discoloration on the tree, they believed that the spot was sap and they never
    reported it or complained about it to the landlord. 
    Id. at ¶
    19, 20. One of the
    tenants would lounge under the tree in a hammock despite seeing the dark spot,
    and she never observed anything indicating that the tree was in decay or dying. 
    Id. at ¶
    20. Although the plaintiffs complained to the landlord about other conditions
    of the property, they never reported or complained about the condition of this tree.
    
    Id. at ¶
    18, 21. A neighbor to the rental property testified that he had had no
    concerns about the tree prior to the accident and he had not noticed any evidence
    of rot on the tree before it fell. 
    Id. at ¶
    22. An expert arborist testified about the
    dark spot that was later discovered to be rot and indicated that “it would have been
    ‘pretty difficult’ to see the spot because it was ‘way up in the air.’ ” 
    Id. ¶ 23-24.
    Although the expert also testified that all trees with the “v-crotch” split would
    eventually fall, there were no “signs that it was about to fall or break during a
    strong wind storm and strike one of the tenants.” 
    Id. at ¶
    27.
    {¶32} The court in Filson concluded that based on the testimony of all
    witnesses, none of the usual indicia of the tree damage or tree hazard were present,
    because “the tree was alive before it fell, and * * * it had living branches, healthy
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    Case No. 16-15-08
    bark, and green needles. The tree did not contain noticeable holes, as if termite
    damage had occurred. Nor did the tree show any signs of decay or disease other
    than a small colored patch [the plaintiffs] thought was sap.” 
    Id. at ¶
    13, 25.
    Additionally, both plaintiffs testified that “there was never any cause for concern
    that the tree would fall in their backyard.” 
    Id. at ¶
    26. Accordingly, the court
    concluded that summary judgment was proper because “the testimony [did not]
    establish that the [defendants] knew or should have known that the tree posed a
    possible danger.” 
    Id. at ¶
    25.
    {¶33} In the instant case, unlike in Filson, the usual indicia of hazard, in the
    form of the peeling and chipping paint, were present. Unlike the tree that looked
    “alive” and was never reported to the landlords, the condition of the paint did not
    falsely indicate that it was safe, and its peeling and chipping condition was
    reported to the Shaws. Additionally, in Filson, there was no evidence of any
    disclosures that could put the landlord on notice that a fifty-year-old tree with a
    dark spot on it could contain rot or could create a hazard. Accordingly, this case is
    distinguishable from Filson.
    {¶34} Based on the foregoing, we find a genuine issue of material fact as to
    whether the Shaws had actual or constructive notice of lead being present on the
    rental property. Therefore, we hold that the trial court erred in granting summary
    judgment in this case relying on the lack of notice that lead-based paint was
    present on the premises.
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    Case No. 16-15-08
    Violation of 42 U.S.C. 4852d
    {¶35} The second issue on appeal concerns the Residential Lead-Based
    Paint Hazard Reduction Act of 1992 (“RLPHRA”), codified in 42 U.S.C. §§ 4851-
    4856. This federal statute requires that
    before the purchaser or lessee is obligated under any contract to
    purchase or lease the housing, the seller or lessor shall--
    (A) provide the purchaser or lessee with a lead hazard information
    pamphlet, as prescribed by the Administrator of the Environmental
    Protection Agency under section 406 of the Toxic Substances
    Control Act [15 U.S.C.A. § 2686];
    (B) disclose to the purchaser or lessee the presence of any known
    lead-based paint, or any known lead-based paint hazards, in such
    housing and provide to the purchaser or lessee any lead hazard
    evaluation report available to the seller or lessor; and
    (C) permit the purchaser a 10-day period (unless the parties mutually
    agree upon a different period of time) to conduct a risk assessment
    or inspection for the presence of lead-based paint hazards.
    42 U.S.C. 4852d(a)(1). The statute further provides that
    Any person who knowingly violates the provisions of this section
    shall be jointly and severally liable to the purchaser or lessee in an
    amount equal to 3 times the amount of damages incurred by such
    individual.
    42 U.S.C.A. 4852d(b)(3).      It is undisputed that the Shaws did not provide
    Plaintiffs with the “lead hazard information pamphlet” or make disclosures about
    any known lead-based paint hazards, as required by the statute.
    {¶36} Addressing the allegations with respect to RLPHRA, the trial court
    reasoned that under the statute, “[r]esidents of property, who are not lessees of the
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    Case No. 16-15-08
    property, are not included” within a group of people who may bring suit over
    failure to provide the lead information pamphlet.2 (R. at 40, at 4.) Therefore, the
    trial court concluded that the minor children had no standing to bring a suit for
    violation of 42 U.S.C. 4852d. (Id. at 5.) Furthermore, because Stacy “appear[ed]
    to claim no injury other than that which may be derived from lead being
    discovered in her children’s systems,” the trial court found Stacy’s claims under
    RLPHRA to be without merit. (Id. at 4; see also 
    id. at 9.)
    The trial court stated
    that it granted summary judgment “for any claim in the Complaint brought under a
    violation of Revised Code Section 426 [sic] U.S.C. Section 4852d by the minor
    children.” (Id. at 5.) Plaintiffs only appeal the grant of summary judgment for
    violation of 42 U.S.C. 4852d as it relates to the negligence per se claim, which
    was asserted in count two of the complaint. (See App’t Br. at 5, 26.) They do not
    raise the issue of whether the trial court correctly decided that the minor children
    lacked standing to sue in count six and we do not address it here.3
    {¶37} We also note that the trial court did not address the question, raised
    by the Shaws on appeal, whether 42 U.S.C. 4852d could give a basis for a
    negligence per se claim. Instead, the trial court summarily dismissed the claim
    finding that Stacy could not maintain a cause of action because she did not
    “appear” to claim any injury to herself, and her claims for the children’s injuries
    2
    We note that on July 16, 2015, a bill was introduced to amend RLPHRA “to make violators of such
    section liable to residents and invitees of target housing for such violations, and for other purposes.” 2015
    CONG US HR 3085, available at https://www.congress.gov/bill/114th-congress/house-bill/3085.
    3
    But see note 2 above.
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    Case No. 16-15-08
    failed because the children had no standing. In its reasoning, the trial court relied
    on a case from the Sixth Circuit Court of Appeals, Roberts v. Hamer, 
    655 F.3d 578
    (6th Cir.2011).    In Roberts, a mother brought an action “solely as the next
    friend of her two minor children.” 
    Id. at 578.
    Although the mother attempted to
    amend the complaint to assert a claim in her own capacity, the trial court rejected
    the amendment due to the expiration of the statute of limitations. 
    Id. at 579.
    The
    issue before the federal court of appeals was whether the children were entitled to
    seek redress for their injuries that were allegedly caused by the violations of
    RLPHRA, despite their status as neither purchasers nor lessees. 
    Id. at 582.
    The
    court held that children could not “sue a lessor for violations of the RLPHRA’s
    disclosure requirements,” because the statute limited availability of the cause of
    action to the purchasers or lessees. 
    Id. at 579,
    583, 585. Notably, the court in
    Roberts made no determination as to whether the mother would have been able to
    recover for the violation had she alleged the claims in her own name. Therefore,
    Roberts does not resolve all issues in the instant case.
    {¶38} Here, the trial court determined that Stacy “appears to claim no
    injury other than that which may be derived from lead being discovered in her
    children’s systems.” (R. at 40, at 4.) The record confirms this finding as far as
    lack of physical injuries to Stacy. (See, e.g., S. Webster Dep. at 123, 147-148.)
    Yet, the statute does not limit recovery to physical injuries to the lessee that stem
    from lead poisoning.       Instead, it provides for compensation for “damages
    - 25 -
    Case No. 16-15-08
    incurred” by the lessee that result from the violation. 42 U.S.C. 4852d(b)(3); see
    Roberts at 582 (recognizing that “RLPHRA authorizes private enforcement
    through civil actions” and that the tenant may be able to recover “an amount equal
    to 3 times the amount of damages incurred by such individual”), quoting 42
    U.S.C. 4852d(b)(3); Kearney v. Elias, D. New Hampshire, No. 07-cv-149-JL,
    
    2008 WL 3502116
    , *5-6 (Aug. 11, 2008) (observing that “[n]either the statute nor
    its implementing regulations contain any definition of the phrase ‘damages
    incurred,’ ” but concluding that claimed injuries must have causal connection to
    the alleged violations of 42 U.S.C. 4852d, and finding genuine issues of fact
    material as to whether “the plaintiffs would have suffered some financial injury
    traceable to the defendants’ own nondisclosure”); McCready v. Main St. Trust,
    Inc., C.D. Illinois, No. 07-CV-2096, 
    2008 WL 3200651
    , *3 (Aug. 5, 2008)
    (recognizing that “[a] private plaintiff may recover compensatory damages under
    the RLPHRA,” but denying the remedy because the plaintiffs did not uncover any
    lead paint and incurred no costs “as a result of the alleged violation of the
    statute”).
    {¶39} The record discloses an issue of fact as to the damages incurred by
    Stacy, other than her own physical injuries, and as to whether these damages were
    incurred as a result of the alleged violation of the statue. (See, e.g., S. Webster
    Dep. at 81-82 (testifying about a purchase of “a brand-new expensive sweeper”
    and cleaning on a daily basis to contain the lead contamination); 
    id. at 146
    - 26 -
    Case No. 16-15-08
    (testifying about paying out of pocket for “prescriptions here and there that’s not
    covered”); Def. Ex. K, S. Webster Resp. to Interrog. at 4, 17, 29 (responding that
    Stacy suffered loss of consortium, mental anguish, and emotional distress); but see
    
    id. at 6
    (indicating lack of any non-medical expenses stemming from “the incident
    described in the Complaint”)). Accordingly, the trial court’s grant of summary
    judgment to the Shaws based on a finding that Stacy could not sustain the claim
    due to lack of injuries independent of her children’s claims must be reversed.4
    {¶40} For all of the forgoing reasons we sustain the assignment of error.
    Conclusion
    {¶41} Having reviewed the arguments, the briefs, and the record in this
    case, we find error prejudicial to Appellants in the particulars assigned and argued.
    The judgment of the Common Pleas Court of Wyandot County, Ohio is therefore
    reversed and the case is remanded to the trial Court for further proceedings
    consistent with this opinion.
    Judgment Reversed and
    Cause Remanded
    SHAW, P.J. and PRESTON, J., concur.
    /hls
    4
    We emphasize that this opinion is limited to the issues addressed by the trial court and challenged on
    appeal. We do not reach the multitude of issues raised by the parties and not addressed by the trial court as
    they are not necessary to the determination of whether the trial court properly granted summary judgment
    to the Shaws.
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