MICHAEL F. CAVANAGH, J.
The issue in this case is the proper interpretation of the "serious impairment of body function" threshold for non-economic tort liability under MCL 500.3135. We hold that Kreiner v. Fischer, 471 Mich. 109, 683 N.W.2d 611 (2004), was wrongly decided because it departed from the plain language of MCL 500.3135, and is therefore overruled. We further hold that, in this case, as a matter of law, plaintiff suffered a serious impairment of a body function. Accordingly, we reverse and remand the case to the trial court for proceedings consistent with this opinion.
This case arises out of an injury that plaintiff, Rodney McCormick, suffered while working as a medium truck loader at a General Motors Corporation (GM) plant.
On January 17, 2005, a coworker backed a truck into plaintiff, knocking him over, and then drove over plaintiff's left ankle. Plaintiff was immediately taken to the hospital, and x-rays showed a fracture of his left medial malleolus.
At defendant's request, plaintiff underwent a medical evaluation with Dr. Paul Drouillard in November 2005. He indicated that plaintiff could return to work but was restricted from prolonged standing or walking. On January 12, 2006, the specialist who performed plaintiff's surgeries cleared him to return to work without restrictions. The specialist's report noted that plaintiff had an "excellent range of motion," and an x-ray showed "solid healing with on [sic] degenerative joint disease of his ankle."
Beginning on January 16, 2006, plaintiff returned to work as a medium truck loader for several days, but he had difficulty walking, climbing, and crouching because of continuing ankle pain. He requested that his job duties be restricted to driving, but defendant directed him to cease work.
Defendant required plaintiff to undergo a functional capacity evaluation (FCE) in March 2006. The FCE determined that plaintiff was unable to perform the range of tasks his job required, including stooping, crouching, climbing, sustained standing, and heavy lifting. This was due to ankle and shoulder pain,
In May 2006, Dr. Drouillard examined plaintiff again and reported that plaintiff could return to work. Dr. Drouillard's report stated that plaintiff complained of ankle and foot pain, but the doctor found "no objective abnormality to correspond with his subjective complaints." In June 2006, plaintiff also underwent a magnetic resonance imaging (MRI) test, which showed some postoperative scar and degenerative tissue formation around his left ankle. At plaintiff's request, another FCE was performed on August 1, 2006, which affirmed that plaintiff could return to work without restriction and was capable of performing the tasks required for his job. The report stated that plaintiff complained of "occasional aching" and tightness in his ankle, but it did not appear to be aggravated by activities such as prolonged standing or walking. It also noted that plaintiff's range of motion in his left ankle was still not within normal limits, although it had improved since the March 2006 FCE.
Plaintiff returned to work on August 16, 2006, 19 months after he suffered his injury. He volunteered to be assigned to a different job, and his pay was not reduced. He has been able to perform his new job since that time.
On March 24, 2006, plaintiff filed suit, seeking recovery for his injuries under MCL 500.3135. In his October 2006 deposition, plaintiff testified that at the time of the incident, he was a 49-year-old man and his normal life before the incident mostly consisted of working 60 hours a week as a medium-duty truck loader. He stated that he also was a "weekend golfer" and frequently fished in the spring and summer from a boat that he owns. He testified that he was fishing at pre-incident levels by the spring and summer of 2006, but he has only golfed once since he returned to work.
The trial court granted defendant's motion for summary disposition on the basis that plaintiff had recovered relatively well and could not meet the serious impairment threshold provided in MCL 500.3135(1). The Court of Appeals affirmed, with one judge dissenting. McCormick v. Carrier, unpublished opinion per curiam of the Court of Appeals, issued March 25, 2008 (Docket No. 275888), 2008 WL 786529. The majority held that, under Kreiner, plaintiff's impairment did not affect his ability to lead his normal life because he is able to care for
After initially denying leave to appeal, this Court granted plaintiff's motion for reconsideration, vacated its prior order, and granted the application for leave to appeal. McCormick v. Carrier, 485 Mich. 851, 770 N.W.2d 357 (2009).
This Court reviews a motion for summary disposition de novo. In re Smith Trust, 480 Mich. 19, 23-24, 745 N.W.2d 754 (2008). The proper interpretation of a statute is a legal question that this Court also reviews de novo. Herman v. Berrien Co., 481 Mich. 352, 358, 750 N.W.2d 570 (2008).
The issue presented in this case is the proper interpretation of MCL 500.3135. We hold that Kreiner incorrectly interpreted MCL 500.3135 and is overruled because it is inconsistent with the statute's plain language and this opinion. Further, under the proper interpretation of the statute, plaintiff has demonstrated that, as a matter of law, he suffered a serious impairment of body function.
In 1973, the Michigan Legislature adopted the no-fault insurance act, MCL 500.3101 et seq. The act created a compulsory motor vehicle insurance program under which insureds may recover directly from their insurers, without regard to fault, for qualifying economic losses arising from motor vehicle incidents. See MCL 500.3101 and 500.3105. In exchange for ensuring certain and prompt recovery for economic loss, the act also limited tort liability. MCL 500.3135. See also DiFranco v. Pickard, 427 Mich. 32, 40-41, 398 N.W.2d 896 (1986). The act was designed to remedy problems with the traditional tort system as it relates to automobile accidents. These included that "[the contributory negligence liability scheme] denied benefits to a high percentage of motor vehicle accident victims, minor injuries were overcompensated, serious injuries were undercompensated, long payment delays were commonplace, the court system was overburdened, and those with low income and little education suffered discrimination." Shavers v. Attorney General, 402 Mich. 554, 579, 267 N.W.2d 72 (1978).
Under the act, tort liability for non-economic loss arising out of the ownership, maintenance, or use of a qualifying motor vehicle is limited to a list of enumerated circumstances. MCL 500.3135(3). The act creates threshold requirements in MCL 500.3135(1), which has remained unchanged in all key aspects since the act was adopted. That subsection currently provides that "[a] person remains subject to tort liability for noneconomic loss caused by his or her ownership, maintenance, or use of a motor vehicle only if the injured person has suffered death, serious impairment of body function, or permanent serious disfigurement."
The threshold requirement at issue in this case is whether plaintiff has suffered "serious impairment of body function." The act did not originally define this phrase. Accordingly, it initially fell to this Court to do so, and the result was a series of differing opinions. In Cassidy v. McGovern, 415 Mich. 483, 330 N.W.2d 22 (1982), this Court held that whether the serious impairment threshold is met is a
In 1995, however, the Legislature intervened. It amended MCL 500.3135 to define a "serious impairment of body function" as "an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." MCL 500.3135(7). The Legislature also expressly provided that whether a serious impairment of body function has occurred is a "question[] of law" for the court to decide unless there is a factual dispute regarding the nature and extent of injury and the dispute is relevant to deciding whether the standard is met. MCL 500.3135(2)(a). Thus, the Legislature incorporated some language from DiFranco and Cassidy but also made some significant changes.
This Court interpreted the amended provisions in 2004, in Kreiner. The question before this Court is whether the Kreiner majority properly interpreted the statute, and, if not, whether its interpretation should be overruled.
The primary goal of statutory construction is to give effect to the Legislature's intent. Briggs Tax Serv., L.L.C. v. Detroit Pub. Sch., 485 Mich. 69, 76, 780 N.W.2d 753 (2010). This Court begins by reviewing the language of the statute, and, if the language is clear and unambiguous, it is presumed that the Legislature intended the meaning expressed in the statute. Id. Judicial construction of an unambiguous statute is neither required nor permitted.
The first step in interpreting MCL 500.3135 is to determine the proper role of a court in applying MCL 500.3135(1) and (7). The Legislature addressed this issue in the amended MCL 500.3135(2)(a), which states in relevant part:
Under the plain language of the statute, the threshold question whether the person has suffered a serious impairment of body function should be determined by the court as a matter of law as long as there is no factual dispute regarding "the nature and extent of the person's injuries" that is material to determining whether the threshold standards are met.
In those cases where the court may decide whether the serious impairment threshold is met as a matter of law, the next issue is the proper interpretation of MCL 500.3135(7). It provides that, for purposes of the section, a "serious impairment of body function" is "an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." On its face, the statutory language provides three prongs that are necessary to establish a "serious impairment of body function": (1) an objectively manifested impairment (2) of an important body function that (3) affects the person's general ability to lead his or her normal life.
Overall, because we conclude that each of these prongs' meaning is clear from the plain and unambiguous statutory language, judicial construction is neither required nor permitted. In re MCI, 460 Mich. at 411, 596 N.W.2d 164. Notably, however, a dictionary may aid the Court in giving the words and phrases in MCL 500.3135(7) their common meaning, and where the language used in MCL 500.3135(7) was originally adopted and interpreted in Cassidy and DiFranco, it may be presumed that the Legislature intended the previous judicial interpretation to be relevant. Oakland Co. Bd. of Rd. Comm'rs, 456 Mich. at 604, 575 N.W.2d 751, and Wright, 432 Mich. at 92, 437 N.W.2d 603. As will be discussed within, where the Kreiner majority's interpretation of these prongs is inconsistent with the clear language of the statute, we hold that Kreiner was wrongly decided. Most significantly, its interpretation of the third prong deviates dramatically from the statute's text.
Under the first prong, it must be established that the injured person has suffered an objectively manifested impairment of body function. The common meaning of "an objectively manifested impairment" is apparent from the unambiguous statutory language, with aid from a dictionary, and is consistent with the judicial interpretation of "objectively manifested" in Cassidy and DiFranco. To the extent that the Kreiner majority's interpretation of this prong differs from this approach, it was wrongly decided.
To begin with, the adverb "objectively" is defined as "in an objective manner," Webster's Third New International Dictionary (1966), and the adjective "objective" is defined as "1. Of or having to do with a material object as distinguished from a mental concept. 2. Having actual existence or reality. 3. a. Uninfluenced by emotion, surmise, or personal prejudice. b. Based on observable phenomena; presented factually. . . ." The American Heritage Dictionary, Second College Edition (1982). It is defined specifically in the medical context as "[i]ndicating a symptom or condition perceived as a sign of disease by someone other than the person afflicted." Id.
Notably, MCL 500.3135(7) does not contain the word "injury," and, under the plain language of the statute, the proper inquiry is whether the impairment is objectively manifested, not the injury or its symptoms.
Further, the pre-existing judicial interpretation of "objectively manifested" is consistent with the plain language of the later-adopted statute. In Cassidy, this Court explained that the serious impairment threshold was not met by pain and suffering alone, but also required "injuries that affect the functioning of the body," i.e., "objectively manifested injuries." Cassidy, 415 Mich. at 505, 330 N.W.2d 22. In other words, Cassidy defined "objectively manifested" to mean affecting the functioning of the body.
The Kreiner majority's interpretation of this language was only partially consistent with the plain language of the statute. It addressed this issue briefly, stating that "[s]ubjective complaints that are not medically documented are insufficient [to establish that an impairment is objectively manifested]." Kreiner, 471 Mich. at 132, 683 N.W.2d 611. To the extent that this is inconsistent with DiFranco's statement that medical testimony will generally be required to establish an impairment, it is at odds with the legislative intent expressed by the adoption of the "objectively manifested" language from DiFranco and Cassidy. Thus, to the extent that Kreiner could be read to always require medical documentation, it goes beyond the legislative intent expressed in the plain statutory text, and was wrongly decided.
If there is an objectively manifested impairment of body function, the next question is whether the impaired body function is "important." The common meaning of this phrase is expressed in the unambiguous statutory language, although reference to a dictionary and limited reference to Cassidy is helpful.
The relevant definition of the adjective "important" is "[m]arked by or having great value, significance, or consequence." The American Heritage Dictionary, Second College Edition (1982). See also Random House Webster's Unabridged Dictionary (1998), defining "important" in relevant part as "of much or great significance or consequence," "mattering much," or "prominent or large." Whether a body function has great "value," "significance," or "consequence" will vary depending on the person. Therefore, this prong is an inherently subjective inquiry that must be decided on a case-by-case basis, because what may seem to be a trivial body function for most people may be subjectively important to some, depending on the relationship of that function to the person's life.
The "important body function" language was originally adopted in Cassidy, where the Court stated that an "important" body function is not any body function but also does not refer to the entire body function. Cassidy, 415 Mich. at 504, 330 N.W.2d 22. This pre-existing judicial construction of "important body function" is consistent
For this prong, the Kreiner majority's interpretation appears to be consistent with the plain language of the statute, as it only briefly stated that "[i]t is insufficient if the impairment is of an unimportant body function." Kreiner, 471 Mich. at 132, 683 N.W.2d 611.
Finally, if the injured person has suffered an objectively manifested impairment of body function, and that body function is important to that person, then the court must determine whether the impairment "affects the person's general ability to lead his or her normal life." The common meaning of this phrase is expressed by the unambiguous statutory language, and its interpretation is aided by reference to a dictionary, reading the phrase within its statutory context, and limited reference to Cassidy.
To begin with, the verb "affect" is defined as "[t]o have an influence on; bring about a change in." The American Heritage Dictionary, Second College Edition (1982). An "ability" is "[t]he quality of being able to do something," id., and "able" is defined as "having sufficient power, skill, or resources to accomplish an object." Merriam-Webster Online Dictionary, <http://www.merriam-webster.com> (accessed May 27, 2010). The adjective "general" means:
The sixth definition is obviously irrelevant, and the first definition of "general" does not make sense in this context because a person's "whole" ability to live his or her normal life is surely not affected short of complete physical and mental incapacitation, which is accounted for in a different statutory threshold: death. The other definitions, however, more or less convey the same meaning: that "general" does not refer to only one specific detail or particular part of a thing, but, at least some parts of it. Thus, these definitions illustrate that to "affect" the person's "general ability" to lead his or her normal life is to influence some of the person's power or
The next question is the meaning of "to lead his or her normal life." The verb "lead," in this context, is best defined as "[t]o pass or go through; live." The American Heritage Dictionary, Second College Edition (1982). Although the verb "lead" has many definitions, some of which have similar nuances, this definition is the most relevant because it expressly applies in the context of leading a certain type of life. Indeed, other dictionaries provide a similar definition with the same context, using a "type of life" as an example.
Therefore, the plain text of the statute and these definitions demonstrate that the common understanding of to "affect the person's ability to lead his or her normal life" is to have an influence on some of the person's capacity to live in his or her normal manner of living. By modifying "normal life" with "his or her," the Legislature indicated that this requires a subjective, person- and fact-specific inquiry that must be decided on a case-by-case basis. Determining the effect or influence that the impairment has had on a plaintiff's ability to lead a normal life necessarily requires a comparison of the plaintiff's life before and after the incident.
There are several important points to note, however, with regard to this comparison. First, the statute merely requires that a person's general ability to lead his or her normal life has been affected, not destroyed. Thus, courts should consider not only whether the impairment has led the person to completely cease a pre-incident activity or lifestyle element, but also whether, although a person is able to lead his or her pre-incident normal life, the person's general ability to do so was nonetheless affected.
Second, and relatedly, "general" modifies "ability," not "affect" or "normal life." Thus, the plain language of the statute only requires that some of the person's ability to live in his or her normal manner of living has been affected, not that some of the person's normal manner of living has itself been affected. Thus, while the extent to which a person's general ability to live his or her normal life is affected by an impairment is undoubtedly related to what the person's normal manner of living is, there is no quantitative minimum as to the percentage of a person's normal manner of living that must be affected.
Third, and finally, the statute does not create an express temporal requirement as to how long an impairment must last in order to have an effect on "the person's general ability to live his or her normal life." To begin with, there is no such requirement in the plain language of the statute. Further, MCL 500.3135(1) provides that the threshold for liability is met "if the injured person has suffered death, serious impairment of body function,
Despite the fact that the language of the statute was plain, the Kreiner majority deviated significantly from the statutory text in its interpretation of this prong. To begin with, the Kreiner majority erred in its interpretation of the phrase "that affects the person's general ability" for two reasons. First, it selectively quoted only the dictionary definitions of "general" that best supported its conclusions. It gave one definition for this word, "`the whole; the total; that which comprehends or relates to all, or the chief part; a general proposition, fact, principle, etc.;—opposed to particular; that is, opposed to special,'" and then relied on definitions of "in general" and "generally" to conclude that "general" means "`for the most part.'" Kreiner, 471 Mich. at 130, 683 N.W.2d 611, quoting Webster's New International Dictionary. Webster's, however, offers 10 definitions of the adjective "general," many of which are similar to definitions quoted above from The American Heritage Dictionary. Moreover, of these 10 definitions, the majority chose the most restrictive, even though, as discussed above, it does not make the most sense in this context. And, even then, the Kreiner majority looked to other forms of the word. Second, the Kreiner majority stated that "[t]he starting point in analyzing whether an impairment affects a person's `general,' i.e., overall, ability to lead his normal life should be identifying how his life has been affected, by how much, and for how long." Kreiner, 471 Mich. at 131, 683 N.W.2d 611. Although other portions of the Kreiner majority opinion more carefully stated that the test was the effect on a person's general ability, this particular reasoning could be pulled out of context to suggest that courts should focus on how much the impairment affects a person's life, instead of how much it affects the person's ability to live his or her life.
Further, the Kreiner majority significantly erred in its interpretation of "to lead his or her normal life." It relied on a dictionary to define "lead" as "to conduct or bring in a particular course." Notably, depending on how this definition is interpreted, it may have a similar meaning to "live" or "pass" when "conduct" and "course" are given a certain meaning. "Conduct" can mean "to behave or act," and "course" can mean "[a] mode of action or behavior" or "[a] typical or natural manner of proceeding or developing: customary passage. . . ." The American Heritage Dictionary, Second College Edition (1982). The meaning of "to behave or act in his or her typical or natural manner of proceeding"
Beyond this point, however, the Kreiner majority went astray and gave the statute a labored interpretation inconsistent with common meanings and common sense. Applying its chosen definition of "lead," the majority concluded that "the effect of the impairment on the course of a plaintiff's entire normal life must be considered," and if "the course or trajectory of the plaintiff's normal life has not been affected, then the plaintiff's `general ability' to lead his normal life has not been affected. . . ." Kreiner, 471 Mich. at 131, 683 N.W.2d 611. In other words, the Kreiner majority held that the "common meaning" of whether an impairment has affected "the person's general ability to lead his or her normal life" is whether it has affected the person's general ability to conduct the course or trajectory of his or her entire normal life. This "common meaning" is quite different from the actual statutory text in form and substance. Significantly, the Kreiner majority's interpretation of the statute interjects two terms that are not included in the statute or the dictionary definitions of the relevant statutory language: "trajectory" and "entire." Both terms create ambiguity where the original statutory text had none, and the Kreiner majority thus erred by selectively defining the words used in definitions of statutory terms in order to shift away from the common meaning that the words have in the context of MCL 500.3135(7).
As to the first addition, while "trajectory" is a synonym for "course" when "course" is defined as, for example, "[t]he direction of continuing movement," The American Heritage Dictionary, Second College Edition (1982), it is not a synonym for the definition of "course" that makes sense in the context of defining a "general ability to lead his or her normal life." When "conduct" is used with this definition of "course," it has the very different meaning of "[t]o direct the course of; control." Id. The plain language of the statute does not suggest that the Legislature's intent was to address the effect of an impairment on the person's ability to control the direction of their life, as opposed to its effect on the person's ability to live in his or her normal manner of living. Yet the majority managed to imply this meaning by inserting "trajectory" as a synonym for "course," thereby shifting the meaning of "course" from the most natural contextual reading of the word. The use of "trajectory" and the suggestion that "course" should be understood to mean "the direction of continuing movement," instead of "a mode of action or behavior," creates ambiguity by implying a sense of permanence that is inconsistent with, and does not make sense in the context of, the actual statutory language.
As to the second addition, the majority modified the statutory language "his or her normal life" with "entire," a modification that it apparently created out of thin air,
The Kreiner majority aggravated this error, and departed even more dramatically from the statutory text, by providing an extra-textual "nonexhaustive list of objective factors" to be used to compare the plaintiff's pre-and post-incident lifestyle. These factors are: "(a) the nature and extent of the impairment, (b) the type and length of treatment required, (c) the duration of the impairment, (d) the extent of any residual impairment, and (e) the prognosis for eventual recovery." Kreiner, 471 Mich. at 133, 683 N.W.2d 611.
To the extent that the Kreiner majority's interpretation of the statute was inconsistent with the foregoing approach, and departed from the legislative intent expressed in the unambiguous language of the statute, we hold that it was wrongly decided. Given this conclusion, the question is whether it should be overruled. We hold that it should be.
Under the doctrine of stare decisis, "principles of law deliberately examined and decided by a court of competent jurisdiction should not be lightly departed." Brown v. Manistee Co. Rd. Comm., 452 Mich. 354, 365, 550 N.W.2d 215 (1996) (citations and quotation marks omitted). Indeed, in order to "`avoid an arbitrary discretion in the courts, it is indispensable that [courts] should be bound down by strict rules and precedents which serve to define and point out their duty in every particular case that comes before them. . . .'" Petersen v. Magna Corp., 484 Mich. 300, 314-315, 773 N.W.2d 564 (2009) (opinion by KELLY, C.J.), quoting The Federalist No. 78, p. 471 (Alexander Hamilton) (Clinton Rossiter ed., 1961). As the United States Supreme Court has stated, the doctrine "promotes
Despite its importance, stare decisis is neither an "inexorable command," Lawrence v. Texas, 539 U.S. 558, 577, 123 S.Ct. 2472, 156 L.Ed.2d 508 (2003), nor "a mechanical formula of adherence to the latest decision," Helvering v. Hallock, 309 U.S. 106, 119, 60 S.Ct. 444, 84 L.Ed. 604 (1940). Ultimately, it is an attempt "to balance two competing considerations: the need of the community for stability in legal rules and decisions and the need of courts to correct past errors." Petersen, 484 Mich. at 314, 773 N.W.2d 564. As a reflection of this balance, there is a presumption in favor of upholding precedent, but this presumption may be rebutted if there is a special or compelling justification to overturn precedent. Id. at 319-320, 773 N.W.2d 564. In determining whether a special or compelling justification exists, a number of evaluative criteria may be relevant, id., but overturning precedent requires more than a mere belief that a case was wrongly decided. See Brown, 452 Mich. at 365, 550 N.W.2d 215.
In determining whether Kreiner should be overruled, I find several evaluative criteria particularly relevant: (1) "whether the rule has proven to be intolerable because it defies practical workability," (2) "whether reliance on the rule is such that overruling it would cause a special hardship and inequity," (3) "whether upholding the rule is likely to result in serious detriment prejudicial to public interests," and (4) "whether the prior decision was an abrupt and largely unexplained departure from precedent." Petersen, 484 Mich. at 320, 773 N.W.2d 564. As applied here, on the balance, these criteria weigh in favor of overturning Kreiner.
The first criterion weighs heavily in favor of overruling Kreiner because the Kreiner majority's departure from the plain language of MCL 500.3135(7) defies practical workability. As discussed above, the majority took unambiguous statutory text and, through linguistic gymnastics, contorted it into a confusing and ambiguous test. Appellate litigation arising out of MCL 500.3135(7) has greatly increased since Kreiner
Second, correcting the errors in the Kreiner majority's interpretation of MCL 500.3135(7) would not present an undue hardship to reliance interests, and this factor weighs in favor of overruling Kreiner. As this Court has explained when evaluating a similar factor in the past, "the Court must ask whether the previous decision has become so embedded, so accepted, so fundamental, to everyone's expectations that to change it would produce not just readjustments, but practical real-world dislocations." Robinson v. Detroit, 462 Mich. 439, 466, 613 N.W.2d 307 (2000). It further stated that this factor applies to cases that if overruled "even if they were wrongfully decided, would produce chaos." Id. at 466 n. 26, 613 N.W.2d 307. Kreiner is not "so" embedded, accepted, or fundamental to expectations that chaos will result from overruling it. To begin with, Kreiner was decided only six years ago, and, while it was the first opinion from this Court interpreting MCL 500.3135(7), it was contrary to the plain text of the statute, which had been in place since 1995. As the Robinson majority explained, people normally rely on the words of the statute itself when looking for guidance on how to direct their actions. Robinson, 462 Mich. at 467, 613 N.W.2d 307. Further, it is unlikely that motor vehicle drivers, and the victims of motor vehicle accidents, have altered their behavior in reliance on Kreiner. As noted by the Robinson majority, where a statute deals with the consequences of accidents, "it seems incontrovertible that only after the accident would. . . awareness [of this Court's caselaw] come," and "after-the-fact awareness does not rise to the level of a reliance interest because to have reliance the knowledge must be of the sort that causes a person or entity to attempt to conform his conduct to a certain norm before the triggering event." Id. at 466-467, 613 N.W.2d 307. Similarly, this statute generally involves motor vehicle accidents, and it strains credibility to think that the average driver and the average future injured party have altered their behavior in reliance on Kreiner.
The third criterion, the effect on the public interest, also weighs in favor of overruling Kreiner. Although there may be policy arguments on both sides regarding the costs and benefits of having a more or less difficult threshold for recovery under MCL 500.3135, our interpretation of
Finally, the fourth criterion is neutral. Kreiner was not an abrupt change from precedent, but it did provide an interpretation of the statute that was not obvious from the statute's text.
On the basis of these evaluative criteria, we hold that Kreiner should be overruled.
On the basis of the foregoing, the proper interpretation of the clear and unambiguous language in MCL 500.3135 creates the following test.
To begin with, the court should determine whether there is a factual dispute regarding the nature and the extent of the person's injuries, and, if so, whether the dispute is material to determining whether the serious impairment of body function threshold is met. MCL 500.3135(2)(a)(i) and (ii).
If the court may decide the issue as a matter of law, it should next determine whether the serious impairment threshold has been crossed. The unambiguous language of MCL 500.3135(7) provides three prongs that are necessary to establish a "serious impairment of body function": (1) an objectively manifested impairment (observable or perceivable from actual symptoms or conditions) (2) of an important body function (a body function of value, significance, or consequence to the injured person) that (3) affects the person's general ability to lead his or her normal life (influences some of the plaintiff's capacity to live in his or her normal manner of living).
The serious impairment analysis is inherently fact- and circumstance-specific and must be conducted on a case-by-case basis. As stated in the Kreiner dissent, "[t]he Legislature recognized that what is important to one is not important to all[;] a brief impairment may be devastating whereas a near permanent impairment
Under the facts of this case, we hold that plaintiff has met the serious impairment threshold as a matter of law.
To begin with, there is no factual dispute that is material to determining whether the serious impairment threshold is met. The parties do not dispute that plaintiff suffered a broken ankle, was completely restricted from bearing weight on his ankle for a month, and underwent two surgeries over a 10-month period and multiple months of physical therapy. The parties do dispute the extent to which plaintiff continues to suffer a residual impairment and the potential for increased susceptibility to degenerative arthritis. Plaintiff has provided at least some evidence of a physical basis for his subjective complaints of pain and suffering,
The other facts material to determining whether the serious impairment threshold is met are also undisputed.
Next, in light of the lack of a factual dispute that is material to determining whether the threshold is met, under MCL 500.3135(2)(a), this Court should decide as a matter of law whether plaintiff
With regard to the first prong, plaintiff has shown an objectively manifested impairment of body function. There is no dispute that plaintiff has presented evidence that he suffered a broken ankle and actual symptoms or conditions that someone else would perceive as impairing body functions, such as walking, crouching, climbing, and lifting weight. Even 14 months after the incident, an FCE report observed that ankle pain and a reduced range of motion inhibited these body functions. Thus, plaintiff has satisfied this prong.
With regard to the second prong, the impaired body functions were important to plaintiff. His testimony establishes that being unable to walk and perform other functions were of consequence to his ability to work. Thus, the second prong of MCL 500.3135(7) is met.
The next question in this case is whether the third prong is met, but we hold that plaintiff has shown that the impairment affected his general ability to lead his normal life because it influenced some of his capacity to live in his normal, pre-incident manner of living. Before the incident, plaintiff's normal manner of living consisted primarily of working, for 60 hours a week, and secondarily his hobbies of fishing and golfing. After the incident, at least some of plaintiff's capacity to live in this manner was affected. Specifically, for a month after the incident, plaintiff could not bear weight on his left ankle. He underwent two surgeries over a period of 10 months and multiple months of physical therapy. Moreover, his capacity to work, the central part of his pre-incident "normal life," was affected.
Because all three prongs of MCL 500.3135(7) are satisfied, we hold, as a matter of law, that plaintiff has met the serious impairment threshold requirement under MCL 500.3135(1).
Despite the dissent's length, it provides very little substantive disagreement or criticism of the statutory interpretation presented in this opinion and very little response to our criticisms of the statutory interpretation in Kreiner. Where the dissent
For example, the dissent complains that the majority "resuscitate[s]" my opinion in DiFranco.
Additionally, the dissent's comments on the majority's lack of use of legislative history are ill-founded on two levels. First, contrary to the dissent's assertion that I have "never questioned the utility of legislative history" and that "there is no principled reason" not to use it in this case, I have repeatedly stated that legislative history should only be used to interpret a statute when statutory language is ambiguous. See, e.g., People v. Gardner, 482 Mich. 41, 753 N.W.2d 78 (2008) (CAVANAGH, J., dissenting); Bukowski v. Detroit, 478 Mich. 268, 732 N.W.2d 75 (2007) (CAVANAGH, J., concurring); Lansing Mayor v. Pub. Service Comm., 470 Mich. 154, 174, 680 N.W.2d 840 (2004) (CAVANAGH, J., dissenting).
The dissent also repeatedly states that the majority opinion holds that temporal considerations are "wholly or largely irrelevant" to the serious impairment threshold, and, accordingly, it spends a significant amount of energy explaining why temporal considerations are relevant and accusing the majority of holding that the threshold is met if "the plaintiff's general ability to lead his normal life has been affected for even a single moment in time." Contrary to the dissent's cries, there is simply no basis in our analysis for concluding that we hold that temporal considerations are irrelevant or that a momentary impairment is sufficient. The opinion merely notes that there is no specific express temporal requirement in the text of the statute and rejects Kreiner's strained attempts to insert what was essentially a permanency requirement into the statute.
We hold that Kreiner should be overruled because the Kreiner majority's interpretation of MCL 500.3135 departed from the statute's clear and unambiguous text. Applying the unambiguous statutory language, we hold that as a question of law, in this case, plaintiff established that he suffered a serious impairment of body function. Thus, we reverse the Court of Appeals and remand the case to the trial court for proceedings consistent with this opinion.
MARILYN J. KELLY, C.J., and WEAVER (except for the part III[B][3]) and HATHAWAY, JJ., concurred with MICHAEL F. CAVANAGH, J.
WEAVER, J. (concurring).
I concur in and sign all of the majority opinion except part III(B)(3), regarding stare decisis. I fully support the decision to overrule Kreiner v. Fischer, 471 Mich. 109, 683 N.W.2d 611 (2004). As I wrote in Jones v. Olson, 480 Mich. 1169, 1173, 747 N.W.2d 250 (2008):
With regard to the policy of stare decisis, my view is that past precedent should generally be followed but that to serve the rule of law, in deciding whether wrongly decided precedent should be overruled, each case should be looked at individually on its facts and merits through the lens of judicial restraint, common sense, and fairness. I agree with the sentiment recently expressed by Chief Justice Roberts of the United States Supreme Court in his concurrence to the decision in Citizens United v. Fed. Election Comm., 558 U.S. ___, ___, 130 S.Ct. 876, 920, 175 L.Ed.2d 753, 806 (2010), when he said that
Chief Justice Roberts further called stare decisis a "principle of policy" and said that it "is not an end in itself." Id. at ___, 130 S.Ct. at 920, 175 L.Ed.2d at 807. He explained that "[i]ts greatest purpose is to serve a constitutional ideal—the rule of law. It follows that in the unusual circumstance when fidelity to any particular precedent does more to damage this constitutional ideal than to advance it, we must be more willing to depart from that precedent." Id. at ___, 130 S.Ct. at 921, 175 L.Ed.2d at 807.
In the end, the consideration of stare decisis and whether to overrule wrongly decided precedent always includes service to the rule of law through an application and exercise of judicial restraint, common sense, and a sense of fairness—justice for all.
In serving the rule of law and applying judicial restraint, common sense, and a sense of fairness to the case at hand, I agree with and join the majority opinion's holding that Kreiner is overruled.
HATHAWAY, J. (concurring).
I fully concur with Justice CAVANAGH'S analysis and conclusion in this matter and I support overruling Kreiner v. Fischer, 471 Mich. 109, 683 N.W.2d 611 (2004). I write separately to express my thoughts on the doctrine of stare decisis. Any analysis of the impact of stare decisis must focus on the individual case and the reason for overruling precedent.
MARKMAN, J. (dissenting).
I respectfully dissent from the majority's decision to overrule Kreiner v. Fischer, 471 Mich. 109, 683 N.W.2d 611 (2004). The no-fault automobile insurance act, MCL 500.3135(1), provides that "[a] person remains subject to tort liability for noneconomic loss caused by his or her ownership, maintenance, or use of a motor vehicle only if the injured person has suffered death, serious impairment of body function, or permanent serious disfigurement." The issue here is whether plaintiff has suffered a serious impairment of body function. "`[S]erious impairment of body function' means an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." MCL 500.3135(7).
In Kreiner, 471 Mich. at 132-133, 683 N.W.2d 611, this Court held that in determining whether an impairment affects the plaintiff's general ability to lead his normal
The majority overrules Kreiner, rejecting these factors and holding that temporal considerations are wholly or largely irrelevant in determining whether an impairment affects the plaintiff's general ability to lead his normal life. The majority instead holds that, as long as the plaintiff's general ability to lead his normal life has been affected, apparently for even a single moment in time, the plaintiff has suffered a "serious impairment of body function." This conclusion is at odds with the actual language of the no-fault automobile act and nullifies the legislative compromise embodied in that act. I continue to believe that Kreiner was correctly decided, and that temporal considerations are highly relevant—indeed necessary—in determining whether an impairment affects the plaintiff's general ability to lead his normal life. By nullifying the legislative compromise, which was grounded in concerns over excessive litigation, the over-compensation of minor injuries, and the availability of affordable insurance, the Court's decision today will resurrect a legal environment in which each of these hazards reappear and threaten the continued fiscal integrity of our no-fault system.
Because I do not believe that the lower courts erred in concluding that plaintiff in this case has not suffered a serious impairment of body function, I would affirm the judgment of the Court of Appeals.
Because the majority opinion provides only a cursory presentation of the facts, in a case requiring a fact-intensive analysis, I find it necessary to set forth a more thorough discussion of these facts. Beginning in August of 2002, plaintiff was employed by Allied Systems, and over the years, he has held various positions with the company.
On January 12, 2006, plaintiff's surgeon examined him and cleared him to return to work with no restrictions. At this examination, plaintiff reported to his surgeon that "[h]is medial malleolus is not giving him any pain." The surgeon observed that plaintiff had an "excellent range of motion with no specific tenderness." Upon returning to work for several days, however, plaintiff indicated that performing the physical tasks that his job required, such as walking, climbing, and crouching, caused his ankle to hurt. After plaintiff's request for a different assignment was denied, plaintiff went back on workers' compensation.
On March 16, 2006, Allied required plaintiff to undergo a functional capacity evaluation (FCE),
On May 31, 2006, Dr. Drouillard again examined plaintiff, at the request of Allied. Dr. Drouillard found no objective abnormality to correspond to plaintiff's complaints and opined that plaintiff was magnifying his symptoms. Dr. Drouillard also observed that, although plaintiff claimed that he had been wearing an ankle brace for the last two weeks, the tan lines on plaintiff's left and right feet were symmetrical, consistent with wearing flip-flops, with no break in his tan lines to indicate that he had been wearing the brace at all. Dr. Drouillard believed that plaintiff could return to work unrestricted and that plaintiff's ankle required no further treatment.
On June 12, 2006, plaintiff underwent an MRI test; the physiatrist who reviewed the MRI and performed a follow-up examination found that there was some evidence of ligamentous injury, but he did not establish a plan to decrease plaintiff's pain because there was little the physiatrist could do.
Shortly thereafter, plaintiff's workers' compensation benefits were terminated.
During his recuperation, plaintiff did not require any assistance with normal household tasks. Additionally, he was able to drive and his injuries have not affected his relationship with his wife in any way.
On March 24, 2006, plaintiff filed a third-party action against Carrier (the driver of the truck) and General Motors Corporation (GM).
The Court of Appeals affirmed, with one judge dissenting, concluding that the impairment did not affect plaintiff's general ability to lead his normal life. McCormick v. Carrier, unpublished opinion per curiam of the Court of Appeals, issued March 25, 2008 (Docket No. 275888), 2008 WL 786529. The majority cited various facts to support its conclusion, such as plaintiff's golfing, fishing, driving, caring for himself, and returning to work without restriction. The dissent would have reversed for two reasons: first, on the basis that plaintiff's entire life, including the possibility of future problems, must be considered; and, second, on the basis that there was evidence to indicate that plaintiff's life was not currently normal. The evidence that the dissent relied on to reach this conclusion was that plaintiff was assigned to a job with reduced physical requirements and the doctors had identified "some indication of degenerative joint disease in [plaintiff's] ankle." Id., unpub. op. at 2 (DAVIS, J., dissenting).
On October 22, 2008, this Court denied plaintiff's application for leave to appeal, although Chief Justice KELLY and Justices CAVANAGH and WEAVER would have granted leave to appeal. 482 Mich. 1018, 759 N.W.2d 358 (2008). However, after the composition of this Court changed when Justice HATHAWAY replaced former Chief Justice TAYLOR on January 1, 2009, this Court granted plaintiff's motion for reconsideration, even though such motion had not raised any new legal arguments. 485 Mich. 851, 770 N.W.2d 357 (2009).
This case presents issues of statutory interpretation, which this Court reviews de novo. Dep't of Transp. v. Tomkins, 481 Mich. 184, 190, 749 N.W.2d 716 (2008). We also review rulings on motions for summary disposition de novo. Spiek v. Dep't of Transp., 456 Mich. 331, 337, 572 N.W.2d 201 (1998).
In Michigan, before the enactment of the no-fault insurance act, the only available recourse to victims of motor vehicle accidents seeking to recover damages was to file a common-law tort action. "[U]nder [this] tort liability system[,] the doctrine of contributory negligence denied benefits to a high percentage of motor vehicle accident victims, minor injuries were overcompensated, serious injuries were undercompensated, long payment delays were commonplace, the court system was overburdened, and those with low income and little education suffered discrimination." Shavers v. Attorney General, 402 Mich. 554, 579, 267 N.W.2d 72 (1978). In response to these deficiencies, the Legislature enacted the no-fault automobile insurance act, MCL 500.3101 et seq., effective March 30, 1973. The primary goal of the no-fault act is "to provide victims of motor vehicle accidents assured, adequate, and prompt reparation for certain economic losses." Shavers, 402 Mich. at 579, 267 N.W.2d 72. In order to meet this objective, the Legislature decided to make no-fault insurance compulsory, i.e., "whereby every Michigan motorist would be required to purchase no-fault insurance or be unable to operate a motor vehicle legally in this state." Id. In addition, "[i]n exchange for the payment of . . . no-fault economic loss benefits from one's own insurance company, the Legislature limited an injured person's ability to sue a negligent operator or owner of a motor vehicle for bodily injuries."
The Legislature did not initially define the language that is in dispute in this case—"serious impairment of body function"—and this Court itself struggled in the process of giving reasonable meaning to this language. In Advisory Opinion re Constitutionality of 1972 PA. 294, 389 Mich. 441, 481, 208 N.W.2d 469 (1973), we held that whether the plaintiff has suffered a "serious impairment of body function" is "within the province of the trier of fact. . . ." However, in Cassidy v. McGovern, 415 Mich. 483, 330 N.W.2d 22 (1982), noting that an advisory opinion "`is not precedentially binding in the same sense as a decision of the Court after a hearing on the merits,'" id. at 495, 330 N.W.2d 22 (citation omitted), this Court held:
In addition, Cassidy held that the phrase "serious impairment of body function" refers to "objectively manifested injuries" that impair "important body functions." Id. at 504-505, 330 N.W.2d 22. Cassidy also held that "the Legislature intended an objective standard that looks to the effect of an injury on the person's general ability to live a normal life." Id. at 505, 330 N.W.2d 22. Finally, Cassidy held that although "an injury need not be permanent
However, only four years later, in DiFranco v. Pickard, 427 Mich. 32, 398 N.W.2d 896 (1986), this Court overruled Cassidy. DiFranco held that "[i]f reasonable minds can differ as to whether the plaintiff suffered a serious impairment of body function, the issue must be submitted to the jury, even if the evidentiary facts are undisputed." Id. at 58, 398 N.W.2d 896. In addition, DiFranco held that the "impairment need not be of . . . an important body function," and it is unnecessary to look to the effect of the injury on the person's "`general ability to live a normal life.'" Id. at 39, 398 N.W.2d 896. DiFranco also held that, although the plaintiff must prove a "medically identifiable injury," this can be done on the basis of "the plaintiff's subjective complaints or the symptoms of an injury." Id. at 75, 398 N.W.2d 896. Finally, DiFranco held that the following factors should be considered when determining whether the impairment was serious:
In 1995, the Legislature amended the no-fault act. In particular, it amended MCL 500.3135(2)(a), which provides:
In addition, the Legislature defined "serious impairment of body function" to mean "an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." MCL 500.3135(7). In other words, the Legislature essentially rejected DiFranco and, with one exception, codified Cassidy.
In Kreiner, this Court for the first time interpreted the Legislature's definition of "serious impairment of body function." Because "generally" means "`for the most part,'" Kreiner held that "determining whether a plaintiff is `generally able' to lead his normal life requires considering whether the plaintiff is, `for the most part' able to lead his normal life." Kreiner, 471 Mich. at 130, 683 N.W.2d 611, quoting Random House Webster's College Dictionary (1991). In addition, because "lead" means "`to conduct or bring in a particular course,'" Kreiner held that "the effect of the impairment on the course of a plaintiff's entire normal life must be considered." Id. at 130-131, 683 N.W.2d 611,
Kreiner established a "multi-step process. . . for separating out those plaintiffs who meet the statutory threshold from those who do not." Id. First, the court must determine whether there is a factual dispute that is material to the determination whether the person has suffered a serious impairment of body function.
Although the dissent in Kreiner essentially agreed with the majority's analysis of the language "an objectively manifested impairment of an important body function," it disagreed with the majority's analysis of the language "that affects the person's general ability to lead his or her normal life." Most significantly in this regard, the dissent rejected the factors set forth by the majority on the basis that "time or temporal considerations" are inappropriate considerations. Id. at 147, 683 N.W.2d 611 (CAVANAGH, J., dissenting).
It is appropriate that Justice CAVANAGH, the authoring justice of the majority opinion in DiFranco, which was rejected by the Legislature, and also the authoring justice of the dissent in Kreiner, which was rejected by this Court, is now the authoring justice of the majority opinion, in which Kreiner is overruled. While to some, there may be a sense of justice, or at least a sense of irony, in this sequence of events, to others, including those of us in dissent in this case, such sequence embodies all that is wrong when a judiciary
Before proceeding too far into where our substantive disagreements lie, I would be remiss not to point out where we are in agreement. First, the majority, just as did the Kreiner dissent, largely agrees with Kreiner's analysis of MCL 500.3135(2)(a), i.e., if there is no material factual dispute, whether a person has suffered a serious impairment of body function should be determined by the court as a matter of law.
However, this is where our agreements end. First, the majority takes issue with Kreiner's statement that "the Legislature largely rejected DiFranco in favor of Cassidy." Kreiner, 471 Mich. at 121 n. 8, 683 N.W.2d 611. As explained earlier, the Legislature adopted Cassidy with a single exception. That single exception pertains to the fact that Cassidy, 415 Mich. at 505, 330 N.W.2d 22, required an evaluation of "the effect of an injury on "the person's general ability to live a normal life," while MCL 500.3135(7) requires an evaluation of the effect of an injury on "the person's general ability to lead his or her normal life." (Emphasis added.) That is, while the Cassidy test was entirely objective, the MCL 500.3135(7) test is at least partially subjective. As this Court explained in Kreiner, 471 Mich. at 121 n. 7, 683 N.W.2d 611:
Nevertheless, given that: (a) Cassidy, 415 Mich. at 505, 330 N.W.2d 22, held that courts should "look[] to the effect of an injury on the person's general ability to live a normal life"; (b) DiFranco, 427 Mich. at 39, 398 N.W.2d 896, held that courts should not look to the effect of the injury on the person's "`general ability to live a normal life'"; and (c) the Legislature subsequently and affirmatively directed the courts to look to the effect of an injury on "the person's general ability to lead his or her normal life," MCL 500.3135(7), the Legislature obviously preferred the policy of Cassidy to that of DiFranco. In addition, in contrast to DiFranco, and consistent with Cassidy, the Legislature expressly adopted an "important
Moreover, the Legislature's action of amending MCL 500.3135 following DiFranco is an example of legislative history that has genuine utility in the interpretative process. This Court has emphasized that "not all legislative history is of equal value," and has specifically noted that "[c]learly of the highest quality is legislative history that relates to an action of the Legislature from which a court may draw reasonable inferences about the Legislature's intent. . . ." In re Certified Question, 468 Mich. 109, 115 n. 5, 659 N.W.2d 597 (2003). The instant case presents an ideal "[e]xample[] of legitimate legislative history," i.e., the recitation of "actions of the Legislature intended to repudiate the judicial construction of a statute. . . ." Id. And yet, not altogether inexplicably, the majority entirely disregards these legislative actions.
Defendant and the Attorney General as amicus curiae have presented the Court with legislative analyses, committee reports, and other materials to support their argument that, in enacting the amendments, the Legislature intended to repudiate DiFranco and restore Cassidy, just as Kreiner held. Even the most cursory review of these documents demonstrates that defendant and the Attorney General's reading has merit. For example, the original draft of House Bill 4341 was accompanied by a memorandum from its sponsor that stated that the bill's first goal was to "[r]eestablish the two-part Cassidy standard of: (1) definition of `serious impairment of body function,' and (2) make the determination of whether an injury is a serious impairment of body function a question of law (judge) rather than of fact (jury)." Memorandum of Representative Harold J. Voorhees enclosing the original draft of HB 4341, February 8, 1995, available in defendant's appendix on appeal, p. 8b. Similarly, the House legislative analysis expressly set forth the chronology of Cassidy and DiFranco, noting that DiFranco had "rejected" Cassidy and that the bill "would return to a tort threshold resembling that provided by the Cassidy ruling. . . ." House Legislative Analysis, HB 4341, December 18, 1995. The analysis provided to the Senate Financial Services Committee likewise explained in the first sentence of the bill's description that it "would put into law the Cassidy standards for meeting the serious impairment of body function threshold." Department of Commerce Bill Analysis of HB 4341, February 14, 1995. And finally, it is apparent from the statements of protest of the bill's opponents that they also clearly understood House Bill 4341 to be a "return to the Cassidy standard. . . ." Statements of Senator Henry E. Stallings II, 1995 journal of the Senate 1784 October 12, 1995; see also statement of Senator John D. Cherry, Jr., id. at 1785.
While on several occasions I have explained why I do not find all forms of legislative history to be useful tools in the interpretative process, see, e.g., Petersen v. Magna Corp., 484 Mich. 300, 381-382, 773 N.W.2d 564 (2009) (MARKMAN, J., dissenting), the author of the majority opinion
Indeed, the problem with this approach of sometimes relying on legislative history and sometimes not is, as I explained in my
Next, the majority peremptorily rejects Kreiner's use of the words "trajectory" and "entire." Again, the pertinent statutory language being defined here is, "that affects the person's general ability to lead his or her normal life." MCL 500.3135(7). "Lead" is defined as "to conduct or bring. . . in a particular course," and, as the majority acknowledges, "`trajectory' is a synonym for `course.'" Random House Webster's College Dictionary (1991). In addition, contrary to the majority's contention, Kreiner's use of the word "entire" was not "created out of thin air." Instead, the use of the word "entire" derived from the Legislature's use of the word "general" because "in general" means "with respect to the entirety." Random House Webster's College Dictionary (1991) (emphasis added). More accurately, it is the meaning that the majority gives to "general" that is "created out of thin air." The majority concludes that the word "general" means "some," even though the definition that the majority itself relies upon does not even include "some," but instead indicates that "general" means "whole," "every," "majority," "prevalent," "usually," "in most instances," "not limited," and "main features." Nowhere among these possible meanings can a reader sight the word
Finally, the majority rejects the non-exhaustive list of factors that Kreiner set forth for consideration in evaluating whether the plaintiff's general ability to lead his normal life has been affected. The majority asserts that Kreiner "departed. . . from the statutory text, by providing an extra-textual `nonexhaustive list of objective factors' to be used to compare the plaintiff's pre- and post-incident lifestyle." This critique is quite surprising given that it is not uncommon for courts in general, and for this Court in particular, to provide "extra-textual" factors to be considered in interpreting a statute that demands a fact-specific analysis.
Indeed, in DiFranco itself, Justice CAVANAGH provided numerous "extra-textual" factors to be considered in determining whether a plaintiff has established a serious impairment of body function. DiFranco, 427 Mich. at 69-70, 398 N.W.2d 896, states:
Indeed, these "extra-textual" factors are remarkably similar to the Kreiner factors: "(a) the nature and extent of the impairment, (b) the type and length of treatment required, (c) the duration of the impairment, (d) the extent of any residual impairment, and (e) the prognosis for eventual recovery." Kreiner, 471 Mich. at 133, 683 N.W.2d 611. It is not clear why the
See, also, Wood v. Detroit Auto. Inter-Ins. Exch., 413 Mich. 573, 321 N.W.2d 653 (1982), listing several "extra-textual" factors a court should consider in awarding "reasonable" attorney fees under MCL 500.3148(1);
As should be readily apparent, the majority's claim that Kreiner erred by including "extra-textual" factors to consider in interpreting a statute is a wholly manufactured concern. The statute requires a fact-specific analysis. As Justice CAVANAGH'S DiFranco opinion and numerous other decisions of this Court have recognized, such factors assist courts in applying the statutory language on a case-by-case basis. To date, none of the members of the majority have objected to the inclusion of such factors in any other of this Court's decisions.
Nevertheless, the majority rejects Kreiner's "extra-textual" factors on the basis that they all "include a temporal component," reiterating the argument made by the Kreiner dissent that "the statute does not create an express temporal requirement as to how long an impairment must last." Ante at 530, see also Kreiner, 471 Mich. at 147, 683 N.W.2d 611 (CAVANAGH, J., dissenting) ("[T]he serious impairment of body function threshold does not suggest any sort of temporal limitation. . . . Therefore, the duration of the impairment is not an appropriate inquiry."). Indeed, the majority now holds that it is unnecessary to consider whether the impairment even "continues to affect [plaintiff's] general ability to lead his pre-incident `normal life'. . . ." (Emphasis added.)
The majority, not surprisingly, claims that this dissent mischaracterizes its holding
I am reminded of a famous Sherlock Holmes line:
That is, given that the majority essentially agrees with everything in Kreiner but its temporal considerations,
In sum, if temporal considerations are relevant: (1) why is the majority overruling Kreiner; (2) why does the majority reject Kreiner's factors, such as the duration of the impairment; (3) why does the majority not include temporal considerations within its new test; (4) why does the majority fail to explain the relevancy of temporal considerations; (5) why does the majority conclude that it is unnecessary to consider whether the impairment "continues to affect [plaintiff's] general ability to lead his pre-incident `normal life'"; and (6) perhaps most tellingly, why does not the majority clarify its position, whatever it may be, in light of this dissent? Simply saying that our conclusion is "erroneous" does not make it so, and, even more to the point, will hardly assist the bench and bar of this state in determining whether, and how, temporal considerations somehow remain relevant after today's decision.
For these reasons, we are unable to avoid the conclusion that the majority is, indeed, holding that temporal considerations are wholly or largely irrelevant, even though this "improbable" result constitutes a departure from Cassidy, DiFranco, and Kreiner, and makes utterly no sense. How can it possibly be determined whether an impairment "affects the person's general ability to lead his or her normal life" without taking into account temporal considerations? As Kreiner, 471 Mich. at 133 n. 18, 683 N.W.2d 611, inquired:
Does the majority really believe that the Legislature intended for the serious impairment threshold to be met in every instance where an objectively manifested impairment of an important body function affected a person's ability to lead his normal life for a mere moment in time? What if a person gets hit in the head and passes out for five minutes, but after those five minutes is completely unaffected by the impairment? If all temporal considerations are irrelevant, would not this person satisfy the majority's threshold, because his general ability to lead his normal life was certainly affected for those five minutes of unconsciousness? Under the majority's rule, it is apparently irrelevant that the person arose after those five minutes and led a completely normal life thereafter. The majority asserts that all that matters is that for that moment in time, the person's general ability to lead his normal life had been affected. I am not sure that the majority's new threshold can even be called a "threshold" when it can be satisfied in virtually every automobile accident case that results in injury.
The clearest illustration of the difficulty in determining whether an impairment "affects the person's general ability to lead his or her normal life" without taking into account temporal considerations is the majority's own inability to do so.
Indeed, under the majority's new threshold, it would seem that the moment the plaintiff in this case went to the emergency room and it was determined that he had broken his ankle, the threshold was met. For at that moment, plaintiff could not work. While at the emergency room, and for some measurable time afterwards, plaintiff's broken ankle affected not just some, but all, of his capacity to live his normal life. Under the majority's non-temporal test, there is apparently no need to consider anything beyond the emergency room visit. If this reading of its decision is wrong, once again, the majority might wish to explain why this is so for the benefit of the bench, the bar, and the public.
In crafting its new threshold, the majority would also have been wise to consider the larger no-fault statute. Recall that the Legislature has decided that an injured plaintiff should only be allowed to sue to recover noneconomic damages resulting from an automobile accident where he or she has suffered: (a) death; (b) permanent serious disfigurement; or (c) serious impairment of body function. MCL 500.3135. It is well established that "`[w]hen construing a series of terms . . . we are guided by the principle that words grouped in a list should be given related meaning.'" In re Complaint of Rovas Against SBC Mich., 482 Mich. 90, 114, 754 N.W.2d 259
In addition, the Legislature defined "serious impairment of body function" to mean "an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." MCL 500.3135(7). Obviously, in enacting this threshold language, and in joining it with "death" and "serious permanent disfigurement," the Legislature was unlikely to have had in mind an impairment that only affected a plaintiff's ability to lead his normal life for a moment in time, with no consideration being given to the plaintiff's general ability to lead his normal life beyond that moment. Indeed, it is quite certain that this is not what the Legislature had in mind, given that the very premise of the no-fault act, and the core of the accompanying legislative compromise, was that some injured persons would not be able to recover noneconomic damages, so that all injured persons would be able to recover economic loss benefits regardless of fault.
As explained earlier, both Kreiner and the majority agree that the court must first determine whether there is a factual dispute that is material to the determination whether plaintiff has suffered a serious impairment of body function. Here, there are no material factual disputes. Before the accident, plaintiff worked approximately 60 hours a week and for the six months immediately before the accident, plaintiff's position was that of a medium truck loader. Additionally, plaintiff fished and golfed. Twelve months after the accident, plaintiff's surgeon cleared him to return to work with no restrictions. Seventeen months after the accident, plaintiff returned to work and has been able to perform all of his job duties since then. During the entire time he was recuperating, plaintiff could tend to his needs and there was no effect on his relationship with his then-fiancée. Additionally, plaintiff continued to fish and golf. Thus, I agree with the majority that there are no factual disputes that are material to the determination of whether plaintiff suffered a serious impairment of a body function. The facts are clear.
I also agree with the majority that the "body function" that was "impaired," the ability to walk, was "important," and that the impairment was "objectively manifested." Although plaintiff was able to walk to some extent, his ability to do so was impaired, and his impairment, a broken ankle, was recognized by his doctors. The
Plaintiff's ability to walk, as just noted, was impaired by a broken ankle. However, once plaintiff's ankle was placed in a cast at the emergency room, he was able to walk with the aid of crutches. And, immediately following his initial surgery in which a device was implanted to stabilize his ankle, plaintiff was still able to walk with crutches, although he was instructed not to place any weight on his ankle for one month. Plaintiff underwent physical therapy and nine months later, in October of 2005, plaintiff again underwent surgery to remove the device. By January 2006 (one year after the accident), plaintiff's surgeon had cleared plaintiff to return to work with no restrictions. However, plaintiff claimed that he could not keep up with the demands of his job and thus was placed back on workers' compensation. Although plaintiff's subjective reports of his pain from January 2006 forward varied greatly,
Although plaintiff was assigned to a position that was less physically demanding than the position he had been performing before he was injured, plaintiff did this voluntarily and he suffered no loss in pay. Moreover, at the time plaintiff was injured, he had only been in that position for six months and, since he began to work for Allied in 2002, he had worked in three different positions. Thus, the fact that defendant was assigned to a different position upon his return is not particularly significant in this Court's analysis.
Plaintiff's only argument regarding his inability to lead his normal life is that he was unable to work at certain times. During the time he was recuperating, plaintiff could care for himself and tend to his household chores without assistance. His
The majority overrules Kreiner while paying its usual lip service to stare decisis.
Indeed, the author of the majority opinion, as one who subscribes to the doctrine of legislative acquiescence, has often argued that principles of stare decisis are especially strong in matters of statutory interpretation.
The new majority assumed power in January 2009, and wasted little time in beginning its efforts to "undo" decisions of the previous majority.
In Bush v. Shabahang, 484 Mich. 156, 175 n. 34, 772 N.W.2d 272 (2009), the majority stated that it "question[ed] whether Roberts I [Roberts v. Mecosta Co. Gen. Hosp, 466 Mich. 57, 642 N.W.2d 663 (2002)] and Boodt [v. Borgess Med. Ctr., 481 Mich. 558, 751 N.W.2d 44 (2008)] were correctly decided. . . ." And, in Potter v. McLeary, 484 Mich. 397, 424 n. 32, 774 N.W.2d 1 (2009), the majority said: "We question whether Roberts II [Roberts v. Mecosta Co. Gen. Hosp., 470 Mich. 679, 684 N.W.2d 711 (2004)] was correctly decided. . . ."
The majority's treatment of precedent in the seven-month period from when it took power until the end of the Court's term in July 2009 was well explained in earlier statements of mine and of Justices CORRIGAN and YOUNG. For example, in Henry v. Dow Chem. Co., 484 Mich. 483, 528 n. 28, 772 N.W.2d 301 (2009), Justice YOUNG observed in his partial dissent:
And, as Justice CORRIGAN stated in her dissenting statement in Beasley v. Michigan, 483 Mich. 1025, 765 N.W.2d 608 (2009):
One other practice to which the new majority began to adhere in 2009 was requesting that the parties brief whether a decision of the former majority should be overruled. See, e.g., Justice YOUNG's partial dissent in Potter, 484 Mich. at 450 n. 43, 774 N.W.2d 1, in which he stated:
Thus, from January 2009 through July 31, 2009, the new majority reversed an opinion on rehearing, sowed seeds of confusion by questioning three cases decided by the former majority, i.e., Roberts I, Roberts II, and Boodt, failed to follow numerous other precedents as cited above, and began to issue orders requesting that the parties brief whether decisions made by the former majority should be overruled.
In 2010, the majority has accelerated efforts to "undo" numerous cases decided by the former majority through express overrulings and additional orders asking parties to brief whether a case should be overruled.
In People v. Feezel, 486 Mich. 184, 783 N.W.2d 67 (2010), the majority expressly overruled People v. Derror, 475 Mich. 316, 715 N.W.2d 822 (2006). In Lansing Sch. Educ. Ass'n v. Lansing Bd. of Edu., 487 Mich. 349, 792 N.W.2d 686 (2010), the majority overruled Lee v. Macomb Co. Bd. of Comm'rs, 464 Mich. 726, 629 N.W.2d 900 (2001), Crawford v. Dep't of Civil Serv., 466 Mich. 250, 645 N.W.2d 6 (2002), Nat'l Wildlife Federation v. Cleveland Cliffs Iron Co., 471 Mich. 608, 684 N.W.2d 800 (2004), Associated Builders & Contractors v. Dep't of Consumer & Indus. Servs. Dir., 472 Mich. 117, 124-127, 693 N.W.2d 374 (2005), Mich. Chiropractic Council v. Comm'r of the Office of Fin. & Ins. Servs., 475 Mich. 363, 716 N.W.2d 561 (2006), Rohde v. Ann Arbor Pub. Sch., 479 Mich. 336, 737 N.W.2d 158 (2007), and Mich. Citizens for Water Conservation v. Nestlé Waters North America Inc., 479 Mich. 280, 302-303, 737 N.W.2d 447 (2007), and Manuel v. Gill, 481 Mich. 637, 753 N.W.2d 48 (2008). In Bezeau v. Palace Sports, 487 Mich. 455, ___ N.W.2d ___ (2010), the majority expressly overruled the limited retroactive effect of Karaczewski v. Farbman Stein & Co., 478 Mich. 28, 732 N.W.2d 56 (2007). In Regents of Univ. of Mich. v. Titan Ins. Co., 487 Mich. 289, 791 N.W.2d 897 (2010), the majority expressly overruled Cameron v. Auto Club Ins. Ass'n, 476 Mich. 55, 718 N.W.2d 784 (2006). In O'Neal v. St. John Hosp., 487 Mich. 485, 509 n. 22, 791 N.W.2d 853 (2010), the lead opinion authored by Justice HATHAWAY indicated its agreement with Justice CAVANAGH's partial dissent in Wickens v. Oakwood Healthcare Sys., 465 Mich. 53, 631 N.W.2d 686 (2001), which already had the support of three Justices
The majority's work, however, has apparently only just begun. It has already teed up six more cases in its grant orders for possible overruling. These include: Mich. Citizens v. Nestlé Waters, 479 Mich. 280, 737 N.W.2d 447 (2007);
The new majority once purported to be concerned about the stability of the law,
The majority accuses the dissenting justices of hypocrisy with regard to our stare decisis criticisms of the majority.
However, the position of the dissenting justices on stare decisis has not changed a whit since we were in the majority; by contrast, the position of the majority justices is unrecognizable.
It has always been our position that stare decisis is not an "inexorable command," and that a judge's primary obligation is to the law and the constitution, not to the judgments of his or her predecessors. To that end, we have always asserted that there are multiple judicial values that must be assessed in any case in which previous decisions of the Court are implicated. In every such case, a judge must respectfully consider the interests served by stare decisis—predictability and certainty in the law, and the uniformity of its application. However, in every such case, a judge must also consider the interests served by interpreting the law correctly—regard for the lawmaker, adherence to constitutional dictates concerning the "judicial power" and the separation of powers, and competing predictability and certainty interests that are served where the law means what it plainly says. Robinson, 462 Mich. at 464-468, 613 N.W.2d 307. As we explained in Robinson:
That has been the consistent approach of the dissenting justices, and this continues to be our approach. Respect for stare decisis is a critical judicial value, but so is a regard for the constitutional processes of government by which a judge strives to interpret the law in accordance with its actual language. Balancing these values is sometimes difficult, and reasonable people can often disagree as to how this balance should be struck. Robinson supplies one attempt at identifying the factors that courts have traditionally looked to in striking this balance in a consistent and reasonable manner. Despite suggestions to the contrary, Robinson does not establish a "mechanical" process, but simply attempts to afford reasonable guidance in achieving a fair equilibrium between stare decisis and getting the law right.
However, as explained above, the justices now in the majority who were on the Court at the time took a quite different approach to stare decisis when they were in the minority. As Justice YOUNG has explained:
The majority entirely misapprehends our criticism of its record on stare decisis if it thinks that we are simply counting the number of occasions on which they have reversed precedent over the past term and a half. That is not our intention at all. We freely acknowledge that we too reversed precedents when we were in the majority—although hardly at their remarkable pace. That is not the nub of our critique. Rather, the nub is: (a) that the majority justices have demonstrated a remarkably inconsistent and "flexible" attitude toward stare decisis, in which their views on the subject appear to be nothing more than a function of whether they are in the majority or the minority; and (b) that the majority justices equate their own reversals of precedent, in which they have widened the distance between the law of the lawmaker and the law of the court, with the previous majority's reversals in which we did the opposite.
"[N]o meaningful discussion of a court's attitude toward precedent can be based solely on an arithmetical analysis in which raw numbers of overrulings are simply counted. Such an analysis obscures that not all precedents are built alike, that some are better reasoned than others, that some are grounded in the exercise of discretionary judgments and others in the interpretation of plain language, that some are thorough in their analyses and others superficial." Rowland v. Washtenaw Co. Rd. Comm., 477 Mich. 197, 226, 731 N.W.2d 41 (2007) (MARKMAN, J., concurring). The chart set forth in Rowland demonstrates, we believe, that the overrulings of precedent that occurred between
Thus, the present majority has regard neither for precedent nor for the most significant competing value that would sometimes warrant overturning a precedent, to wit, that it is not in accord with the words of the lawmaker. In the end, the majority's approach to stare decisis is empty and incoherent. The majority has unsettled the precedents of this Court at a Guinness world's record pace, and it has done so while disserving both the values of stare decisis and that of a court acting in accordance with the constitutional separation of powers to respect the decisions of the lawmaker. The majority has run amuck in service of values that have no grounding in either stare decisis, or in any other conception of the "judicial power," other than that they comprise an arithmetical majority of this Court. In this regard, the majority confuses power and authority. The majority unsettles and confuses the law both in its disregard for this Court's previous decisions and in its equal disregard for the language of the law. It compounds the confusion it fosters in one realm with the confusion that it fosters in the other.
As discussed earlier, although virtually all legislation involves some sort of compromise, the no-fault act, in particular, entailed a substantial and well-understood compromise. In exchange for the payment of economic loss benefits from one's own insurance company (first-party benefits), the Legislature limited an injured
Accordingly, there is no question that the legislative compromise that produced the no-fault act recognized that some injuries would not be considered sufficient to meet the no-fault threshold. While every injury resulting from a motor vehicle accident certainly has adverse consequences, and may involve medical costs, treatment, and bodily pain, not all injuries rise to the level of the no-fault threshold of a "serious impairment of a body function." Some injured persons are able to recover noneconomic damages, so that all injured persons are able to recover economic loss benefits regardless of fault. Otherwise, "little has been gained by granting benefits for economic loss without regard to fault." Id. at 500, 330 N.W.2d 22. Indeed, "the excessive litigation of motor vehicle accident cases" would continue, and, yet, economic loss benefits would have to be paid regardless of fault. Id. In other words, plaintiffs would be able to recover economic loss benefits regardless of fault and without having to go to a jury, while these same plaintiffs would also be able to go to a jury and seek noneconomic benefits as well. That is not the compromise reached by the Legislature. In particular,
In addition, it has been repeatedly recognized that, due to the mandatory nature of no-fault insurance, the Legislature intended that its cost be affordable. Shavers, 402 Mich. at 599, 267 N.W.2d 72 ("The Legislature has . . . fostered the expectation that no-fault insurance will be available at fair and equitable rates.").
Every owner of a car that is driven on a public highway must buy certain basic coverages in order to register the vehicle and obtain license plates. MCL 500.3101(1). The Legislature has provided two incentives to ensure that owners purchase the required insurance. First, it is a misdemeanor to drive a motor vehicle without basic no-fault coverage. Under MCL 500.3102(2), if someone is convicted of driving without basic no-fault insurance coverage, he or she can be fined up to $500, incarcerated in jail for up to one year, or both. Second, the no-fault act precludes receipt of no-fault personal protection benefits if at the time of the accident the person was the owner or registrant of an uninsured motor vehicle involved in the accident. MCL 500.3113(b). Notwithstanding this criminal sanction, and this potential preclusion of no-fault benefits, it is estimated that 17 percent
The majority's decision will not only result in increased automobile insurance premiums, and more uninsured vehicles on our roads and highways, but it will also mean that substantially more lawsuits will be filed, even though an express goal of the no-fault act was to reduce "excessive litigation of motor vehicle accident cases." Cassidy, 415 Mich. at 500, 330 N.W.2d 22. Yet, under the majority's opinion, more lawsuits will make their way to juries for the consideration of noneconomic loss benefits, straining our already overburdened
The majority's decision will also increase costs incurred by the state of Michigan itself (and, of course, the taxpayers who fund those costs). In the course of arguing that Kreiner should not be overruled because it "clarifies rather than expands the statutory language," the Attorney General's amicus brief warns that if Kreiner is overruled, as a self-insured entity, the state will realize "a direct, significant increase in the cost of its litigation and coverage obligations."
Finally, and as a consequence of all of the above, the majority's decision will almost certainly call into question the long-term economic integrity of the present no-fault system in Michigan. By nullifying
The no-fault automobile insurance act, MCL 500.3135(1), provides that "[a] person remains subject to tort liability for noneconomic loss caused by his or her ownership, maintenance, or use of a motor vehicle only if the injured person has suffered death, serious impairment of body function, or permanent serious disfigurement." The issue here is whether plaintiff has suffered a serious impairment of body function. "`[S]erious impairment of body function' means an objectively manifested impairment of an important body function that affects the person's general ability to lead his or her normal life." MCL 500.3135(7).
In Kreiner, 471 Mich. at 132-133, 683 N.W.2d 611, this Court held that in determining whether the impairment affects the plaintiff's general ability to lead his normal life, "a court should engage in a multifaceted inquiry, comparing the plaintiff's life before and after the accident as well as the significance of any affected aspects on the course of the plaintiff's overall life." In addition, Kreiner indicated that certain factors, such as the duration of the impairment, may be of assistance in evaluating whether the plaintiff's general ability to lead his normal life has been affected. Id. at 133, 683 N.W.2d 611.
The majority overrules Kreiner, rejecting these factors and holding that temporal considerations are wholly or largely irrelevant in determining whether an impairment affects the plaintiff's general ability to lead his or her normal life. The majority apparently holds instead that as long as a plaintiff's general ability to lead his normal life has been affected for even a single moment in time, the plaintiff has suffered a serious impairment of body function. This conclusion is at odds with the actual language of the statute and nullifies the legislative compromise embodied in the no-fault act. Because I believe that Kreiner was correctly decided and that temporal considerations are, in fact, highly relevant, and indeed necessary, in determining whether an impairment affects the plaintiff's general ability to lead his normal life, I would sustain Kreiner. By nullifying the legislative compromise over the no-fault act—a compromise grounded in concerns over excessive litigation, the over-compensation of minor injuries, and the availability of affordable insurance—the Court's decision today will revive a legal environment in which each of these hazards reappear and threaten the continued fiscal integrity of our no-fault system.
Because I do not believe that the lower courts erred in concluding that plaintiff has not suffered a serious impairment of body function, I would affirm the judgment of the Court of Appeals.
CORRIGAN and YOUNG, JJ., concurred with MARKMAN, J.
Given that the allocation of decision-making authority between a judge and a jury is "a quintessentially procedural determination," Shropshire v. Laidlaw Transit, Inc., 550 F.3d 570, 573 (C.A.6, 2008), this potential conflict raises questions as to whether the Legislature may have unconstitutionally invaded this Court's exclusive authority to promulgate the court rules of practice and procedure to the extent that MCL 500.3135(2)(a) is merely procedural. See Perin v. Peuler (On Rehearing), 373 Mich. 531, 541, 130 N.W.2d 4 (1964). We do not reach this issue today because we conclude that there are no material factual disputes affecting the serious impairment threshold determination in this case. Notably, however, the division of questions of law and fact between a judge and a jury is based on longstanding procedural rules, see Mawich v. Elsey, 47 Mich. 10, 15-16, 10 N.W. 57 (1881), that are intended to promote judicial efficiency. See Moll v. Abbott Laboratories, 444 Mich. 1, 26-28, 506 N.W.2d 816 (1993). Whether MCL 500.3135(2)(a) serves a purpose other than judicial dispatch is not clear, as the Legislature itself stated that the 1995 amendments were intended, in part, "to prescribe certain procedures for maintaining [tort liability arising out of certain accidents]." See the title of 1995 PA 222. And, of course, the scope of the rules governing summary disposition are also supported—if not compelled—by the right to a jury trial in civil cases. See, generally, Conservation Dep't v. Brown, 335 Mich. 343, 346-347, 55 N.W.2d 859 (1952), and Dunn v. Dunn, 11 Mich. 284, 286 (1863). Accord Byrd v. Blue Ridge Rural Electric Coop., Inc., 356 U.S. 525, 537-538, 78 S.Ct. 893, 2 L.Ed.2d 953 (1958). Interestingly, the dissent states that it disagrees with the majority that there could be a conflict between the statute and the court rule, but it also approvingly quotes DiFranco for the proposition that reasonable minds can often differ over the threshold issues in these cases.
Ironically, the very doctrine and approach that the dissent vehemently claims to adhere to today, from Robinson v. Detroit, 462 Mich. 439, 613 N.W.2d 307 (2000), was not so faithfully applied by the members of the dissent in the past. Indeed, the members of the dissent have overruled caselaw without even paying lip service to Robinson, see, e.g., People v. Anstey, 476 Mich. 436, 719 N.W.2d 579 (2006), or after engaging in a cursory or limited analysis of the factors that they claim fidelity to today. See, e.g., Wesche v. Mecosta Co. Rd. Comm., 480 Mich. 75, 91 n. 13, 746 N.W.2d 847 (2008); Al-Shimmari v. Detroit Med. Ctr., 477 Mich. 280, 297 n. 10, 731 N.W.2d 29 (2007); Neal v. Wilkes, 470 Mich. 661, 667 n. 8, 685 N.W.2d 648 (2004); People v. Hickman, 470 Mich. 602, 610 n. 6, 684 N.W.2d 267 (2004); Mack v. Detroit, 467 Mich. 186, 203 n. 19, 649 N.W.2d 47 (2002).
Consequently, I want to focus my remarks here on the embarrassment that the common law presents—or ought to present—to a conscientious judicial traditionalist. . . .
To give a graphic illustration of my feelings on the subject, I tend to think of the common law as a drunken, toothless ancient relative, sprawled prominently and in a state of nature on a settee in the middle of one's genteel garden party. Grandpa's presence is undoubtedly a cause of mortification to the host. But since only the most ill-bred of guests would be coarse enough to comment on Grandpa's presence and condition, all concerned simply try ignore him. [Young, A judicial traditionalist confronts the common law, 8 Texas Rev. L. & Pol. 299, 301-302 (2004).]
I also disagree with the majority that "the disputed fact does not need to be outcome determinative in order to be material. . . ." MCL 500.3135(2)(a)(ii) states, "whether an injured person has suffered serious impairment of body function . . . [is a] question [] of law for the court if the court finds . . . [that the] factual dispute . . . is not material to the determination as to whether the person has suffered a serious impairment of body function. . . ." That is, "[a]bsent an outcome-determinative genuine factual dispute, the issue of threshold injury is now a question of law for the court." Kern v. Blethen-Coluni, 240 Mich.App. 333, 341, 612 N.W.2d 838 (2000) (emphasis added). Although the majority cites Black's Law Dictionary (8th ed.) in support of its proposition that "the disputed fact does not need to be outcome determinative in order to be material," Black's Law Dictionary (6th ed.) states the very opposite—"[m]aterial fact is one upon which outcome of litigation depends." See also Black's Law Dictionary (8th ed.), which defines "material" as "[h]aving some logical connection with the consequential facts," and Random House Webster's College Dictionary, which defines "material" as "likely to influence the determination of a case."
Conflicting results have also arisen among cases involving similarly injured plaintiffs. This is undoubtedly because no two plaintiffs are injured or recover in precisely the same manner. These conflicting results indicate that threshold issues are often questions upon which reasonable minds can differ.
Moreover, if the Court of Appeals is inconsistently or incorrectly applying Kreiner, this Court has a mechanism to rectify such errors—reversing such decisions, not overruling precedent and substituting an incomprehensible new standard bearing no relationship to the law being interpreted.
Concerning the statements of Justices HATHAWAY and WEAVER about stare decisis: