BATTAGLIA, J.
This case presents us with the opportunity to consider once again whether or not this Court should recognize dram shop liability.
William J. Warr, Jr. and Angela T. Warr filed suit in the Circuit Court for Montgomery County against JMGM Group,
Judge Eric M. Johnson of the Circuit Court for Montgomery County denied Dogfish Head's motion to dismiss. In granting, however, Dogfish Head's motion for summary judgment, Judge Johnson opined that he was bound by our decisions in State v. Hatfield, 197 Md. 249, 78 A.2d 754 (1951) and Felder v. Butler, 292 Md. 174, 438 A.2d 494 (1981) in which dram shop liability was not recognized as a cause of action in Maryland. The Warrs appealed Judge Johnson's decision but, before any proceedings in the Court of Special Appeals, we granted the Warrs' petition for certiorari, 427 Md. 606, 50 A.3d 606 (2012), to consider whether this Court should recognize dram shop liability.
The undisputed facts that give rise to our consideration of dram shop liability in this case were set forth by Judge Johnson in his opinion granting Dogfish Head's motion for summary judgment and reflect that on August 21, 2008, Michael Eaton was a customer at Dogfish Head Alehouse, which is located in Gaithersburg, Montgomery County. Mr. Eaton began drinking beer and liquor at 5:00 pm, allegedly ordering fourteen bottles of beer and two drinks of hard liquor and drinking at least one other drink that was purchased for
In their complaint, the Warrs asserted five causes of action, all related to negligence. In each count, the theory of liability was that Dogfish Head had a duty to refuse to provide alcoholic beverages to an individual who was either visibly intoxicated or who was considered a "habitual drunkard." The Warrs asserted that the employees of Dogfish Head knew that Mr. Eaton was a "habitual drunkard" and that they knew, or should have known, that he was visibly intoxicated and still served him alcohol, which was the proximate cause, according to the Warrs, of the collision:
Dogfish Head filed a motion to dismiss, under Maryland Rule 2-322(b)(2),
Dogfish Head, thereafter, filed a motion for summary judgment, asserting that Maryland did not recognize dram shop liability and that the facts did not warrant a change. Judge Johnson granted Dogfish Head's motion for summary judgment and issued an opinion that deviated from his earlier denial of Dogfish Head's motion to dismiss, based upon his view that the Circuit Court was not the appropriate judicial actor to make a "radical change" in the common law:
The Warrs appealed this decision, but, before any consideration in our intermediate appellate court, we granted their petition for certiorari to consider, once again, whether we should adopt dram shop liability. We shall decline to impose dram shop liability on Dogfish Head in the absence of any duty owed by the tavern to the Warrs.
In considering the question, we do not write on a blank slate.
Hatfield, 197 Md. at 254, 78 A.2d at 756. We declined to adopt dram shop liability, noting that it was for the legislative branch, not the judiciary, to consider:
Id. at 256, 78 A.2d at 757.
Three decades after our decision in Hatfield, we again were asked to adopt dram shop liability in Felder v. Butler, 292 Md. 174, 438 A.2d 494 (1981). In that case, Kenneth Felder sued Spearman Butler for injuries relating to a car accident involving Madeline Hawkins who, Felder alleged, was intoxicated as a result of Butler's sale of alcohol. The Circuit Court for Charles County sustained Butler's demurrer on the ground that Hatfield settled the matter.
In seeking a reversal of Hatfield, Felder argued before us that the legal landscape had changed significantly in the intervening thirty years and that many jurisdictions had adopted dram shop liability in the interim. We noted, however, that our Legislature had attached only criminal penalties to the sale of liquor to obviously intoxicated persons, Section 118(a) of Article 2B of the Annotated Code of Maryland (1957, 1976 Repl.Vol.),
Felder also argued that societal changes in attitudes regarding alcohol consumption as well as the sharp increase in the number of states recognizing dram shop liability
Id. at 183-84, 438 A.2d at 499.
In the instant case, the Warrs adopt many of Felder's arguments and emphasize that societal shifts have been even more intense since Felder, because knowledge regarding the risks and consequences of drunk driving has increased substantially. They also argue that our analysis regarding proximate cause has shifted since Felder. Finally, they argue that nearly every other State recognizes, statutorily or at common law, some form of civil liability for vendors of alcohol who sell intoxicants to obviously intoxicated patrons. With respect to duty, the Warrs essentially argue that the Dogfish Head had a duty to protect them from injury from the acts of an evidently inebriated patron by refusing to serve that individual alcohol once he had become visibly intoxicated.
Dogfish Head responds that in Hatfield and Felder we appropriately stated that it was the role of the Legislature, not the courts, to adopt dram shop liability, in part because alcohol consumption is such a heavily regulated field. Dogfish Head also asserts that our jurisprudence does not recognize a duty imposed upon a tavern to protect the general public from the actions of a patron, absent a special relationship that does not exist here. Finally, the tavern asserts that our jurisprudence regarding proximate cause has not expanded so far as to impose liability in the present case, because Mr. Eaton himself made the decision to drink the alcohol and to drive home.
Any theory of liability sounding in negligence is predicated on the existence of the following elements: "(1) that the defendant was under a duty to protect the plaintiff from injury, (2) that the defendant breached that duty, (3) that the plaintiff suffered actual injury or loss, and (4) that the loss or injury proximately resulted from the defendant's breach of the duty." Valentine v. On Target, Inc., 353 Md. 544, 549, 727 A.2d 947, 949 (1999) (internal quotation marks omitted). Vital to sustaining a cause of action in negligence is the existence of a legally recognized duty owed by the defendant to the particular plaintiff. Id. at 549, 727 A.2d at 949. Duty, in this regard, is "an obligation, to which the law will give recognition and effect, to conform to a particular standard of conduct toward another." Patton v. USA Rugby Football, 381 Md. 627, 636-37, 851 A.2d 566, 571 (2004) (internal quotations omitted).
This argument, however, does not bear weight under careful scrutiny, because we were emphasizing that a tavern owner who placed an unconscious patron in a sleigh would have undertaken a duty to the injured third party by actually placing the patron in the transport and starting it home, were that to have occurred. We began our discussion by reviewing an Indiana case, Dunlap v. Wagner, 85 Ind. 529, 530 (1882), in which a tavern owner had placed an unconscious patron into a sleigh and started the horses homeward. Because the patron in that case was unconscious, however, the horses ran off-route and one of them, owned by the plaintiff, was killed. We then opined that the tavern could have been liable under Maryland law, were its agent to actually have set events in motion by starting the horses home. In so doing we were not recognizing, implicitly or otherwise, the existence of a duty owed to a third party by the tavern owner to refuse to serve an intoxicated patron.
The Warrs next assert that Dogfish Head owed them a duty to prevent the harm caused by Mr. Eaton based on general principles of negligence law. Duty, however, is not assumed, but is generally determined by examining a number of factors, to include:
Ashburn v. Anne Arundel County, 306 Md. 617, 627, 510 A.2d 1078, 1083 (1986), quoting Tarasoff v. Regents of University of California, 17 Cal.3d 425, 131 Cal.Rptr. 14, 551 P.2d 334, 342 (1976). Our analysis, unlike what the Warrs assert and the dissent embraces, supports the conclusion that Dogfish Head did not owe a duty to the Warrs because of its provision of alcohol to Mr. Eaton.
With respect to foreseeability, the Warrs assert that the provision of alcohol to an intoxicated person will cause death to a third party, but this causal relationship is anything but assured. The first limitation is the inherent assumption that the third party, to whom alcohol was served, such as Mr. Eaton, will drive, which is obviously not an absolute. Indeed, in this case, Dogfish Head attempted to contact a taxi service for Mr. Eaton, but he refused. It is simply not a given that imbibing alcohol and driving are coextensive.
Even more of an obstacle is the assumption that Dogfish Head, or any entity or person who serves alcohol to another, has control over the actions of that party. Foreseeability in the context of controlling
When the harm is caused by a third party, rather than the first person, as is the case here, our inquiry is not whether the harm was foreseeable, but, rather, whether the person or entity sued had control over the conduct of the third party who caused the harm by virtue of some special relationship:
Remsburg v. Montgomery, 376 Md. 568, 583, 831 A.2d 18, 26-27 (2003), quoting Ashburn, 306 Md. at 628, 510 A.2d at 1083. A tavern owner who provides alcohol to an intoxicated patron does not exercise control over the conduct of the patron, in driving or walking, for example. In the absence of control, our jurisprudence is replete with holdings that, regardless of any foreseeability, a duty does not exist to the general public, with respect to harm caused by a third party, absent the existence of a special relationship between the person sued and the injured party or the person sued and the third party.
Our most recent pronouncement in which we did not define a duty to the general public with respect to harm caused by a third party was Barclay v. Briscoe, 427 Md. 270, 47 A.3d 560 (2012). In Barclay, we were asked to consider whether an employer was liable to an injured motorist when an employee, who had been working for 22 hours, was involved in a car accident on his way home. The duty to the public that was asserted before us was premised on the employer being liable for "failing to prevent the risk a fatigued employee posed to the motoring public." Id. at 292, 47 A.3d at 573. We noted that "there is no duty to control a third person's conduct so as to prevent personal harm to another, unless a `special relationship' exists either between the actor and the third person or between the actor and the person injured." Id. at 294, 47 A.3d at 574-75, quoting Ashburn, 306 Md. at 628, 510 A.2d at 1083. We expressly stated that, "`[t]he fact that the actor realizes or should realize that action on his part is necessary for another's aid or protection does not itself impose upon him a duty to take such action.'" Id. at 295, 47 A.3d at 575, quoting Lamb v. Hopkins, 303 Md. 236, 242, 492 A.2d 1297, 1300 (1985). We were explicit that there was no duty:
Barclay, 427 Md. at 295, 47 A.3d at 575, quoting Lamb, 303 Md. at 242 n. 4, 492 A.2d at 1300 n. 4.
The Warrs and the dissent attempt to sidestep our jurisprudence by arguing that it is the conduct of the tavern, i.e. that a
In Barclay, the employer increased the risk that the employee would be fatigued by scheduling him for 22 hours of consecutive work, yet we held there was no duty because the employer could not control the employee's conduct after his shift and there was no relationship between the employer and the injured person. Barclay, premised on decades of our jurisprudence, is indistinguishable from the instant case and recognizes that risk assessment is not the nomenclature of duty to third parties; "special relationship" is. In Barclay, a unanimous opinion of this Court within the last year, we explicitly rejected that which the dissent embraces: "[A]ccording to Oregon case law, including its recognition of dram shop liability, the employer would still be `subject to the general duty to avoid conduct that unreasonably creates foreseeable risk of harm' to a third party.... As explained, supra, this is not the law in Maryland." Barclay, 427 Md. at 300, 47 A.3d at 578 (emphasis added) (citations omitted).
The foundation of our jurisprudence,
Id. at 628, 510 A.2d at 1083 (citations omitted).
We reaffirmed the principle that a special relationship must exist to support liability for harm caused by a third party, in the context of 911 operators, in Muthukumarana v. Montgomery County, 370 Md. 447, 805 A.2d 372 (2002). In Muthukumarana, we resolved two cases involving the issue of whether emergency dispatchers owed a duty to individuals who suffered harm after contact with 911. In the first case, a young woman was left, unconscious, in the woods by a group of her "friends," after they had been drinking. Fearing the consequences of being caught drinking underage, a member of the group called 911 to anonymously report the young woman's location. The dispatcher, however, relayed the incorrect information to patrol officers, who went to the wrong location, and did not find the young woman, who died at the location provided to the dispatcher. In the companion case, a woman who had been assaulted by her husband called 911 to report the domestic violence. While she was on the phone with the operator, her husband returned to the room in which she and her children were and killed himself and the children.
In both cases, the plaintiffs alleged that the dispatch operators owed a duty to the injured third parties. We, however, disagreed, relying on Ashburn for the principle that, absent a special relationship, the dispatchers did not owe a duty to the members of the general public who call for emergency assistance. Muthukumarana, 370 Md. at 487-88, 805 A.2d at 396 ("`[a] proper plaintiff ... is not without recourse. If he alleges sufficient facts to show that the defendant policeman created a `special relationship' with him upon which he relied, he may maintain his action in negligence.'" (quoting Ashburn, 306 Md. at 630-31, 510 A.2d at 1085)).
We also addressed the issue of duty to a third party in the context of a hunting party, in Remsburg v. Montgomery, 376 Md. 568, 831 A.2d 18 (2003). In Remsburg, the senior Mr. Remsburg organized a deer hunting party that included his son, James Remsburg, Jr., near property owned by the Montgomerys. The junior Remsburg, while waiting for the hunting season to officially begin in a few minutes time, heard trees rustling and fired his shotgun in the direction of the sound, without determining whether it was a deer. The slug from his weapon stuck Brian and Charles Montgomery, who had been part of another hunting party and were shielded from sight by trees, and caused severe injury. The Montgomerys sued the senior Remsburg, alleging that he, as the leader of the hunting party, owed Mr. Montgomery a duty to prevent harm caused by third parties. We, however relied on the general rule, articulated in Ashburn, that
We also declined to impose a duty for harm caused by a third party in the context of product liability and "failure to warn" claims in Gourdine v. Crews, 405 Md. 722, 955 A.2d 769 (2008). In Gourdine, we considered whether a manufacturer of insulin medications should have been under a duty to warn the injured party, who was not taking the medication, of the risk that a patient who was taking the medication could suffer side effects and cause injury. We held that the manufacturer had no duty to the specific plaintiff, who had not alleged any special relationship, to warn her of the potential harm caused by a patient on its medication. We declined to adopt a policy that there was a duty to the general public regarding the harm caused by a third party, because such a concept would encompass an indeterminate number of individuals:
Id. at 750, 955 A.2d at 786 (internal quotations omitted). See also Patton v. USA Rugby Football, 381 Md. 627, 638-44, 851 A.2d 566, 570-76 (2004) (using the special relationship test to determine whether the rugby association could be liable for a referee's alleged negligence in failing to cancel a game, at which a player and a spectator were struck by lightning).
The concept of special relationships, then, between the party sued and the injured party is the gravamen of our determinations of liability in third party duty cases. We have consistently recognized that, in the absence of control or a special relationship, there can be no duty to an injured person for harm caused by a third party. Our jurisprudence in this regard comports with the general understanding of duty as articulated in Dan B. Dobbs's The Law of Torts 474 (2000). He expressly noted that there is no "blanket duty" with respect to a tavern owner controlling the conduct of its intoxicated patrons:
In this case, the Warrs do not assert any relationship existed between themselves and Dogfish Head, and, therefore, there cannot be a duty owed to them by the tavern with respect to the harm caused by a third person.
The Warrs also argue that various provisions of the Restatements (Second) and (Third) of Torts provide a foundation for dram shop liability. They primarily rely upon Section 283 of the Restatement (Second) of Torts,
The Warrs next point to comment c of Section 302 of the Restatement (Second) of Torts, which we referenced in Reed v. Campagnolo, 332 Md. 226, 630 A.2d 1145 (1993), as illustrative of the duty owed by Dogfish Head to refuse to serve drunken patrons. Comment c provides, in relevant part according to the Warrs, that an actor "may be negligent in setting in motion a force the continuous operation of which, without the intervention of other forces or causes, results in harm to another." The Warrs' claim that this comment is evidence that there exists a duty at common law, however, is without merit, as comment c goes on to state that "[s]uch continuous operation of a force set in motion by the actor, or of a force which he fails to control, is commonly called `direct causation' by the courts, and very often the question is considered as if it were one of the mechanism of the causal sequence." Thus, the very citation used to support the Warr's argument eviscerates it, as Section 302 applies to causality, not duty. See Reed, 332 Md. at 240, 630 A.2d at 1152 (utilizing Section 302 to analyze causality, not duty of care).
Section 315 of the Restatement (Second) of Torts.
Id. at 208. Relying on a Pennsylvania case, Jardine v. Upper Darby Lodge No. 1973, Inc., 413 Pa. 626, 198 A.2d 550 (1964), and invoking Section 315 of the Restatement (Second) of Torts, the court likened providing alcohol to an already intoxicated patron to giving a gun to a "demented individual," and held that "those who furnish liquor have an obligation or `duty' to exercise care for the protection of others." Ontiveros, 667 P.2d at 211.
The Supreme Court of Texas also referenced Section 315 when it adopted dram shop liability in El Chico Corp. v. Poole, 732 S.W.2d 306 (Tex.1987), modified by
We, though, have rejected extending the rationale of Section 315 to the general public in Valentine v. On Target, Inc., 353 Md. 544, 553, 727 A.2d 947, 951 (1999), when we stated "[o]ne cannot be expected to owe a duty to the world at large to protect it against the actions of third parties, which is why the common law distinguishes different types of relationships when determining if a duty exists. The class of persons to whom a duty would be owed under these bare facts would encompass an indeterminate class of people, known or unknown." We recently reaffirmed rejection of expansive liability under Section 315 in Barclay v. Briscoe, 427 Md. 270, 47 A.3d 560 (2012). In Barclay, we were asked to consider whether an employer was liable to an injured third party when an employee, who had been working 22 straight hours, was involved in a car accident on his way home. We held that he could not and noted, with respect to the issue of duty, that
Id. at 295, 47 A.3d at 575, quoting Lamb v. Hopkins, 303 Md. 236, 242 n. 4, 492 A.2d 1297, 1300 n. 4 (1985). In reaching the conclusion that there was no duty, we relied, in part, on the reasoning of our brethren on the Court of Special Appeals in Kuykendall v. Top Notch Laminates, Inc., 70 Md.App. 244, 520 A.2d 1115 (1987), a case involving facts very similar to those now before us.
In Kuykendall, Evelyn Hargis was killed in a motor vehicle accident involving a drunk driver. Two employees of Top Notch Laminates were driving separate cars and were swerving back on forth on the roadway in "horse play." One of the employees swerved across the center line and struck the car driven by Ms. Hargis. The employees had been drinking at a company function for five-and-a-half hours before the accident and were highly intoxicated. Ms. Hargis's husband filed suit against Top Notch Laminates, alleging that the employees were obviously drunk and Top Notch Laminates was liable for
The Warrs finally assert that the tavern owners owed a duty to refuse to serve an intoxicated patron, because there is a criminal statute prohibiting the sale of alcohol to visibly intoxicated persons. Section 12-108(a)(1) of Article 2B of the Maryland Annotated Code (1957, 2011 Repl.Vol.) states that a licensed vendor of alcohol may not sell alcohol:
In so doing, the Warrs rely on jurisprudence from sister courts that have extrapolated civil liability from criminal statutes.
The New Jersey Supreme Court, the first to judicially adopt dram shop liability, in. Rappaport v. Nichols, 31 N.J. 188, 156 A.2d 1 (1959), for instance, addressed a situation in which a tavern had sold alcohol to a minor, and was sued because the minor had driven home from the bar, colliding with a car driven by Arthur Rappaport, who was killed. After summary judgment was granted in favor of the tavern, noting that the common law rule was that taverns were not liable for injuries caused to third parties by intoxicated patrons, id. at 4, the patron appealed. In reversing, the court briefly discussed the duty owed by the tavern operators to not sell alcohol to intoxicated patrons, imposed because tavern owners were statutorily prohibited from selling alcohol to minors and those "actually or apparently intoxicated," "for the protection of members of the general public" as part of the licensing requirements to sell alcohol. Id. at 8.
The Maine Supreme Judicial Court, having been called upon to decide whether the Maine Dram Shop Act provided an exclusive remedy or whether the plaintiffs could maintain a traditional negligence action in Klingerman v. SOL Corporation of Maine, 505 A.2d 474 (Me.1986), acknowledged that there was a "safety" statute that imposed fines upon establishments that served visibly intoxicated persons. Based on this statute, the court evoked a duty: "[t]he statute achieves that objective by imposing a duty upon liquor licensees not to serve
In Massachusetts, its supreme court, in Adamian v. Three Sons, Inc., 353 Mass. 498, 233 N.E.2d 18 (1968), also adopted dram shop liability based, in part, upon statutory enactments. In that case, the tavern owner operated a bar on a highway that had a large parking lot. A patron of the tavern consumed a large amount of alcohol and, after leaving, was involved in a car accident. In reviewing whether the plaintiff's complaint against the tavern should have been demurred, the court noted that the statute providing liability for tavern owners was repealed at the end of the Prohibition Era, but that "[t]he legislative policy, being clear, is not to be rendered futile of practical accomplishment because of the repeal at the end of the prohibition era of the Dram Shop Act which gave an express right of action to persons suffering damage due to a violation of the act." Id. at 19. The court then held that tavern owners could be held liable under common law negligence for the sale of liquor to "already intoxicated individuals," id. at 20. Although most of the court's analysis was focused on the issue of proximate cause, the court stated, with respect to duty, that the tavern owner had a "duty to members of the general public using the public highways," id. at 19, that was imposed by virtue of a 1933 criminal statute that stated, "[n]o alcoholic beverage shall be sold or delivered on any premises licensed under this chapter to an intoxicated person." Id.
In Wyoming, the Supreme Court of Wyoming was even more explicit in its recognition of a duty to the entire public when adopting dram shop liability, in McClellan v. Tottenhoff, 666 P.2d 408 (Wyo.1983), modified by statute, 1985 Wyo. Sess. Laws ch 205, Section 1, as stated in Daniels v. Carpenter, 62 P.3d 555 (Wyo.2003). Wyoming had earlier decided that there was no liability on the part of taverns for injuries caused by a drunken patron, Parsons v. Jow, 480 P.2d 396 (Wyo.1971), noting that the basis for such a holding was that "[t]here may be sales without intoxication, but no intoxication without drinking." McClellan, 666 P.2d at 409 (internal quotation omitted). In overturning its decision in Parsons, the Supreme Court of Wyoming noted that there was a statute that provided for civil liability if a tavern served alcohol to either a minor or a habitual drunkard, but only if the tavern had been given written notice of such. McClellan, 666 P.2d at 410. The court then explicitly noted that it was importing a duty from a statute that made it illegal to sell or furnish alcohol "to a minor or intoxicated person in the area," Section 12-5-301 of Wyoming Statutes Annotated (1977), designed to prohibit intoxicated persons from being served. Id. at 413.
This Court historically, however, has not extrapolated civil liability from criminal statutes regulating the sale of alcohol, unlike some of our sister states. Indeed, an earlier version of Section 12-108, the current prohibition on selling alcohol to intoxicated persons, was in effect at the time Felder was decided. In that case, we explicitly rejected the notion that the existence of a criminal statute was sufficient to establish civil liability, because the Legislature had not enacted laws to impose civil liability:
Felder, 292 Md. at 183-84, 438 A.2d at 499.
Where we have imposed civil liability on the basis of a criminal statute, we have required a party to show: "(a) the violation of a statute or ordinance designed to protect a specific class of persons which includes the plaintiff, and (b) that the violation proximately caused the injury complained of." Brooks v. Lewin Realty III, Inc., 378 Md. 70, 79, 835 A.2d 616, 621 (2003); see also Wietzke v. Chesapeake Conference Association, 421 Md. 355, 388, 26 A.3d 931, 951 (2011); Remsburg v. Montgomery, 376 Md. 568, 584, 831 A.2d 18, 37 (2003). The statutes regulating the sale of alcohol and prohibiting its provision to those visibly intoxicated were enacted "for the protection, health, welfare and safety of the people of this State." Maryland Code (1957, 2011 Repl.Vol.), Article 2B, Section 1-101(a)(3). Our jurisprudence establishes that this general class of individuals is not sufficient to create a tort duty because, "we have always required the statute or ordinance allegedly violated to set forth mandatory acts that are clearly for the protection of a particular class of persons and not merely for the public as a whole." Wietzke, 421 Md. at 388, 26 A.3d at 951 (internal quotations omitted) (emphasis in original); see also Ashburn v. Anne Arundel County, 306 Md. 617, 635, 510 A.2d 1078, 1087 (1986) ("In order to impose a special relationship between police and victim, and thereby to create a duty in tort, however, a statute must `set forth mandatory acts clearly for the protection of a particular class of persons rather than the public as a whole.'" (emphasis in original) (citations omitted)). Thus, the existence of criminal statutes prohibiting the sale of alcohol to intoxicated individuals is not sufficient to support liability in the instant case, because the statute does not identify a particular class of protectees.
As a result, in holding that Dogfish Head did not owe a duty to the Warrs, as members of the general public, we also value the words of our colleagues on the Supreme Court of Delaware who, in Shea v. Matassa, 918 A.2d 1090, 1094 (Del. 2007), quoting McCall v. Villa Pizza, Inc., 636 A.2d 912, 913 (Del.1994), stated: "The essential rationale underlying this line of cases is that the determination of whether to impose liability on tavern owners for injuries caused by intoxicated patrons involves significant public policy considerations and is best left to the General Assembly." The Legislature, as the Delaware court noted, "is in a far better position that this Court to gather the empirical data and to make the fact finding necessary to determine what the public policy should be...." Id., quoting Wright v. Moffitt, 437 A.2d 554 (1981). We agree.
HARRELL, ADKINS, and McDONALD, JJ., dissent.
On August 21, 2008, Michael Eaton entered JMGM's bar where, over a six-hour period, he was served at least twenty-one alcoholic drinks, to the point of becoming violent and aggressive. Eaton then left the bar, got in his car, drove down the road at eighty-eight to ninety-eight miles per hour, collided with another car, and killed an innocent ten-year-old child.
Unfortunately, the facts of this case are not unusual or extreme. In Maryland, over 24,000 people are arrested every year for driving under the influence of alcohol. See Task Force to Combat Driving Under the Influence of Drugs and Alcohol, Findings and Recommendations 1-2 (2008). These drunk drivers come largely from bars and commercial vendors — just like the establishment owned by JMGM. See Nat'l Highway Traffic Safety Admin., Preventing Over-consumption of Alcohol — Sales to the Intoxicated and "Happy Hour" (Drink Special) Laws 2 (2005); A. James McKnight & Fredrick M. Streff, The Effect of Enforcement Upon Service of Alcohol to Intoxicated Patrons of Bars and Restaurants, 26 Accid. Anal. & Prev. 79, 79 (1994). They then cause an average of 4,899 accidents every year in Maryland. See Task Force at 1-2. And sadly, the result is often no different than what happened in this case: "an average of
Against the backdrop of this crisis, this case presented the opportunity to impose dram shop liability on commercial vendors of alcohol
In 1981, the last time this Court took up the issue of dram shop liability, we stated that
The Majority, in holding that JMGM does not owe a duty to the Warrs, is quick to state that it "do[es] not write on a blank slate." Maj. Op. at 178, 70 A.3d at 351-52. Yet, the Majority immediately abandons the reasoning of this Court's precedent, which was based on proximate cause, and instead, creates its own duty-of-care analysis. As I will explain, not only does the Majority disregard our precedent, but its new analysis is inconsistent with our established duty-of-care jurisprudence.
The concept of "dram shop liability" is a legal term of art used to refer to the "[c]ivil liability of a commercial seller of alcoholic beverages for personal injury caused by an intoxicated customer." Black's Law Dictionary 568 (Bryan A. Garner et al. eds., 9th ed.2009). Dram shop liability did not exist under the traditional common law rule. This was because the rule "was predicated on the theory that the drinking rather than the serving of alcohol was the proximate cause of intoxication." Frank A. Sloan, et al., Drinkers, Drivers, And Bartenders: Balancing Private Choices and Public Accountability 118 (2000). Under this rationale, "even if a vendor breached a duty to those injured by an intoxicated person, the vendor was not legally liable because he was not considered the proximate cause of the injuries." Id. Accordingly, the sole rationale supporting the traditional common law rule was that "the chain of legal causation between the negligent serving of an alcoholic beverage and the injury was severed
This traditional common law rule was recognized in Maryland in the case of State v. Hatfield, 197 Md. 249, 78 A.2d 754 (1951). In that case, a bar served alcohol to a minor and did so even after he had become intoxicated. Id. at 251, 78 A.2d at 755. The minor then got back into his car and drove away from the bar, colliding with another car and killing the other driver. Id. In holding that the bar was not liable, the Court explained that "the common law knows no right of action against a seller of intoxicating liquors, as such, for
What is clear, then, is that when this Court refused to recognize dram shop liability for the first time, it did so based on the traditional common law understanding that the selling of alcohol was not a proximate cause of the injury suffered by the third person. Indeed, in the entire Hatfield opinion, the word "duty" never once appears. Hatfield, then, provides no support for the Majority's "no duty" holding.
Following Hatfield, this Court has addressed dram shop liability on only one other occasion — in Felder v. Butler, 292 Md. 174, 438 A.2d 494 (1981) — but broke no new ground and followed, in lockstep, the decision in Hatfield. While the Felder Court recognized a "new trend of cases" that found a duty on the part of the bar as to an injured third person, it did not discuss duty of care. Id. at 178, 438 A.2d at 496. Instead, the Court, with some apparent reluctance, followed Hatfield and based its holding on older proximate cause decisions:
Id. at 184, 438 A.2d at 499. These two, our only cases on dram shop liability, demonstrate that this Court's refusal to recognize dram shop liability has been based solely on the old common law rule that the selling of alcohol was not a proximate cause of injuries resulting from the subsequent torts of an intoxicated customer. Therefore, the Majority's opinion, resting on the absence of any duty of care to a third person injured by an intoxicated customer, is not based on Maryland precedent; it is an alternative approach that has never been taken by this Court before.
I apply our well-established principles of common law negligence to this case and explain how the Majority leads our duty-of-care jurisprudence astray.
This Court has adopted the often quoted passage from Prosser and Keeton's definition of the term "duty" as "an obligation, to which the law will give recognition and effect, to conform to a particular standard of conduct toward another." See, e.g., Remsburg v. Montgomery, 376 Md. 568,
As a result, the existence of a duty depends on whether the case involves active risk creation or passive failure to act:
Id. § 56, at 374.
Under this definition that Maryland adopted from Prosser and Keeton, there are two overarching duty rules. First, when a person chooses to act, he owes a duty to exercise reasonable care so as not to expose others to unreasonable risks of harm. See, e.g., B.N. v. K.K., 312 Md. 135, 141, 538 A.2d 1175, 1178 (1988) ("The notion of duty is founded on the responsibility each of us bears to exercise due care to avoid unreasonable risks of harm to others." (citations and quotation marks omitted)); Moran v. Faberge, Inc., 273 Md. 538, 543, 332 A.2d 11, 15 (1975) ("To begin with we note that a manufacturer's duty to produce a safe product, with appropriate warnings and instructions when necessary, is no different from the responsibility each of us bears to exercise due care to avoid unreasonable risks of harm to others."). Second, when a person is merely a passive observant, he ordinarily does not owe a duty to affirmatively aid or rescue another to prevent them from suffering harm, absent the creation of a special relationship that would justify imposing a duty to take affirmative action for the benefit of another. See, e.g., Barclay v. Briscoe, 427 Md. 270, 294, 47 A.3d 560, 574-75 (2012) ("[T]here is no duty to control a third person's conduct so as to prevent personal harm to another, unless a special relationship exists." (citation and quotation marks omitted)). Or, as Prosser and Keeton explained: "If there is no duty to go to the assistance of a person in difficulty or peril,
Before we decide whether the bar could owe a duty to the Warrs, we must determine which of these duty rules will govern this case. To do this, we examine whether the bar's conduct was active or passive. See Restatement (Third) of Torts: Liability for Physical and Emotional Harm § 37 cmt c. (2012) ("[T]he factfinder would have to determine whether an actor's conduct created a risk of harm as a predicate for determining whether a duty exists under [the exercise of reasonable care] or whether a duty, if any, must be found in [an
I use the familiar terms "active" and "passive" conduct at the risk of being overly simplistic. More precisely, the inquiry is not whether the defendant performed an act or failed to perform an act.
In this case, Eaton entered JMGM's bar at approximately 5 P.M. on August 21, 2008. For the next six hours, the bar allegedly served him at least twenty-one alcoholic beverages to the point of Eaton becoming violent and aggressive. The bar, thus, took a non-dangerous Eaton and, by serving him drink after drink after drink,
Because the bar's alleged conduct may have created a greater risk of harm, it falls into the category of active conduct and constitutes misfeasance, not nonfeasance. As a result, the bar cannot avoid liability "to any person to whom harm may reasonably be anticipated as a result of the [the bar's] conduct." Keeton, § 56, at 374. As this Court has often explained:
B.N., 312 Md. at 141, 538 A.2d at 1178 (emphasis added) (citations and quotation marks omitted); see also Balt. Gas & Elec. Co. v. Flippo, 348 Md. 680, 700, 705 A.2d 1144, 1154 (1998); Faya v. Almaraz, 329 Md. 435, 448, 620 A.2d 327, 333 (1993); Moran, 273 Md. at 543, 332 A.2d at 15; McCance v. Lindau, 63 Md.App. 504, 514, 492 A.2d 1352, 1358 (1985); Ghassemieh v. Schafer, 52 Md.App. 31, 40, 447 A.2d 84, 88-89 (1982).
The Majority ignores this ordinary duty "to exercise due care to avoid unreasonable risks of harm to others," by relying on precedent which states: "the general rule followed in most jurisdictions, including Maryland, is that `there is no duty to control a third person's conduct so as to prevent personal harm to another, unless a special relationship exists either between the actor and the third person or between the actor and the person injured.'" Barclay, 427 Md. at 294, 47 A.3d at 574-75 (footnote omitted) (quoting Ashburn v. Anne Arundel Cnty., 306 Md. 617, 628, 510 A.2d 1078, 1083 (1986)); see Maj. Op. at 183-90, 70 A.3d at 354-59.
By applying this rule in the context of dram shop liability, the Majority shows a fundamental misunderstanding of the concept of duty of care, and consequently, applies the wrong standard in this case. As I explained, this "special relationship" standard comes into play only when the actor's conduct is passive. The Majority fails to recognize this point, and as a result, erroneously requires the "special relationship" even when the conduct actively creates a risk of harm to a third party.
Maryland has adopted the rule, on which the Majority relies, that — absent a special relationship — an individual has no duty to prevent a third person from causing harm to another, directly from Section 315 of the Second Restatement of Torts. Section 315 provides:
Restatement (Second) of Torts § 315 (1965); see Barclay, 427 Md. at 294-97, 47 A.3d at 574-76.
As the commentary to the Second Restatement makes clear, these rules apply
Restatement (Second) of Torts § 314 cmt. d (1965). To demonstrate this distinction between the control of active force and mere passive observance, the Second Restatement provides us with the following illustration:
Id. § 314 cmt. d, illus. 3. In other words, the rules in Section 314 and 315 would protect the bystander, so that the bystander does not owe a duty of care to A, because the bystander was merely passive and did not actively perform an act of force contributing to the harm suffered by A. The rules in Section 314 and 315 would not, however, apply to the B Railroad because the Railroad engaged in an act of force by driving the train, had control over that force, had knowledge of A's peril, but failed to control that force by not stopping the train. Thus, the Railroad would owe the ordinary duty of care to A.
To further demonstrate the distinction between the situations when Sections 314 and 315 apply and when they do not, the Second Restatement directs our attention to the commentary following Section 302.
Id. § 302 cmt. a. The commentary then continues:
Id. § 302 cmt. c.
What is clear then — after reading Sections 314 and 315, the accompanying commentary and illustrations, and contrasting it to Section 302 — is that the "special relationship" rule in Section 315, which we adopted as Maryland's common law, simply does not apply in this case. Instead, the Restatement clearly contemplates that a defendant (the bar), who creates a risk of harm is under the ordinary duty to exercise reasonable care and may be negligent if it (the bar) actively creates an unreasonable risk that a third person (Eaton) will do harm to another (the Warrs). Thus, Section 315 of the Second Restatement, on which the Majority bases its holding, does not actually support the Majority's opinion.
Further undermining the Majority's opinion is the Restatement (Third) of Torts: Liability for Physical and Emotional Harm, which confirms my understanding of the rules found in Section 314 and 315, and leaves no doubt that these sections do not apply in this case. Sections 314 through 320 of the Second Restatement, which we adopted as part of Maryland's common law, are now found at Sections 37 through 44 of the Third Restatement.
Restatement (Third) of Torts: Liability for Physical and Emotional Harm § 37 (2012). In explaining the history of Section 37, the commentary to the Third Restatement explicitly confirms my reading of Section 314 and 315 above:
Id. § 37 cmt. a.
Directly refuting the Majority, the Third Restatement explicitly warns against the holding which the Majority now imposes:
Id. § 37 cmt. d.
The Third Restatement establishes that an individual who engages in active risk creation is subject to the ordinary duty of reasonable care:
Id. § 7. Under this duty rule, "[w]hen an actor's conduct creates a risk of harm, this Section requires that the actor exercise reasonable care in connection with that conduct." Id. § 7 cmt. k. To determine when an actor's conduct creates a risk of harm, the Third Restatement explains:
Id. § 7 cmt. l.
Further showing this distinction, the Third Restatement provides that conduct can be negligent based on the prospect of improper conduct by a third party: "The conduct of a defendant can lack reasonable care insofar as it foreseeably combines with or permits the improper conduct of the plaintiff or a third party." Id. § 19. In this context, the Restatement explains the distinction between active risk creation and passive failure to act by stating:
Id. § 19 cmt. e. As way of illustration, the Restatement provides:
Id. § 37 cmt. d.
The Restatements, both the Second and the Third, clearly envision that the rule of Section 315, on which the Majority relies, applies only when the defendant's conduct constitutes a passive failure to aid or recuse another. And, it has no applicability when the defendant's own conduct creates a risk of harm to another.
Until the Majority's opinion today, our case law had been perfectly in line with this explanation. Until today, this Court had applied the "special relationship" rule of Section 315 only to cases in which the defendant was passive and did not contribute to the harm suffered by the plaintiff.
The next case to consider Section 315 was Lamb v. Hopkins, in which we were asked to decide "whether a probation officer who fails to report a probationer's violation to the sentencing court owes any duty to an individual injured by the negligence of the probationer." 303 Md. 236, 238, 492 A.2d 1297, 1298 (1985). The Court adopted Section 315 as the general rule, under which "absent a special relation between the actor and third person, the actor has no duty to control the conduct of a third person and therefore no liability attaches for the failure to control that person."
The Court addressed Section 315 again in Valentine v. On Target, Inc., 353 Md. 544, 727 A.2d 947 (1999). In that case, we considered "what, if any, tort duty a gun store owner owes to third parties to exercise reasonable care in the display and sale of handguns to prevent the theft and the illegal use of the handguns by others against third parties." Id. at 546, 727 A.2d at 948. The Court recognized that the rule of Section 315 applies only "with respect to a duty to aid" type case. Id. at 552, 727 A.2d at 951 (citation and quotation marks omitted). Conversely, the Court also recognized that the ordinary duty to exercise reasonable care applies when the defendant actively creates the risk or opportunity for harm. Id. at 552-53, 727 A.2d at 951. Because the store owner's conduct was merely passive,
Most recently, just last year, the Court addressed Section 315 in Barclay v. Briscoe, 427 Md. 270, 47 A.3d 560 (2012).
The Court applied the rule from Section 315, and held that there was no special relationship between the employer and the injured party. Id. at 295, 47 A.3d at 575. This holding reflected the Court's awareness of the distinction between active and passive risk creation:
Id. at 306, 47 A.2d at 582. Indeed, the Court explained this holding by looking to
With this, I agree. No duty will lie if an employer simply knows that an employee is tired, or if a bar simply knows that a patron is drunk. The alleged duty does not attach until the bar serves an alcoholic drink
The Court in Barclay also recognized that its holding reflected the absence of any public policy on the issue of fatigued employees in Maryland and declined to "use this case to fashion some type of judicially-imposed maximum working hours standard across all industries." Id. at 307, 47 A.3d at 582. Unlike the serving of alcohol to visibly intoxicated persons, Maryland has no law or regulation forbidding an employer from allowing an employee to work multiple shifts. As I discuss later, however, criminal statutes forbid a bar from serving alcohol to a visibly intoxicated individual and forbid an intoxicated individual from driving.
What can be summarized from the case law discussing Section 315 is that, until the Majority's opinion today, Maryland's precedent had been consistent with the explanation of Section 315 of the Second Restatement set out above. That is, the rule of Section 315, which requires a special relationship, applies only when the defendant's conduct is passive, i.e. he fails to act. Before today, this Court has never applied Section 315 to relieve a defendant from liability when the defendant's own affirmative acts increased the risk of foreseeable harm to another.
As I have demonstrated, contrary to the assertion of the Majority, Section 315, as it was contemplated by the Restatement and implemented by this Court, does not apply to cases in which the defendant's (the bar's) own affirmative conduct creates a risk of harm to another (the Warrs).
Dobbs, for example, in his treatise The Law of Torts,
2 Dan B. Dobbs, et al., The Law of Torts § 251, at 2-4 (2d ed.2011). Dobbs then elaborates on the ordinary duty of care, explaining that, "The general duty of reasonable care arises when the harm complained of is physical harm to person or property and the parties are strangers, that is, when the parties are not in a special relationship that calls for a different duty standard." Id. at § 254, at 12. To the contrary, "When the ... parties are in a special relationship..., courts may prescribe or recognize different obligations." Id.
Driving home the point that Section 315 does not apply in cases of active risk creation,
Likewise, this view is also shared by Oscar Gray in his treatise Harper, James and Gray on Torts. As Gray explains, at one end of the duty spectrum are cases in which individuals actively create a risk of harm. Explaining the duty applicable in these cases, Gray states that, "people owe a duty to use care in connection with their affirmative conduct, and they owe it to all who may foreseeably be injured if that conduct is negligently carried out." 3 Oscar S. Gray, Harper, James & Gray on Torts § 18.6, at 862 (3d ed.2007). Gray continues: "At the other end of the spectrum are cases where the peril to the plaintiff has come from a source in no way connected with the defendant's conduct or enterprises or undertakings, past or present, but where the defendant has it in his power by taking some reasonable precaution to remove the peril." Id. at § 18.6, at 874. In these cases, the rule of Section 315 would apply, and as Gray phrases it, "the law has traditionally been said to find no duty." Id. But Gray clearly recognizes that the rule of Section 315 does not mean that liability for third party conduct is always foreclosed. He explains that, "[t]he distinction between affirmative conduct and the mere omission to act comes into play in deciding whether an actor has the duty to control the conduct of others." Id. at § 18.7, at 899.
Thus, the major legal commentators on the law of torts — including the Restatement Second; the Restatement Third; Prosser and Keeton; Dobbs; and Harper, James and Gray — all support my understanding that the ordinary duty of care governs individuals who actively create a risk of harm to others, and the rule of Section 315 governs individuals who are merely passive observants, playing no role in the harm suffered by the plaintiff.
Indeed, further contradicting the Majority's use of the special relationship test in this case, this Court has applied the ordinary duty of reasonable care, in several different instances, to hold a defendant liable, for negligence, to members of the general public based on harm caused by a third person. The tort of negligent entrustment is a particularly apt illustration.
The most common example of negligent entrustment occurs when the owner of an automobile loans a car to a third person who the owner knows, or should know, was likely to use the car in a manner involving an unreasonable risk of physical harm to others. See Restatement (Second) of
Likewise, in the tort of negligent hiring we also hold defendants liable for negligence to members of the general public for harm caused by a third person. This is because an employer owes a duty of reasonable care to select fit employees who will not cause an unreasonable risk of harm to others. Explaining this duty, this Court has specifically stated: "The class of persons intended to be protected by the imposition of this duty necessarily includes those
In Henley v. Prince George's County, for example, a building contractor hired a former convict as a carpenter instructor, but subsequently entrusted the former convict to perform security and caretaking functions as well. 305 Md. at 324-25, 503 A.2d at 1335-36. The contractor knew that the convict had been convicted of second degree murder and had made comments that, if he caught the person vandalizing the property, he would rape and kill him. Id. Still, the contractor kept the former convict in his security position. Id. at 327, 503 A.2d at 1336. The former convict then did just what he promised to do: he raped and killed a suspected vandal. Id. The Court stated that the building contractor could owe a duty to the suspected vandal because "[t]he class of persons intended to be protected by the imposition of this duty necessarily includes those members of the public who would reasonably be expected to come into contact with [the former convict] in his performance
As these examples clearly illustrate, contrary to the Majority opinion, this Court has imposed the ordinary duty of reasonable care on a defendant, as to members of the public who are harmed by the conduct of a third person, without requiring the plaintiff to prove a special relationship under Section 315.
The use of foreseeability to limit the ordinary duty to exercise reasonable care contradicts the Majority's interpretation that the ordinary duty of care only applies in cases where the plaintiff and defendant have a direct one-on-one relationship. Certainly there are at least some situations in which it is foreseeable that a defendant's affirmative conduct will cause a third person to harm the plaintiff. See Gourdine v. Crews, 405 Md. 722, 754, 955 A.2d 769, 789 (2008) ("Therefore, although there may be circumstances where
To determine in which cases the ordinary duty will lie, this Court is required to examine several factors. In this group, foreseeability has often been described as the most important factor, but it is not the only one, and the factors we consider in
Remsburg v. Montgomery, 376 Md. 568, 583, 831 A.2d 18, 26 (2003) (citation omitted). The Majority, although it cites these factors, fails to provide any in-depth analysis of them. I endeavor to examine each of the necessary factors in the context of this case.
To determine whether a common law duty should be imposed on the bar, I begin with the factor that is often considered the most important in the duty calculus: "the foreseeability of harm to the plaintiff." In determining when the harm must have been foreseeable, this Court has explained: "Foreseeability as a factor in the determination of the existence of a duty involves a prospective consideration of the facts existing at the time of the negligent conduct." Henley, 305 Md. at 336, 503 A.2d at 1341. In this case, then, the question is whether it was foreseeable by the tavern, at the time of continuing to serve alcohol to Eaton after he was already "visibly under the influence," that Eaton might get behind the wheel of a car, cause an accident, and kill or seriously injure someone.
Most people know that the "[o]ver-consumption of alcohol is linked to serious alcohol-related problems, including traffic crashes and fatalities...." Nat'l Highway Traffic Safety Admin, at 11. In Maryland alone, over 24,000 people are arrested every year for driving under the influence of alcohol. See Task Force, Findings and Recommendations, at 1-2. Drunk drivers account for approximately forty percent of all traffic related accidents in this State. Id. On average, this accounts for 4,899 accidents every year. Id. Sadly, these accidents often result in the predictable outcome — death: "In Maryland, an average of
This unfathomable number of deaths is in no small part related to commercial vendors of alcohol. As the United States Department of Transportation explained: "Studies ... show that up to 50 percent of people driving under the influence had their last drinks at licensed establishments...." Nat'l Highway Traffic Safety Admin., at 2. As another study put it: "Roadside surveys disclosed that the leading source of intoxicated drivers ... has been licensed on-sale establishments, such as bars and restaurants." McKnight, at 79.
In the face of these statistics, and based on common knowledge, it was clearly foreseeable by the bar, that if it continued to serve a patron who was already "visibly under the influence" of alcohol, the patron may drink and drive, violate the rules of the road, and cause an accident. To say that the bar could not reasonably foresee the possibility of Eaton driving a car would be misguided.
In addition to the foreseeability analysis, this Court also considers whether imposing a duty would create a "policy of preventing future harm." Discussing this factor, this Court has looked to the following explanation offered by Prosser and Keeton:
Keeton, § 5, at 25-26; see also Matthews v. Amberwood Assocs. Ltd. P'ship, 351 Md. 544, 570, 719 A.2d 119, 132 (1998), modified, Tracey v. Solesky, 427 Md. 627, 50 A.3d 1075 (2012).
Regarding the danger created by people like Eaton, the General Assembly has sought to prevent both over-intoxication and drunk driving. The Legislature has committed an entire Article of the Code to the regulation of alcoholic beverages, stating: "It is the policy of the State of Maryland that it is necessary to regulate and control the manufacture, sale, distribution, transportation and storage of alcoholic beverages within this State ... to obtain respect and obedience to law and to foster and promote temperance." Md.Code (1957, 2011 Repl.Vol.), Article 2B, § 1-101(a)(1). In so doing, the Legislature further declared that "[t]he restrictions, regulations, provisions and penalties contained in this article are for the protection, health, welfare and safety of the people of this State." Id. § 1-101(a)(3).
To this end, the General Assembly has envisioned that commercial vendors of alcohol will play a role in protecting the public from over-intoxication and drunk driving. The Legislature made it a criminal offense for a bar "licensed under this article, or any employee of the [bar to] sell or furnish any alcoholic beverages at any time ... [t]o any person who, at the time of the sale, or delivery, is
The General Assembly has also sought other ways to rid this State of its drunk drivers. As this Court has previously explained, "[t]he General Assembly's goal in enacting the drunk driving laws ... is to meet the considerable challenge created by this problem by enacting a series of measures to rid our highways of the drunk driver menace." Motor Vehicle Admin. v. Richards, 356 Md. 356, 372-73, 739 A.2d 58, 67-68 (1999) (alterations in original) (citation and quotation marks omitted). These "statutory provisions were enacted for the protection of the public and not primarily for the protection of the accused." Id. at 373, 739 A.2d at 68 (citation and quotation marks omitted). Yet, as the statistics illustrate, the Legislature's efforts have not been successful.
Under these circumstances, it is appropriate, and, I submit, wise, to invoke a common law remedy to help in solving the problem. A main goal of tort law is to deter future negligent conduct, which is accomplished by providing tortfeasors with proper incentives that will create a policy of preventing future harm.
Indeed, scientific "studies of dram shop liability [have] consistently found that this intervention reduced motor vehicle crash deaths in general and alcohol-related crash deaths in particular. Strong evidence indicated that dram shop liability is an effective intervention for reducing alcohol-related harms, as indicated by reduced motor vehicle crashes." Id.
The current statutory scheme jumps from the regulation and licensing of bars straight to criminal responsibility. Imposing a common law duty on commercial vendors not to serve alcohol to a patron, who is already "visibly under the influence," creates effective incentives, which would enhance the statutory scheme already in place to deter misconduct by the tavern and prevent future harm.
The next factor to consider, in determining whether there is a duty, is the closeness of the parties. Similar to the foreseeability analysis, this factor takes into account "the closeness of the connection between the defendant's conduct and the injury suffered." In this regard, this Court has stated:
Jacques v. First Nat'l Bank of Md., 307 Md. 527, 537, 515 A.2d 756, 761 (1986). Thus, this standard involves a spectrum by which courts should determine whether to impose a duty of care. The more severe the injury, the more remote the parties may be.
Here, the harm is as severe as possible. It very often involves death or permanent serious injury. In this case, a ten-year old girl was killed, and her thirteen-year old sister and both grandparents suffered serious injuries. Furthermore, not only is the type of harm severe, but it is frequent. See Task Force, Findings and Recommendations, at 1-2. Thus, the magnitude of the harm moves this case across the spectrum and justifies imposition of a duty in favor of a large class of individuals, including the Warrs in this case.
In determining the existence of a duty, this Court also looks at "the moral blame attached to the defendant's conduct." Under this factor, an intent to cause harm is not necessary. Eisel, 324 Md. at 390-91, 597 A.2d at 455. Rather, "the reaction of persons in general to the circumstances" is important. The question is whether it is "the sense of the community that an obligation exists under the circumstances." Id. In this case, I would answer yes. The majority of the general public would be outraged at a commercial vendor who, for the sake of profit, continues to serve an already drunk person well past the line of being "visibly under the influence," to the point of becoming aggressive and violent, and then sends him on his way, where he gets behind the wheel of a vehicle and kills a ten-year-old girl. By the standards of our community, this is morally blameworthy. See Art.2B, § 12-108(a)(1)(ii) (making the conduct of the bar punishable by criminal penalties); see also Nat'l Highway Traffic Safety Admin., at 7 ("Criminal liability suggests moral approbation....").
Before this Court will impose a duty, however, we also examine "the extent of the burden to the defendant." In this case, establishing a common law duty not to serve alcohol to a person who is "visibly under the influence" does not impose any new or additional burden on the bar owners. This burden already exists, and was imposed on the tavern by the General Assembly — violation of which exposes the tavern to criminal prosecution. See Art.
Moreover, when the death of a Maryland citizen every forty hours is compared against ensuring that a person "visibly under the influence" of alcohol is not served further alcoholic drinks, the scales tip overwhelmingly in favor of imposing a duty on the bar establishments. See Task Force, Finding and Recommendations, at 1-2.
Examining the sum of all the factors, I would hold that the common law of Maryland imposes an ordinary duty of reasonable care on a commercial vendor of alcohol not to continue to serve alcohol to any person "visibly under the influence" of alcohol. It is reasonably foreseeable that a patron visibly under the influence of alcohol may drink and drive and cause a serious accident due to the effects of alcohol. Recognizing a duty augments the current legislative scheme and provides greater incentives for tavern owners to adopt procedures designed to prevent future harm. The nexus between the parties here is sufficiently close given the enormous magnitude of the harm caused by the over-intoxication of Eaton. The conduct of a tavern in selling to visibly intoxicated persons is morally blameworthy and imposing this duty simply invokes a common-law remedy to increase compliance with existing obligations of the tavern.
Let me stress the limits of the duty which I would impose: it involves only the service of alcohol by a commercial vendor
Bailey v. Black, 183 W.Va. 74, 394 S.E.2d 58, 60 (1990). Thus, in order to prevail, a plaintiff (the Warrs) would bear the burden of proving, by a preponderance of the evidence, that the intoxicated patron (Eaton) was served by a commercial vendor (JMGM) after the vendor knew or should have known that the patron was "visibly under the influence" of alcohol.
After duty, comes proximate cause. I would also hold that the serving of alcohol
Unlike the duty of care issue, this Court does have precedent regarding the proximate cause issue — Hatfield and Felder. Under such circumstances, we generally adhere to principles of stare decisis, which "promotes the evenhanded, predictable, and consistent development of legal principles, fosters reliance on judicial decisions, and contributes to the actual and perceived integrity of the judicial process." Livesay v. Balt. Cnty., 384 Md. 1, 14, 862 A.2d 33, 40-41 (2004) (citation and quotation marks omitted). Yet, this Court will alter its
Hatfield drew upon a long-standing rule, created in the 1800s, that there is "no right of action against a seller of intoxicating liquors, as such, for `causing' intoxication of the person whose negligent or wilful wrong has caused injury."
In the 1800s, however, most people would either walk or ride in horse-drawn carriages. At the time the common law rule was developed, the modern automobile had not even been invented, and therefore, the selling of alcohol to a visibly intoxicated person would not have created an unreasonable risk of harm to others through the operation of a motor vehicle. Today, however, people rely substantially on an automobile when they travel outside their immediate neighborhoods. Indeed, many bars provide its patrons with a parking lot or accessible parking nearby.
The significance of this change in our society is obvious and profound. Automobile accidents are one of the leading causes of death in our country, and the addition of alcohol only makes the situation more
Likewise, our societal perceptions of drunk driving have changed greatly since our Hatfield decision in 1951, and even our Felder decision in 1981. The peak of the temperance movement in America was clearly Prohibition. But, after Prohibition ended in 1933, "the pendulum would swing far in the other direction, strongly discouraging governmental intervention in the world of liquor." Barron H. Lerner, One for the Road: Drunk Driving Since 1900 4 (2011). As Lerner put it, the end of Prohibition "ushered in the acceptance of drinking, it also signified Americans' willingness to tolerate and even celebrate drunk driving, though this position was never quite stated as such." Id. at 14. Illustrating the prevalence of this societal acceptance at the time Hatfield was decided, some have argued that it would be "reasonable to call the 1950s and early 1960s the `golden age of drunk driving.'" Id. at 38. With the prosperous economy following the end of World War II, Americans began to buy a large number of cars with just over 40 million vehicles on the road in 1950, the Eisenhower administration greatly expanded the country's interstate system, and baby-boom families began moving to the suburbs and taking more vacations. Id. at 44.
Unfortunately, in 1951, we did not have an understanding of how dangerous the roads were becoming with this increased automobile travel and Americans' continued desire to drink alcohol. The first attempt to study drinking and driving was not done until 1959, the first truly comprehensive study of drinking and driving was not done until 1968, the legal limit for a
This social acceptance began to change in 1980 when Mothers Against Drunk Drivers was initially created. Id. at 65. At the time we issued our Felder decision in 1981, however, the movement against drinking and driving had not yet fully taken off. It was not until 1982 when President Reagan condemned the "slaughter" caused by drunk drivers and appointed a presidential commission to study the subject. Id. It was also after Felder that the drinking age was raised to 21 years old, the legal BAC limit to drive was lowered from 0.15% to 0.08%, portable breathalyzer testing began to be implemented, random sobriety checkpoints began to be used, and the concept of the designated driver and slogans such as "friends don't let friends drive drunk" became popularized. See generally id.
In sum, our society and the acceptance of drinking and driving has changed drastically since the 1800s when the common law rule was created, since 1951 when we first recognized the common law rule in Maryland, and since 1981 the last time we addressed the issue.
Tort law generally has dramatically evolved from the nineteenth century to the present. Although concepts of fault have long existed, "negligence took shape as a separate tort only during the earlier part of the nineteenth century." Keeton, § 28, at 160. In its beginning, the tort was restricted to "the liability of those who professed to be competent in certain `public' callings. A carrier, an innkeeper, a blacksmith, or a surgeon, was regarded as holding oneself out to the public as one in whom confidence might be reposed, and hence ... he might be liable."
The most telling change of all, though, is the across-the-board retreat by state courts from the traditional common law rule, under which the serving of alcohol could not be the proximate cause of injuries suffered by a third person as a result of the tortious conduct of an intoxicated patron. Specifically, courts in thirty-four states have abandoned this common law rule and held that, as a matter of state common law, the serving of alcohol can be the proximate cause of such injuries. See Buchanan v. Merger Enters., Inc., 463 So.2d 121, 126 (Ala.1984); Nazareno v. Urie, 638 P.2d 671, 673-74 (Alaska 1981); Ontiveros v. Borak, 136 Ariz. 500, 667 P.2d 200, 205-07 (1983); Shannon v. Wilson, 329 Ark. 143, 947 S.W.2d 349, 356 (1997); Vesely v. Sager, 5 Cal.3d 153, 95 Cal.Rptr. 623, 486 P.2d 151, 158-59 (1971); Largo Corp. v. Crespin, 727 P.2d 1098, 1103-04 (Colo.1986); Craig v. Driscoll, 262 Conn. 312, 813 A.2d 1003, 1017 (2003); Sutter v. Hutchings, 254 Ga. 194, 327 S.E.2d 716, 719 (1985); Ono v. Applegate, 62 Haw. 131, 612 P.2d 533, 537-38, 540-41 (1980); Alegria v. Payonk, 101 Idaho 617, 619 P.2d 135, 139 (1980); Elder v. Fisher, 247 Ind. 598, 217 N.E.2d 847, 852-53 (1966); Lewis v. State, 256 N.W.2d 181, 191-92 (Iowa 1977); Grayson Fraternal Order of Eagles v. Claywell, 736 S.W.2d 328, 332-34 (Ky. 1987); Klingerman v. SOL Corp. of Maine, 505 A.2d 474, 477-78 (Me.1986); Adamian v. Three Sons, Inc., 353 Mass. 498, 233 N.E.2d 18, 20 (1968); Trail v. Christian, 298 Minn. 101, 213 N.W.2d 618, 623-24 (1973); Munford, Inc. v. Peterson, 368 So.2d 213, 218 (Miss.1979); Nehring v. LaCounte, 219 Mont. 462, 712 P.2d 1329, 1335 (1986); Rappaport v. Nichols, 31 N.J. 188, 156 A.2d 1, 9 (1959); Lopez v. Maez, 98 N.M. 625, 651 P.2d 1269, 1275-76 (1982); Berkeley v. Park, 47 Misc.2d 381, 262 N.Y.S.2d 290, 293 (N.Y.Sup.Ct.1965); Hutchens v. Hankins, 63 N.C. App. 1, 303 S.E.2d 584, 591 (1983); Mason v. Roberts, 33 Ohio St.2d 29, 294 N.E.2d 884, 887-88 (1973); Brigance v. Velvet Dove Restaurant, Inc., 725 P.2d 300, 304 (Okla.1986); Campbell v. Carpenter, 279 Or. 237, 566 P.2d 893, 897 (1977); Jardine v. Upper Darby Lodge, 413 Pa. 626, 198 A.2d 550, 553 (1964); Harrison v. Berkley, 32 S.C.L. (1 Strob.) 525, 550-51 (S.C.App.L.1847); Mitchell v. Ketner, 54 Tenn.App. 656, 393 S.W.2d 755, 759 (1964); El Chico Corp. v. Poole, 732 S.W.2d 306, 313-14 (Tex.1987); Mackay v. 7-Eleven Sales Corp., 995 P.2d 1233, 1236 (Utah 2000); Estate of Kelley v. Moguls, Inc., 160 Vt. 531, 632 A.2d 360, 363 (1993); Sorensen v. Jarvis, 119 Wis.2d 627, 350 N.W.2d 108, 118 (1984); McClellan v. Tottenhoff, 666 P.2d 408, 414-15 (Wyo.1983).
Changes in society and the law call for reevaluation of the old rule. To do this, we need not do anything extraordinary; we should simply apply our well-established principles of common law negligence and proximate causation.
It is a basic tenet of Maryland law that "[n]egligence is not actionable unless it is a proximate cause of the harm alleged." Stone v. Chicago Title Ins. Co., 330 Md. 329, 337, 624 A.2d 496, 500 (1993). "To be a proximate cause for an injury, `the negligence must be 1) a cause in fact, and 2) a legally cognizable cause.'" Pittway Corp. v. Collins, 409 Md. 218, 243, 973 A.2d 771, 786 (2009) (quoting Hartford Ins. Co., 335 Md. at 156-57, 642 A.2d at 230). I will take each in turn, but before I do, I want to stress the importance of the well-settled rule that "proximate cause — both cause-in-fact and legal cause — analysis is reserved for the trier of fact." Id. at 253, 973 A.2d at 792. In this action, the circuit court granted a motion for summary judgment. This is a question of law for the courts only when the facts are "susceptible of but one inference" and "where reasoning minds cannot differ." Id.
The first step in proximate cause analysis is to determine whether the bar's negligence could have been a cause-in-fact of the Warrs' injuries. Cause-in-fact is the legal title given to "the threshold inquiry of whether defendant's conduct actually produced an injury." Id. at 244, 973 A.2d at 786 (citation and quotation marks omitted). To answer this question, two different tests have developed within Maryland law — the "but for" test and the "substantial factor" test. "The `but for' test applies in cases where only one negligent act is at issue." Id. The "substantial factor" test applies in cases where "two or more independent negligent acts bring about an injury." Id., 973 A.2d at 787. As this case involves two negligent acts — that of the bar and that of Eaton — the substantial factor test applies.
In Eagle-Picher Industries, Inc. v. Balbos, 326 Md. 179, 208-09, 604 A.2d 445, 459 (1992), we adopted the substantial factor test from the Second Restatement of Torts, which provides:
Restatement (Second) of Torts § 431 (1965). To aid in determining what conduct will satisfy this substantial factor test, the Restatement further states:
Restatement (Second) of Torts § 433 (1965); see also Pittway, 409 Md. at 244-45, 973 A.2d at 787.
The facts alleged in the Warrs' complaint and those relied on by the Circuit Court in granting the Defendant's Motion for Summary Judgement showed that Eaton became visibly intoxicated by the bar's conduct of over-serving him, including service after Eaton was visibly intoxicated and had become violent and aggressive. Assuming these facts, a jury could reasonably determine that the bar's conduct, in continuing to serve Eaton beyond the point of visible intoxication, created a dangerous force that was in continuous operation from the point at which the bar over-served Eaton to the point at which Eaton injured the Warrs. See Restatement (Second) of Torts § 433. If a jury found these facts, it could reasonably conclude that "it is `more likely than not' that the [bar's] conduct was a substantial factor in producing the [Warrs'] injuries." Pittway, 409 Md. at 244, 973 A.2d at 787. With these allegations, it was improper to grant the motion for summary judgment, and thus remove this question from the province of the jury. Therefore, I would hold that the bar's service of alcohol to Eaton after he was "visibly under the influence" can be a cause-in-fact of the Warrs' injuries.
Once cause-in-fact is established, the proximate cause analysis turns to the question of whether the bar's negligence was a legally cognizable cause of the Warrs' injury. See Pittway, 409 Md. at 245, 973 A.2d at 787. The concept of legal cause "is a policy-oriented doctrine designed to be a method for limiting liability after cause-in-fact has been established." Id. (footnote omitted). Here, we "consider whether the actual harm to [the Warrs] falls within a general field of danger that the [bar] should have anticipated or expected." Id. In other words, "whether the injuries were a foreseeable result of the negligent conduct." Id. at 246, 973 A.2d at 788. Legal causation does not lie where the court in retrospect believes that the injuries suffered by the plaintiff were "highly extraordinary and unforeseeable." Id. at 247, 973 A.2d at 788.
When there are consecutive or concurrent negligent acts that are causes-in-fact of the plaintiff's injuries, the foreseeability analysis must go one step further and consider intervening and superseding causes. "An intervening cause is one which comes into active operation in producing the result after the negligence of the defendant. `Intervening' is used in a time sense; it refers to later events." Keeton, § 44, at 301. Though a subsequent act may be an intervening cause, "[l]iability is avoided only if the intervening negligent act or omission at issue is considered a superseding cause of the harm to the plaintiffs." Pittway, 409 Md. at 248, 973 A.2d at 789.
In determining whether an intervening cause rises to the level of a superseding cause, this Court has explained that "a superseding cause arises primarily when
In this regard, we have long held that "the defendant is liable where the intervening causes, acts, or conditions were set in motion by his earlier negligence, or naturally induced by such wrongful act." Penn. Steel Co. v. Wilkinson, 107 Md. 574, 581, 69 A. 412, 414 (1908) (citation and quotation marks omitted). In other words, "if the situation wrongfully created by the defendant increased the risk of damage through the operation of another reasonably foreseeable force, the defendant is liable for the ensuing loss." Little v. Woodall, 244 Md. 620, 626, 224 A.2d 852, 855 (1966).
To be sure, Eaton's drunken driving could be considered an intervening cause of the Warrs' injures as it came after the negligence of the bar, but it was not a superseding cause. As I explained under the duty-of-care analysis, it is clearly foreseeable by the bar, after continuing to serve a patron who is already "visibly under the influence" of alcohol, that the patron may drink and drive, violate the rules of the road, and cause an accident. And, with commercial vendors being the single largest facilitators of drunk drivers, there is nothing about the facts of this case that, in retrospect, appear to be "highly extraordinary" or "unusual." The intervening negligent acts of Eaton could be found to be clearly foreseeable by the bar.
Furthermore, the intervening acts of Eaton were set in motion by the earlier negligent conduct of the bar. According to the Complaint, the bar served Eaton for six hours, well past the point of visible intoxication. These alleged facts, if accepted by the jury, allow the reasonable conclusion that the bar increased the risk of damage to the Warrs through the foreseeable acts of Eaton. This question belongs to the province of the jury.
Applying our well-established common law principles of negligence, I would hold that the bar's alleged service of alcohol to Eaton after he was "visibly under the influence" can be a proximate cause of the Warrs' injuries. The continued service of alcohol after the point of visible intoxication can be a substantial factor in producing the foreseeable injuries suffered by the Warrs. Certainly, this Court cannot say, as a matter of law, that there can never be a causal relationship between the continued service of alcohol to a patron already "visibly under the influence" and the subsequent accident which that patron causes upon leaving the bar. See Ontiveros, 667 P.2d at 205. As one of our sister courts put it, "if courts cling steadfastly to the myth that the continued selling of alcohol
I would overrule our prior decision in Hatfield, which followed outdated cases from the late 1800s, and its progeny, Felder. In doing so, I would enter the door that Felder left open, when it clearly recognized both this Court's authority to change our outdated dram shop rule, and the benefits of doing so.
Felder, 292 Md. at 182, 438 A.2d at 499. To be sure, when Chief Judge Murphy made that statement thirty-two years ago, we did not exercise our authority to change the law, electing — "for now" — to defer the issue of dram shop liability to the legislature. In doing so, however, we recommended that the legislature reexamine the Hatfield rule. See id. at 184, 438 A.2d at 499.
Our contemplation at that time that the Legislature would act affirmatively on the problem has apparently been misplaced. Since our invitation to the Legislature in 1981, no bill reached the floor of either house of the General Assembly. Four bills were introduced, but none came out of committee. See H.B. 1000 (2012); H.B. 1120 (2011); S.B. 739 (2002); S.B. 527 (1987). The two most recent bills, for example, were never voted on by the House Judiciary Committee.
Such legislative inaction, as this Court has held on numerous occasions, is not evidence of this State's public policy or legislative intent. See, e.g., City of Balt. Dev. Corp. v. Carmel Realty Assocs., 395 Md. 299, 329, 910 A.2d 406, 424 (2006) (rejection of a bill may not be evidence of intent "because the General Assembly may well have concluded that the rejected amendment `warrant[ed] further investigation' before acting on it or decided not to enact the amendment for a myriad of other reasons" (alteration in original) (citation omitted)).
I aver that, with no legislative action on the issue in the thirty-two years since Felder, and an even larger trend of jurisdictions supporting liability, that the Felder Court's declining change "for now" should be amended to:
Yet, the Majority, in reaching its outcome, has done violence to the tort of negligence which will have far ranging consequences, well beyond the issue of dram shop liability. Our opinions must, first and foremost, be guided by sound legal reasoning, because seeking to obtain a particular result in one bad case can quickly make a lifetime's worth of bad law. I fear that, in reaching its desired holding today, the Majority's legal reasoning does just that. Respectfully, I dissent.
Judges HARRELL and McDONALD authorize me to state that they agree with the views set forth herein.
The team collected all of the available scientific evidence on the topic, screening out those studies that did not satisfy their criteria for inclusion in the systematic review. In order to qualify for this review, a study had to "[e]valuate the effectiveness of dram shop liability or initiatives for enhanced enforcement of overservice regulations that could and did apply legal or administrative sanctions," "[b]e conducted in a country with a high-income economy, be primary research..., and be published in English," and it had to "[c]ompare attributes of participants before and after the implementation of the intervention or compare a group receiving the intervention with a group not receiving it." Id. at 337. The review then discussed the effectiveness of dram shop liability as shown by the results of the studies; the potential harms, additional benefits, and barriers to implementation of dram shop liability; the applicability of the results to different segments of the population; the costs and benefits of imposing dram shop liability; any weaknesses or gaps in the research of the underlying studies; and explained the conclusions of the review team.
W. Page Keeton et al., Prosser and Keeton on the Law of Torts § 56, at 374-75 (5th ed.1984).
Keeton, § 56, at 375.
Restatement (Third) of Torts: Liability for Physical and Emotional Harm § 37 cmt. c. (2012).
Restatement (Second) of Torts § 314 (1965).
Id. § 302.
Lamb v. Hopkins, 303 Md. 236, 242 n. 4, 492 A.2d 1297, 1300 n. 4 (1985) (quoting Restatement (Second) of Torts § 315 cmt. b (1965)).
Id. at 556, 727 A.2d at 952-53.
Thus, in Williams the officer generally would not have owed a duty because, at all times, the officer was merely passive — i.e. his failure to protect the victims from harm — and did not actively contribute to the harm suffered by the plaintiff. But, under the facts of that case, the rule of Section 315 may still hold the officer liable because a special relationship could have been formed.
Such a mischaracterization misrepresents our holding in Gourdine and demonstrates the Majority's failure to recognize the differences between the ordinary duty of care and the rule of Section 315. Indeed, the Majority fails to provide any citation to Gourdine where this Court stated that a special relationship was required in order to find a duty. Indeed, it could not, because the Court never discussed special relationship. Instead, in Gourdine we held that there was no duty because the connection between the pharmaceutical company's specific failure to give a warning and the specific victim's injury was too attenuated. 405 Md. at 750, 955 A.2d at 786. This discussion of a connection between the parties was not a discussion of a special relationship. It was a discussion of "the closeness of the connection between the defendant's conduct and the injury suffered" which — as I will explain later — is a factor to be considered under the ordinary duty of care analysis. Here, the Majority confuses the "closeness of the parties" factor of ordinary duty of care with the "special relationship" determination of Section 315. Moreover, in Gourdine, the Court specifically acknowledged that "foreseeability alone may give rise to liability to a third party." Id. at 754, 955 A.2d at 789. This contradicts the Majority's approach today, which states that special relationship, not foreseeability, controls the determination of duty in cases involving conduct of third persons.
Restatement (Second) of Torts § 390 (1965); see Broadwater v. Dorsey, 344 Md. 548, 554, 688 A.2d 436, 439 (1997) (and cases cited therein).
As one court explained:
Largo Corp. v. Crespin, 727 P.2d 1098, 1102 (Colo. 1986).
Similarly, the duty I advocate for here should not be read to support a cause of action on behalf of the visibly intoxicated patron as against the tavern. I see this duty arising from the sum of all the factors in the duty calculus, and that sum is undoubtedly different when those factors are examined in the context of deciding whether a duty is owed to the visibly intoxicated patron. In part, my analysis of these factors has been informed by legislative enactments. The General Assembly has very clearly found that both commercial vendors of alcohol and drunk drivers are part of the problem currently facing this State. The legislature has passed a series of laws targeted at preventing bars from serving visibly intoxicated patrons and at stopping intoxicated patrons from driving. In this regard, both the General Assembly and this Court have been consistent in explaining that the purpose behind these laws is to protect the public, and they are not designed to protect the intoxicated driver. See, e.g., Md. Code (1957, 2011 Repl.Vol.), Article 2B, § 1-101(a)(3) ("The restrictions, regulations, provisions and penalties contained in this article are for the protection, health, welfare and safety of the people of this State."); Motor Vehicle Admin.v. Shrader, 324 Md. 454, 464, 597 A.2d 939, 943 (1991) (in rejecting driver's effort to invoke statute for his benefit, Court said: "We have consistently recognized that the statutory provisions enacted to enforce the State's fight against drunken driving ... were enacted for the protection of the public and not primarily for the protection of the accused."). Thus, although there is a clear policy in this State to prevent future harm caused by drunk drivers, that policy was never designed to protect the intoxicated driver. Indeed, keeping in mind that a goal of tort theory is to create proper incentives to alter injurious behavior, Dobbs, § 14, at 29, it would be perverse to claim that we are preventing future harm caused by drunk drivers but simultaneously rewarding drunk drivers with a cause of action arising from their drunkenness. Our societal sense of personal responsibility forecloses any such result. In contrast, I urge that we impose a duty in this case because the bar's conduct, in comparison to the innocent third party victim, is morally blameworthy.
Brigance, 725 P.2d at 304; see also Ontiveros v. Borak, 136 Ariz. 500, 667 P.2d 200, 207 (1983) ("But the situation then and the problem in today's society of the imbiber going upon the public highways and operating a machine that requires quick response of mind and muscle and capable of producing mass death and destruction are vastly different.") (citation omitted); Lopez, 651 P.2d at 1273 ("A common law doctrine which developed in the horse and buggy days may be out of tune with today's society.").
Felder v. Butler, 292 Md. 174, 186, 438 A.2d 494, 500-01 (1981) (Davidson, J., dissenting).
Ontiveros, 667 P.2d at 212. The failure of the bills in this case to make it out of committee — especially when the committee does not even vote on the bill — is not reflective of the will of the people as a declaration of our public policy.