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    "judges": [
      "Brown, J., concurs."
    ],
    "parties": [
      "William T. STEWARD and Jeannine G. Steward v. Jerry Eugene McDONALD and Professional Services Industries, Inc."
    ],
    "opinions": [
      {
        "text": "Ray Thornton, Justice.\nThe issue in this case is whether a landlord owes a duty of care to his tenant\u2019s employees. Appellants William T. Steward and Jeannine G. Steward (\u201cLandlords\u201d) leased a building to appellee Professional Services Industries, Inc. (PSI). PSI employed appellee Jerry Eugene McDonald, who was injured when a riser broke while he was carrying boxes weighing approximately 120 pounds up a flight of stairs in the leased building. The stairway did not have a handrail at the time the injury occurred. After the accident, McDonald received benefits under the Arkansas Workers\u2019 Compensation Act.\nMcDonald filed a complaint against the Landlords, alleging that they had failed to maintain, repair, and construct the stairway in violation of our general unsafe-place-to-work statute, Ark. Code Ann. \u00a7 11-2-117 (1987), and that the Landlords were negligent in failing to provide guardrails, toeboards, and handrails as required by OSHA. McDonald later amended his complaint to allege violations of the Arkansas Department of Labor Basic Safety Manual. The Landlords then filed a third-party complaint against PSI, as the tenant, based on the principle of implied indemnification. The Landlords and PSI both filed motions for summary judgment. The trial court granted summary judgment in favor of PSI; however, it denied the Landlords\u2019 motion, and McDonald\u2019s claim against them proceeded to trial. The jury returned a general verdict in favor of the Landlords.\nMcDonald then filed a motion for new trial, on the basis that the verdict was \u201cclearly contrary to the preponderance of the evidence or . . . contrary to the law.\u201d Ark. R. Civ. P. 59(a)(6). The trial court premised its order granting a new trial on its interpretation of our general unsafe-place-to-wbrk statute, Ark. Code Ann. \u00a7 11-2-117 (Repl. 1996), which states in pertinent part:\nEvery employer and every owner of a place of employment, place of public assembly, or public budding, now or hereafter _ constructed, shall construct, repair, and maintain it so as to render it safe.\nArk. Code Ann. \u00a7 11-2-117(b) (emphasis added). The trial court found that the statute applied to the Landlords and created a duty to provide a safe place to work. It further found that the jury\u2019s failure to find the Landlords negligent on that basis was clearly against a preponderance of the evidence.\nIn construing the statute, we have determined that the general assembly did not intend for the phrase \u201cevery owner of a place of employment\u201d to expand or extend a landlord\u2019s duty to provide a safe place to work for his tenant\u2019s employees. We have not previously had occasion to interpret the meaning of this phrase in the context of this statute.\nIn his complaint, McDonald alleged that this statute imposes a duty on property owners, who lease a place of employment, to construct, repair, and maintain the property in a manner that renders it reasonably safe. McDonald based this argument solely on the statutory language. The trial court\u2019s order granting a new trial indicates that the court likewise found \u201cthat the jury finding that the Defendants were not negligent in failing to provide a safe place to work as required by Ark. Code Ann. \u00a7 11-2-117 is clearly against the preponderance of the evidence.\u201d\nMcDonald also argued that the lease agreement, which contained language stating that the Landlords were responsible for major repairs and the tenant for minor repairs, could be interpreted to mean that the Landlords had a contractual duty to repair the stairs. This question was submitted to the jury for determination, and the jury found that the Landlords were not negligent. However, the trial court\u2019s order granting a new trial was not based on any assertion of duty imposed under the terms of the lease agreement, but rather that a duty was imposed by statute and by the safety regulations. Therefore, we confine our discussion to the issues on which the trial court predicated its order in granting a new trial.\nWe have followed the common-law rule that a lessor owes no duty to the lessee to repair the premises. Majewski v. Cantrell, 293 Ark. 360, 737 S.W.2d 649 (1987). However, we have elaborated that a lessor can be held liable where he agrees to undertake the repairs. Id. In Majewski, we followed the majority rule, stating that:\nA landlord is subject to liability for physical harm caused to the tenant and others upon the leased property with the consent of the tenant or his subtenant by a condition of disrepair existing before or arising after the tenant has taken possession if: (1) the landlord, as such, has contracted by a promise in the lease or otherwise to keep the leased property in repair; (2) the disrepair creates an unreasonable risk to persons upon the leased property which the performance of the landlord\u2019s agreement would have prevented; and (3) the landlord fails to exercise reasonable care to perform his contract.\nId. at 362-63, 737 S.W.2d at 651.\nSimilarly, in Bartley v. Sweetser, 319 Ark. 117, 890 S.W.2d 250 (1994), we noted that since 1932, we have adhered to the rule that a landlord is under no legal obligation to a tenant for injuries sustained in common areas, absent a statute or agreement. See also 52 C.J.S. Landlord and Tenant \u00a7 417 (1968). A party who gratuitously undertakes a duty can, however, be liable for negligently performing that duty. Keck v. American Employment Agency, Inc., 279 Ark. 294, 652 S.W.2d 2 (1983); see also Restatement (Second) of Torts \u00a7 323 (1965). We have recognized that a duty can also arise, in certain circumstances, under the terms of a lease between a landlord and tenant. Bartley v. Sweetser, supra.\nIt is well settled that statutes will not be taken in derogation of the common law unless the act shows that such was the intent of the legislature. White v. State, 290 Ark. 130, 717 S.W.2d 784 (1986); Gray v. Nations, 1 Ark. (1 Pike) 557 (1839). We strictly construe statutes that impose duties or liabilities unknown at common law in favor of those upon whom the burden is sought to be imposed, and nothing will be taken as intended that is not clearly expressed. Hartford Ins. Group v. Carter, 251 Ark. 680, 473 S.W.2d 918 (1971); see also Norman J. Singer, 3 Sutherland Stat. Const. \u00a7 61.01, at 171 (5th ed. 1992).\nMcDonald\u2019s argument would require us to conclude that the legislature intended section 11-2-117 to subject all landowners who lease property to employers of more than five employees to liability for negligence in failing to provide and maintain a safe workplace. If we accept McDonald\u2019s interpretation of section 11-2-117, the resulting rule would clearly be in derogation of the common-law rule regarding a landlord\u2019s duty of care owed to a tenant. Therefore, we must strictly construe the statute in an attempt to give effect to the legislature\u2019s intent.\nThe legislature enacted almost all of Subchapter 2 of Title 11 through Act 161 of 1937, our Labor Department Act. 1937 Ark. Acts 161 (codified at Ark. Code Ann. \u00a7\u00a7 11-2-101 \u2014 121); Horn v. Shirley, 246 Ark. 1134, 441 S.W.2d 468 (1969). The primary function of the Act is clearly expressed in its title:\nAN ACT to Create a Department of Labor; to Create the Office of Commissioner of Land and to Define the Duties of the Commissioner as Administrative Head of the Department of Labor; to Provide for the Arbitration and Conciliation of Labor Disputes; to Authorize the Commissioner to Make Investigations and to Collect Statistics for the Purpose of Enforcing the Labor Laws of the State of Arkansas; to Empower the Board to Make Rules Relating to Health and Safety in Places of Employment; to Provide for the Review of Such Rules; to Provide Penalties for the Proper Enforcement of this Act and to Repeal all Laws in Conflict Herewith.\n1937 Ark. Acts 161. We gain further insight into the legislature\u2019s purpose from the Act\u2019s Emergency Clause:\nIt is found and determined by the General Assembly that the present laws relating to labor in this State are not sufficient to meet present conditions; that in order for this State to coordinate its activities concerning labor with Federal Agencies on unemployment and security benefits, it is necessary that a Department of Labor be created with the powers and duties prescribed by this Bill; THEREFORE, an emergency is hereby declared to exist and this Act shall take effect and be in full force and effect from and after its passage and approval.\n1937 Ark. Acts 161, \u00a7 26. The portion of the Act that is at issue here remains essentially unchanged from its form at inception. \u00a7 9(b) (codified at Ark. Code Ann. \u00a7 ll-2-117(b)).\nClearly, from the foregoing words of the general assembly, we may deduce that section 11-2-117 had its origin in legislation creating the Department of Labor with all its incidental powers and duties, granting the State the authority to enforce the statute with civil or criminal penalties, and establishing standards to be used in assessing whether a violation has occurred. Had the legislature intended a radical change in the law to extend causes of action for negligence based on a landlord\u2019s duty to his tenant, the Act would have expressed such an intention in some plain and unmistakable terms.\nInstead, the Act speaks of causes of action brought by the State against employers and owners of places of employment, places of public assembly, or public buildings. The Labor Department Act clearly contemplates bringing a cause of action against an \u201cemployer,\u201d which is defined within this subchapter as \u201cincluding] every person, . . . having control or custody of any . . . place of employment, or of any employee.\u201d Ark. Code Ann. \u00a7 11 \u2014 2\u2014 102(1) (emphasis added). Reading section 11-2-117(b) in conjunction with section 11-2-102(1), we cannot ascertain a legislative intent to impose greater liability on an owner of a place of employment than that imposed on an employer. Applying the rules of strict construction, we cannot say that the legislature plainly intended that the responsibility for a safe workplace is greater on an owner of a place of employment than it is on an employer, who may be penalized under the statute for having an unsafe workplace under its \u201ccontrol or custody.\u201d\nWe hold that, without an assumption of responsibility for repairs, there was no common-law duty under which we may impose liability on the Stewards, as landlords, to provide a safe workplace for the employees of their tenant and that none was created by the statute. We will reverse a trial court\u2019s order granting a motion for a new trial only if there is a manifest abuse of discretion. Ray v. Green, 310 Ark. 571, 839 S.W.2d 515 (1992). A clearly erroneous interpretation of the law or a clearly erroneous application of a law or rule can constitute such manifest abuse of discretion. Ford Motor Co. v. Nuckolls, 320 Ark. 15, 894 S.W.2d 897 (1995). We conclude that the trial court misinterpreted section 11-2-117 in its order granting new trial, and that this misinterpretation of the law constitutes a manifest abuse of discretion. Because of our decision, the remaining issues that appellant raises on appeal are rendered moot.\nAccordingly, we reverse the trial court\u2019s order granting a new trial and dismiss this appeal.\nBrown, J., concurs.",
        "type": "majority",
        "author": "Ray Thornton, Justice."
      },
      {
        "text": "Robert L. Brown, Justice,\nconcurring. I write to concur because I believe the majority has given an unduly restrictive construction to Ark. Code Ann. \u00a7 ll-2-117(b) (Repl. 1996). Section 11-2-117(b) reads:\nEvery employer and every owner of a place of employment, place of public assembly, or public building, now or hereafter constructed, shall construct, repair, and maintain it so as to render it safe.\nId. (emphasis added). In my judgment, this provision establishes a statutory duty on the part of the Stewards, who own a building used as a workplace, to turn the premises over to PSI in a safe condition. This duty attaches even though the owners are landlords because of the clear reference in the statute to \u201cowner.\u201d Here, the issue of premises safety was submitted to the jury, and the jury found for the Stewards. For that reason, I concur in the result.\nThe Supreme Court of West Virginia was faced with a similar issue in Pack v. Van Meter, 354 S.E.2d 581 (W.Va. 1986). In that case, Ms. Pack, who was employed by a dress shop that leased space in a building owned by the Van Meters, was injured when she fell down a set of stairs that did not have a handrail, which violated \u00a7 21-3-6 of the West Virginia Code. That code provision mandated proper and substantial handrails in all mercantile establishments. Because the statute was silent on whether this duty was owed by the Van Meters, the Supreme Court looked to its safe-workplace statute for guidance:\nW.Va.Code, 21-3-1, is the introductory section in the part of our Code relating mainly to the safety and welfare of employees in the workplace and contains this provision with regard to the owner of certain premises: \u201cEvery employer and every owner of a place of employment, place of public assembly, or a public building, now or hereafter constructed, shall so construct, repair and maintain the same as to render it reasonably safe.\u201d (Emphasis added). This language clearly imposes a duty on both the employer and the owner of a place of employment, place of public assembly, or a public building to maintain such places in a reasonably safe condition.\nId. at 585.\nThe West Virginia Supreme Court noted that finding a duty on the part of the Van Meters was necessary; otherwise, the \u201cevery owner\u201d language of the safe-workplace statute would be rendered meaningless. Id. at 586.\nThe Pack case is instructive because of the factual similarities to the present case, and also because both the Arkansas and West Virginia legislatures took action in 1937 to include the \u201cevery owner\u201d language in their respective safe-workplace statutes. While I agree that statutes in derogation of the common law must be strictly construed, it is settled law that the intent of the General Assembly must be garnered from the plain meaning of the language used. Masterson v. Stambuck, 321 Ark. 391, 902 S.W.2d 803 (1995); Hercules, Inc. v. Pledger, 319 Ark. 702, 894 S.W.2d 576. (1995); Pugh v. St. Paul Fire & Marine Ins. Co., 317 Ark. 304, 877 S.W.2d 577 (1994); Worthen Nat\u2019l Bank v. McCuen, 317 Ark. 195, 876 S.W.2d 567 (1994). Because it is undisputed that the Stewards were landlords and owners of the building leased by PSI, and because they had an opportunity to cure the structural defect prior to surrendering the property, a duty attached under the plain meaning of \u00a7 11-2-117(b).\nThe question then is whether the trial court was within its discretion in awarding McDonald a new trial on the ground that the jury\u2019s finding that the Stewards did not violate their statutory duty was clearly contrary to the preponderance of the evidence. See Ark. R. Civ. P. 59(a)(6); Young v. Honeycutt, 324 Ark. 120, 919 S.W.2d 216 (1996).\nIn this case, although the stairs did not comply with Rules 21 and 24 of the Arkansas Department of Labor Basic Safety Manual due to the absence of handrails, these violations are only evidence of negligence and not negligence per se, see Berkeley Pump Co. v. Reed-Joseph Land Co., 279 Ark. 384, 653 S.W.2d 128 (1983), reh\u2019g denied, 279 Ark. 401-A, 653 S.W.2d 128 (1983). In contrast, it was plain and obvious to PSI that the stairs had no handrail when PSI assumed control of the premises, and there was no request by PSI for the Stewards to provide a handrail for the benefit of PSI\u2019s employees. The jury could have determined that both PSI and the Stewards believed the stairs to be in a safe condition.\nI conclude that while a duty exists on the part of the Stewards to turn the premises over to PSI in a safe condition, the question of whether the premises were safe was decided in favor of the Stewards, and the verdict was not clearly contrary to the preponderance of the evidence. Accordingly, I would affirm the jury\u2019s decision.",
        "type": "concurrence",
        "author": "Robert L. Brown, Justice,"
      }
    ],
    "attorneys": [
      "Warner, Smith & Harris, PLC, by: Joel D. Johnson, for appellants.",
      "Eddie H. Walker, Jr., and Stephen M. Shamm, for appellee Jerry Eugene McDonald."
    ],
    "corrections": "",
    "head_matter": "William T. STEWARD and Jeannine G. Steward v. Jerry Eugene McDONALD and Professional Services Industries, Inc.\n97-137\n958 S.W.2d 297\nSupreme Court of Arkansas\nOpinion delivered December 18, 1997\nWarner, Smith & Harris, PLC, by: Joel D. Johnson, for appellants.\nEddie H. Walker, Jr., and Stephen M. Shamm, for appellee Jerry Eugene McDonald."
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}
