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      "JACK A. CONEY, Adm\u2019r, Appellee, v. J. L. G. INDUSTRIES, INC., Appellant."
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        "text": "JUSTICE MORAN\ndelivered the opinion of the court:\nClifford M. Jasper died as a result of injuries sustained on January 24, 1978, wh\u00f1e operating a hydraulic aerial work platform manufactured by defendant, J. L. G. Industries, Inc. Plaintiff, Jack A. Coney, administrator of Jasper\u2019s estate, filed a two-count complaint in the circuit court of Peoria County under the wrongful death and survival acts (Ill. Rev. Stat. 1977, ch. 70, par. 1 et seq., ch.1 IIOV2, par. 27 \u2014 6) based on a strict products liability theory. Defendant filed two affirmative defenses. The first asserted that Jasper was guilty of comparative negligence or fault in his operation of the platform. The second contended that Jasper\u2019s employer, V. Jobst & Sons, Inc., was also guilty of comparative negligence in failing to instruct and train Jasper on the operation of the platform and by failing to provide a \u201cgroundman.\u201d In these defenses, defendant requested that its fault, if any, be compared to the total fault of all parties and any judgment against defendant reflect only its percentage of the overall liability, i.e., that defendant not be held jointly and severally liable.\nOn plaintiff\u2019s motion, the trial court struck the defenses, but it certified three questions for appeal pursuant to Supreme Court Rule 308 (73 Ill. 2d R. 308). In an unpublished order, the appellate court denied defendant\u2019s application for leave to appeal, indicating the short record supplied did not provide sufficient facts to allow proper consideration of the policy questions involved. We allowed defendant leave to appeal.\nThe three certified questions are:\n\u201cWhether the doctrine of comparative negligence or fault is applicable to actions or claims seeking recovery-under products liability or strict liability in tort theories?\nWhether the doctrine of comparative negligence or fault eliminates joint and several liability?\nWhether the retention of joint and several liability in a system of comparative negligence or fault denies defendants equal protection of the laws in violation of U.S. Const. Amend. XIV, \u00a71 and Ill. Const. 1970, \u00a72 as to causes of action arising on or after [sic] March 1, 1978. (Ill. Rev. Stat. 1979, ch.70, \u00a7301 et seq.)T\u2019\nI\nCOMPARATIVE FAULT AND STRICT LIABILITY\nIn Suvada v. White Motor Co. (1965), 32 Ill. 2d 612, this court eliminated the need for privily of contract or proving the negligence of the manufacturer and instead imposed strict liability in tort as set out in Restatement (Second) of Torts section 402A (1965):\n\u201c(1) One who sells any product in a defective condition unreasonably dangerous to the user or consumer or to his property is subject to liability for physical harm thereby caused to the ultimate user or consumer, or to his property, if\n(a) the seller is engaged in the business of selling such a product, and\n(b) it is expected to and does reach the user or consumer without substantial change in the condition in which it is sold.\n(2) The rule stated in Subsection (1) applies although\n(a) the seller has exercised all possible care in the preparation and sale of his product, and\n(b) the user or consumer has not bought the product from or entered into any contractual relation with the seller.\u201d\nIn adopting strict liability in tort, this court said:\n\u201c[P]ublic interest in human life and health, the invitations and solicitations to purchase the product and the justice of imposing the loss on the one creating the risk and reaping the profit are present and as compelling in cases involving motor vehicles and other products, where the defective condition makes them unreasonably dangerous to the user, as they are in food cases.\u201d 32 Ill. 2d 612, 619.\nBut imposition of strict liability was not meant to make the manufacturer an absolute insurer. (Liberty Mutual Insurance Co. v. Williams Machine & Tool Co. (1975), 62 Ill. 2d 77, 85; Suvada v. White Motor Co. (1965), 32 Ill. 2d 612, 623.) The plaintiff must prove that the injury or damage resulted, from the condition of the product, that the condition was an unreasonably dangerous one, and that the condition existed at the time the product left the manufacturer\u2019s control. (Woodill v. Parke Davis & Co. (1980), 79 Ill. 2d 26, 31; Rios v. Niagara Machine & Tool Works (1974), 59 Ill. 2d 79, 83; Suvada v. White Motor Co. (1965), 32 Ill. 2d 612, 623.) Moreover, the court has heretofore followed the reasoning of the Restatement concerning the available defenses to a strict liability, action. It has been held that a manufacturer can assert a user\u2019s negligence as a complete bar to recovery when it rises to the level of misuse of the product, or assumption of the risk; but contributory negligence is not a defense. Liberty Mutual Insurance Co. v. Williams Machine & Tool Co. (1975), 62 Ill. 2d 77, 81; Williams v. Brown Manufacturing Co. (1970), 45 Ill. 2d 418; Restatement (Second) of Torts sec. 402A, comment n (1965).\nTraditionally in negligence actions, however, any contributory negligence by the plaintiff was an absolute defense which barred recovery. (Mueller v. Sangamo Construction Co. (1975), 61 Ill. 2d 441, 446; Maki v. Frelk (1968), 40 Ill. 2d 193, 195.) In response to the harshness of this doctrine, the court adopted comparative negligence in Alvis v. Ribar (1981), 85 Ill. 2d 1, and indicated that this concept produced \u201ca more just and socially desirable distribution of loss\u201d and was \u201cdemanded by today\u2019s society.\u201d (85 Ill. 2d 1, 17.) In Alvis, we adopted the \u201cpure\u201d form of comparative negligence, reasoning that it \u201cis the only system which truly apportions damages according to the relative fault of the parties and, thus, achieves total justice.\u201d 85 Ill. 2d 1, 27.\nIn the instant case, defendant argues that Alvis requires the adoption of a comparative fault system in strict products liability cases. Defendant maintains \u201ctotal justice\u201d can only be achieved where the relative fault of all the parties is considered in apportioning damages. To illustrate its argument, defendant points to the anomalous situation where, in a single case with alternate counts of negligence and strict liability, the identical conduct by the plaintiff which amounts to an assumption of the risk will completely bar recovery in the strict liability count, yet, as a result of Alvis, will only reduce his award under the negligence count. Moreover, if the plaintiff is only contributorily negligent, he recovers all his damages under strict liability, but his recovery is diminished under the negligence count. Defendant argues that common sense mandates an approach which is consistent in its treatment of all the parties to an action, whether founded on common law negligence or strict liability.\nWe are not the first to consider the impact of comparative negligence upon strict liability. Some jurisdictions have declined to apply comparative negligence or fault principles in strict liability actions:\nColorado Kinard v. Coats Co. (1976), 37 Colo. App. 555, 553 P.2d 835; but see Colo. Rev. Stat. sec. 13\u201421\u2014406 (Supp. 1982), as interpreted in Welch v. F. R. Stokes, Inc. (D. Colo. 1983), 555 F. Supp. 1054.\nNebraska Melia v. Ford Motor Co. (8th Cir. 1976), 534 F.2d 795 (applying Nebraska law).\nOklahoma Kirkland v. General Motors Corp. (Okla. 1974), 521 P.2d 1353 (comparative negligence statute not applicable to products liability).\nRhode Island Roy v. Star Chopper Co. (1st Cir. 1978), 584 F.2d 1124, cert. denied (1979), 440 U.S. 916, 59 L. Ed. 2d 466, 99 S. Ct. 1234 (applying Rhode Island law).\nSouth Dakota Smith v. Smith (S.D. 1979), 278 N.W.2d 155.\nThe vast majority, though, have found comparative negligence theory applicable in strict liability cases.\nAlaska Butaud v. Suburban Marine & Sporting Goods, Inc. (Alaska 1976), 555 P.2d 42.\nArkansas Ark. Stat. Ann. secs. 27\u20141763 to 27\u20141765 (1979).\nCalifornia Daly v. General Motors Corp. (1978), 20 Cal. 3d 725, 575 P.2d 1162, 144 Cal. Rptr. 380.\nFlorida West v. Caterpillar Tractor Co. (Fla. 1976), 336 So. 2d 80.\nIdaho Sun Valley Airlines, Inc. v. Avco-Lycoming Corp. (D. Idaho 1976), 411 F. Supp. 598 (applying Idaho law).\nKansas Kennedy v. City of Sawyer (1980), 228 Kan. 439, 618 P.2d 788.\nMaine Me. Rev. Stat. tit. 14, sec. 156 (1964).\nMichigan Mich. Comp. Laws Ann. sec 600.2949 (Supp. 1982).\nMinnesota Busch v. Busch Construction, Inc. (Minn. 1977), 262 N.W.2d 377.\nMississippi Edwards v. Sears, Roebuck & Co. (5th Cir. 1975), 512 F.2d 276 (applying Mississippi law).\nMontana Zahrte v. Sturm, Ruger & Co. (D. Mont. 1980), 498 F. Supp. 389 (stating Montana law).\nNew Hampshire Reid v. Spadone Machine Co. (1979), 119 N.H. 457, 404 A.2d 1094; Thibault v. Sears, Roebuck & Co. (1978), 118 N.H. 802, 395 A.2d 843.\nNew Jersey Suter v. San Angelo Foundry & Machine Co. (1979), 81 N.J. 150, 406 A.2d 140.\nNew York N.Y. Civ. Prac. Law sec. 1411 (McKinney 1976).\nOregon Wilson v. B. F. Goodrich (1982), 292 Or. 626, 642 P.2d 644; Baccelleri v. Hyster Co. (1979), 287 Or. 3, 597 P.2d 351.\nUtah Mulherin v. Ingersoll-Rand Co. (Utah 1981), 628 P.2d 1301.\nWashington Wash. Rev. Code Ann. secs. 4.22.005 to 4.22.015 (Supp. 1982).\nWisconsin Dippel v. Sciano (1967), 37 Wis. 2d 443,155 N.W.2d 55.\nIn the case at bar, plaintiff argues that applying comparative fault principles in strict liability actions would raise the conduct of the product user to a position equal to that of the manufacturer in regard to the prevention of injury; and that it would thereby give undue advantage to the manufacturer. The Illinois Trial Lawyers Association, in their amicus curiae brief, assert that comparative fault applied in this instance would undermine the policy basis that led to the imposition of strict liability. Further, they argue that reducing a plaintiff\u2019s recovery according to his fault would lessen the manufacturer\u2019s incentive to design and market a defect-free, safe product. As authority for their position, plaintiff and amicus curiae rely primarily on Smith v. Smith (S.D. 1979), 278 N.W.2d 155, Seay v. Chrysler Corp. (1980), 93 Wash. 2d 319, 609 P.2d 1382, Kinard v. Coats Co. (1976), 37 Colo. App. 555, 553 P.2d 835, and the dissenting opinions in Daly v. General Motors Corp. (1978), 20 Cal. 3d 725, 575 P.2d 1162, 144 Cal. Rptr. 380. We find this authority unpersuasive.\nIn Smith v. Smith (S.D. 1979), 278 N.W.2d 155, the issue before the court was which defenses were available to a manufacturer in a strict products liability action. Following the traditional analysis set out in section 402A, comment n of the Restatement, the court held that contributory negligence was not a defense, but misuse and assumption of the risk would bar recovery. In a footnote, without extended discussion, the court summarily rejected applying comparative fault principles, indicating it would negate the underlying basis of strict liability and present unworkable problems for the jury.\nIn Kinard v. Coats Co. (1976), 37 Colo. App. 555, 553 P.2d 835, the court refused to extend the concept of comparative fault found in the Colorado comparative negligence statute (Colo. Rev. Stat. sec. 13 \u2014 21\u2014111 (1973)) to actions sounding in strict liability. However, the recent enactment of a comparative fault provision in Colorado\u2019s product liability statute (Colo. Rev. Stat. sec. 13 \u2014 21\u2014406 (Supp. 1982)) renders this case of little precedential value to the issue at bar. See Welch v. F. R. Stokes, Inc. (D. Colo. 1983), 555 F. Supp. 1054.\nSimilarly, the court in Seay v. Chrysler Corp. (1980), 93 Wash. 2d 319, 609 P.2d 1382, held that the Washington comparative negligence statute did not apply to strict liability cases. A recent Washington statute, however, has been interpreted as mandating that comparative fault be applied in strict liability cases as a damage-reducing factor. See South v. A. B. Chance Co. (1981), 96 Wash. 2d 439, 635 P.2d 728.\nWe believe that application of comparative fault principles in strict products liability actions would not frustrate this court\u2019s fundamental reasons for adopting strict products liability as set out in Suvada. The plaintiff will still be relieved of the proof problems associated with negligence and warranty actions. Privity and a manufacturer\u2019s negligence continue to be irrelevant. Nor would comparative fault lessen the manufacturer\u2019s duty to produce reasonably safe products. The manufacturer\u2019s liability remains strict; only its responsibility for damages is lessened by the extent the trier of fact finds the consumer\u2019s conduct contributed to the injuries. Daly v. General Motors Corp. (1978), 20 Cal. 3d 725, 575 P.2d 1162, 144 Cal. Rptr. 380.\nFurther, the risk associated with the product defect is still spread among all consumers. Only that portion due to plaintiff\u2019s own conduct or fault is borne by the plaintiff. Where the allocation of losses properly can be apportioned, we see no reason to spread the cost of the loss resulting from plaintiff\u2019s own fault on to the consuming public. See Daly v. General Motors Corp. (1978), 20 Cal. 3d 725, 737-38, 575 P.2d 1162, 1169, 144 Cal. Rptr. 380, 387; D. Fischer, Products Liability \u2014 Applicability of Comparative Negligence, 43 Mo. L. Rev. 431, 433 (1978).\nPlaintiff and amicus curiae next argue that the comparison of the plaintiff\u2019s fault with the defendant\u2019s defective product is a comparison of noncomparables, an attempt to compare \u201capples and oranges,\u201d and that this comparison cannot be applied logically and consistently in strict products liability cases. See Daly v. General Motors Corp. (1978), 20 Cal. 3d 725, 575 P.2d 1162, 144 Cal. Rptr. 380 (Jefferson and Mosk, JJ., dissenting).\nAlthough it appears theoretically difficult to balance the defendant\u2019s strict liability against the user\u2019s negligence, other courts and their juries have been able to do so. In this regard, Professor Schwartz said:\n\u201cIt is true that the jury might have some difficulty in making the calculation required under comparative negligence when defendant\u2019s responsibility is based on strict liability. Nevertheless, this obstacle is more conceptual than practical. The jury should always be capable, when the plaintiff has been objectively at fault, of taking into account how much bearing that fault had on the amount of damage suffered and of adjusting and reducing the award accordingly. Triers of fact are apparently able to do this, and the benefits from the approach suggest that it be applied in all comparative negligence jurisdictions.\u201d V. Schwartz, Comparative Negligence sec. 12.7, at 208-09 (1974).\nA manufacturer is under a nondelegable duty to produce a product which is reasonably safe. (Anderson v. Hyster Co. (1979), 74 Ill. 2d 364, 368; Rios v. Niagara Machine & Tool Works (1974), 59 Ill. 2d 79, 85.) Defendant contends that when a manufacturer breaches this duty and places a defective product on the market, he is at \u201cfault.\u201d Correspondingly, it argues, the plaintiff has a duty to exercise ordinary care in using the product; breach of this duty creates his \u201cfault.\u201d Defendant maintains that these two types of \u201cfault\u201d should not be compared against each other in determining liability. Rather, they should be compared in terms of the causative role each played in producing the total damages sustained. Defendant postulates that once plaintiff has established his prima facie case and after defendant is found strictly liable, then plaintiff\u2019s recovery should be reduced by that amount which his fault contributed to the damages.\nThe court in Murray v. Fairbanks Morse (3d Cir. 1979), 610 F.2d 149, came to a similar result. The court there said the key conceptual distinction between strict products liability and negligence is that in strict liability the plaintiff need not prove faulty conduct on the part of the defendant in order to recover. The focus is on the condition of the product. In applying comparative negligence to strict products liability, the court stated a direct comparison of the defective product with the plaintiffs negligence is both conceptually and pragmatically inappropriate. \u201c[T]he only conceptual basis for comparison is the causative contribution of each to the particular loss or injury. In apportioning damages we are really asking how much of the injury was caused by the defect in the product versus how much was caused by the plaintiff\u2019s own actions.\u201d 610 F.2d 149, 159. See also Butaud v. Suburban Marine & Sporting Goods, Inc. (Alaska 1976), 555 P.2d 42, 47 (Rabinowitz, J., concurring); Busch v. Busch Construction, Inc. (Minn. 1977), 262 N.W.2d 377; Thibault v. Sears, Roebuck & Co. (1978), 118 N.H. 802, 395 A.2d 843.\nIn Skinner v. Reed-Prentice Division Package Machinery Co. (1977), 70 Ill. 2d 1, cert. denied (1978), 436 U.S. 946, 56 L. Ed. 2d 787, 98 S. Ct. 2849, this court resolved the issue of contribution between concurrent tortfeasors under the principles of comparative negligence. There it was said that \u201cgoverning equitable principles require that ultimate liability for plaintiff\u2019s injuries be apportioned on the basis of the relative degree to which the defective product and the employer\u2019s conduct proximately caused them.\u201d 70 Ill. 2d 1, 14.\nSimilarly, we believe that equitable principles require that the total damages for plaintiff\u2019s injuries be apportioned on the basis of the relative degree to which the defective product and plaintiff\u2019s conduct proximately caused them. Accordingly, we hold that the defense of comparative fault is applicable to strict liability cases.\nAmicus curiae argues that, if comparative fault is to be applied in strict products liability cases, we should not reduce a plaintiff\u2019s award if he merely fails to \u201cinspect,\u201d \u201cdiscover,\u201d or \u201cguard against\u201d a defective product. Butaud v. Suburban Marine & Sporting Goods, Inc. (Alaska 1976), 555 P.2d 42, 46; Busch v. Busch Construction, Inc. (Minn. 1977), 262 N.W.2d 377, 394; Thibault v. Sears, Roebuck & Co. (1978), 118 N.H. 802, 395 A.2d 843; Suter v. San Angelo Foundry & Machine Co. (1979), 81 N.J. 150, 406 A.2d 140.\nFollowing the Restatement, this court, in Williams v. Brown Manufacturing Co. (1970), 45 Ill. 2d 418, adopted misuse and assumption of the risk as complete defenses to a strict products liability action. But, at the same time, it was said there that \u201c[c]ontributory negligence of the plaintiff is not a defense when such negligence consists merely in a failure to discover the defect in the product, or to guard against the possibility of its existence.\u201d (45 Ill. 2d 418, 423.) We adhere to this statement. We believe that a consumer\u2019s unobservant, inattentive, ignorant, or awkward failure to discover or guard against a defect should not be compared as a damage-reducing factor. As the court in West v. Caterpillar Tractor Co. (Fla. 1976), 336 So. 2d 80, 92, said: \u201cThe consumer or user is entitled to believe that the product will do the job for which it was built.\u201d\nHowever, the defenses of misuse and assumption of the risk will no longer bar recovery. Instead, such misconduct will be compared in the apportionment of damages. Specifically, we hold: Once defendant\u2019s liability is established, and where both the defective product and plaintiff\u2019s misconduct contribute to cause the damages, the comparative fault principle will operate to reduce plaintiff\u2019s recovery by that amount which the trier of fact finds him at fault.\nThus, the defendant remains strictly hable for the harm caused by its defective product, except for that part caused by the consumer\u2019s own misconduct.\nn\nJOINT AND SEVERAL LIABILITY\nThe common law doctrine of joint and several liability holds joint tortfeasors responsible for the plaintiff\u2019s entire injury, allowing plaintiff to pursue all, some, or one of the tortfeasors responsible for his injury for the full amount of the damages. Paul Harris Furniture Co. v. Morse (1956), 10 Ill. 2d 28, 43; Nordhaus v. Vandalia R.R. Co. (1909), 242 Ill. 166, 174; Wabash, St. Louis & Pacific Ry. Co. v. Shacklet (1883), 105 Ill. 364, 381.\nDefendant asserts joint and several liability is a corollary of the contributory negligence doctrine. Prior to Alvis, a plaintiff who was guilty of even slight contributory negligence was barred from recovery. Defendant maintains that joint and several liability balanced this inequity by permitting a faultless plaintiff to collect his entire judgment from any defendant who was guilty of even slight negligence. With the adoption of comparative negligence where dam,ages are apportioned according to each party\u2019s fault, defendant argues it is no longer rational to hold a defendant liable beyond his share of the total damages. Defendant relies primarily on a line of cases where joint and several liability was abolished or limited in the course of construing a statutory scheme of liability. Brown v. Keill (1978), 224 Kan. 195, 580 P.2d 867; Laubach v. Morgan (Okla. 1978), 588 P.2d 1071; Howard v. Stafford (1974), 132 Vt. 434, 321 A.2d 74; and Bartlett v. New Mexico Welding Supply, Inc. (1982), 98 N.M. 152, 646 P.2d 579.\nThe vast majority of jurisdictions, however, which have adopted comparative negligence have retained joint and several liability as a part of their comparative negligence doctrine:\nAlaska Arctic Structures, Inc. v. Wedmore (Alaska 1979), 605 P.2d 426.\nArkansas Ark. Stat. Ann. secs. 34\u20141001 to 34\u20141009 (1981).\nCalifornia American Motorcycle Association v. Superior Court (1978), 20 Cal. 3d 578, 578 P.2d 899, 146 Cal. Rptr. 182.\nColorado Colo. Rev. Stat. sec. 13\u201450.5\u2014103 (1977).\nConnecticut Conn. Gen. Stat. Ann. sec. 52\u2014572o (Supp. 1982).\nFlorida Lincenberg v. Issen (Fla. 1975), 318 So. 2d 386.\nGeorgia Gazaway v. Nicholson (1940), 190 Ga. 345, 9 S.E.2d 154.\nIdaho Tucker v. Union Oil Co. (1979), 100 Idaho 590, 603 P.2d 156.\nMaine Me. Rev. Stat. tit. 14, sec. 156 (1965).\nMichigan Conkright v. Ballantyne of Omaha, Inc. (W.D. Mich. 1980), 496 F. Supp. 147.\nMinnesota Maday v. Yellow Taxi Co. (Minn. 1981), 311 N.W.2d 849.\nNebraska Royal Indemnity Co. v. Aetna Casualty & Surety Co. (1975), 193 Neb. 752, 229 N.W.2d 183.\nNew Jersey N.J. Stat. Ann. sec. 2A: 15\u20145.1 (Supp. 1982).\nNew York Kelly v. Long Island Lighting Co. (1972), 31 N.Y.2d 25, 286 N.E.2d 241.\nNorth Dakota N.D. Cent. Code sec. 9\u201410\u201407 (1973).\nWashington Wash. Rev. Code Ann. sec. 4.22.030 (Supp. 1982).\nWisconsin Wisconsin Natural Gas Co. v. Ford, Bacon & Davis Construction Corp. (1980), 96 Wis. 2d 314, 291 N.W.2d 825.\nGenerally, four reasons have been advanced for retaining joint and several liability:\n(1) The feasibility of apportioning fault on a comparative basis does not render an indivisible injury \u201cdivisible\u201d for purposes of the joint and several liability rule. A concurrent tortfeasor is liable for the whole of an indivisible injury when his negligence is a proximate cause of that damage. In many instances, the negligence of a concurrent tortfeasor may be sufficient by itself to cause the entire loss. The mere fact that it may be possible to assign some percentage figure to the relative culpability of one negligent defendant as compared to another does not in any way suggest that each defendant\u2019s negligence is not a proximate cause of the entire indivisible injury.\n(2) In those instances where the plaintiff is not guilty of negligence, he would be forced to bear a portion of the loss should one of the tortfeasors prove financially unable to satisfy his share of the damages.\n(3) Even in cases where a plaintiff is partially at fault, his culpability is not equivalent to that of a defendant. The plaintiff\u2019s negligence relates only to a lack of due care for his own safety while the defendant\u2019s negligence relates to a lack of due care for the safety of others; the latter is tortious, but the former is not.\n(4) Elimination of joint and several liability would work a serious and unwarranted deleterious effect on the ability of an injured plaintiff to obtain adequate compensation for his injuries. American Motorcycle Association v. Superior Court (1978), 20 Cal. 3d 578, 578 P.2d 899, 146 Cal. Rptr. 182. See Arctic Structures, Inc. v. Wedmore (Alaska 1979), 605 P.2d 426; Tucker v. Union Oil Co. (1979), 100 Idaho 590, 603 P.2d 156; Seattle First National Bank v. Shoreline Concrete Co. (1978), 91 Wash. 2d 230, 588 P.2d 1308. See also Wisconsin Natural Gas Co. v. Ford, Bacon & Davis Construction Corp. (1980), 96 Wis. 2d 314, 291 N.W.2d 825.\nIn adopting comparative negligence, this court eliminated the total bar to recovery which a plaintiff had faced under contributory negligence. In return for allowing a negligent plaintiff to recover, this court said fairness requires that a plaintiff\u2019s damages be \u201creduced by the percentage of fault attributable to him.\u201d (Emphasis added.) (Alvis v. Ribar (1981), 85 Ill. 2d 1, 25.) Were we to eliminate joint and several liability as the defendant advocates, the burden of the insolvent or immune defendant would fall on the plaintiff; in that circumstance, plaintiff\u2019s damages would be reduced beyond the percentage of fault attributable to him. We do not believe the doctrine of comparative negligence requires this further reduction. Nor do we believe this burden is the price plaintiffs must pay for being relieved of the contributory negligence bar. The quid pro quo is the reduction of plaintiff\u2019s damages. What was said in American Motorcycle Association v. Superior Court (1978), 20 Cal. 3d 578, 590, 578 P.2d 899, 906, 146 Cal. Rptr. 182, 189, is applicable here: \u201c[F]aimess dictates that the \u2018wronged party should not be deprived of his right to redress,\u2019 *** \u2018[t]he wrongdoers should be left to work out between themselves any apportionment.\u2019 \u201d\nFurther support for retaining joint and several liability is found in \u201cAn Act in relation to contribution among joint tortfeasors\u201d (Act) (Ill. Rev. Stat. 1979, ch. 70, par. 301 et seq.). Although the instant case accrued prior to its effective date, the Act expresses the intent of our legislature concerning joint and several liability:\n\u201cSec. 4. Rights of Plaintiff Unaffected. A plaintiff\u2019s right to recover the' full amount of his judgment from any one or more defendants subject to liability in tort for the same injury to person or property, or for wrongful death, is not affected by the provisions of this Act.\u201d Ill. Rev. Stat. 1979, ch. 70, par. 304.\nMoreover, under the Act, it is the defendant or defendants who must bear the burden of the insolvent or immune defendant:\n\u201cSec. 3. Amount of Contribution. The pro rata share of each tortfeasor shall be determined in accordance with his relative culpability. However, no person shall be required to contribute to one seeking contribution an amount greater than his pro rata share unless the obligation of one or more of the joint tortfeasors is uncollectible. In that event, the remaining tortfeasors shall share the unpaid portions of the uncollectible obligation in accordance with their pro rata liability.\nIf equity requires, the collective liability of some as a group shall constitute a single share.\u201d 111. Rev. Stat. 1979, ch. 70, par. 303.\nDefendant concedes that where the plaintiff is free from fault each defendant should still be held jointly and severally liable. It also admits in its reply brief that the Act leaves unaffected the common law doctrine of joint and several liability. Defendant points out, however, that it was subsequent to the enactment of the Act that this court adopted comparative negligence. Now, under Alvis, damages are allocated according to fault. As such, defendant argues, Alvis mandates that a tortfeasor should be liable only to the extent that his negligent acts or omissions produced the damages.\nWe find nothing in Alvis which mandates either a shift in who shall bear the risk of the insolvent defendant or the elimination of joint and several liability. Defendant has not cited nor have we found persuasive judicial authority for the proposition that comparative negligence compels the abolition of joint and several liability. On the contrary, most jurisdictions which have adopted comparative negligence have retained the doctrine. Therefore, we hold that our adoption of comparative negligence in Alvis does not change the long-standing doctrine of joint and several liability.\nill\nEQUAL PROTECTION\nInitially, defendant notes that contribution in strict liability actions may be sought from joint tortfeasors only for causes of action arising out of occurrences on or after March 1, 1978 (Ill. Rev. Stat. 1979, ch. 70, par. 301; Skin ner v. Reed-Prentice Division Package Machinery Co. (1977), 70 Ill. 2d 1, 16-17). Here the accident occurred on January 24, 1978. As a result, defendant argues, it runs the risk of bearing not only its proportionate share of plaintiff\u2019s damages, but also the damages attributed to the fault of insolvent, immune, or unjoined tortfeasors. Defendant contends that judicial application of joint and several liability under these circumstances is an arbitrary and invidious discrimination against a class of tortfeasors in violation of the Federal and Illinois constitutional guarantees of equal protection of the laws (U.S. Const., amend. XIV, sec. 1; Ill. Const. 1970, art. I, sec. 2.) Defendant cites no case upholding its position.\nBasically, defendant\u2019s argument is directed toward the prospective application of Skinner, wherein the court set forth a new rule of law in strict liability cases. Since the rule was not applied retroactively, so as to include the instant case, defendant reasons it was denied equal protection under the law. Based upon this premise, it argues joint and several liability should be abrogated in cases where comparative fault principles control. We find defendant\u2019s argument to be without merit.\nProspective application of a new doctrine or rule of law does not violate the equal protection of laws under either the Federal or Illinois constitution. (See Great Northern Ry. Co. v. Sunburst Oil & Refining Co. (1932), 287 U.S. 358, 364, 77 L. Ed. 360, 366, 53 S. Ct. 145, 148.) Moreover, Skinner\u2019s prospective rule was adopted to provide a more equitable apportionment of a plaintiff\u2019s losses among concurrent tortfeasors. In our opinion, the operation of this rule is neither arbitrary nor an invidious discrimination.\nFurther, we question defendant\u2019s standing to raise its constitutional objections in the instant case, where it seeks to apply the holding in Skinner. There, the court had before it a third-party complaint by the manufacturer against the employer setting forth a cause of action for contribution. Here, however, defendant has not filed a third-party complaint. Instead, by way of defense, it attempts to classify the employer as a joint tortfeasor and have the employer\u2019s negligence compared even though it was not joined as a party. In this manner, defendant attempts to circumvent the prospective rule established in Skinner which was codified in \u201cAn Act in relation to contribution among joint tortfeasors.\u201d This it cannot do. See Buehler v. Whalen (1977), 70 Ill. 2d 51, 63-64.\nThe doctrine of joint and several liability like contribution, operates only where two or more persons are subject to liability in tort arising out of the same injury to a plaintiff. (See Ill. Rev. Stat. 1979, ch. 70, par. 302; Paul Harris Furniture Co. v. Morse (1956), 10 Ill. 2d 28, 43.) Such is not the case here, and the doctrine of joint and several liability has no application.\nTherefore, in response to the questions posed, we conclude that (1) comparative fault is applicable to strict products liability actions; (2) comparative fault does not eliminate joint and several liability; and (3) retention of joint and several liability does not deny defendants equal protection of the laws.\nThe order of the circuit court striking the affirmative defenses is affirmed, and the cause is remanded to the circuit court of Peoria County with directions to allow defendant to amend his first defense so as to be consistent with the views expressed herein.\nAffirmed and remanded, with directions.",
        "type": "majority",
        "author": "JUSTICE MORAN"
      }
    ],
    "attorneys": [
      "Cassidy & Mueller, of Peoria (David B. Mueller and David E Buysse, of counsel), for appellant.",
      "Richard L. Steagall and John P. Nicoara, of Peoria, for appellee.",
      "Kiesler & Berman, of Chicago (Robert L. Kiesler and Lyle F. Koester, of counsel), for amicus curi\u00f3te Chicago Park District.",
      "Abramson & Pox, of Chicago (John E. Guy, of counsel), for amicus curiae Illinois Defense Counsel.",
      "John Bernard Cashion, George M. Elsener, and William J. Harte, Ltd., all of Chicago, for amicus curiae Illinois Trial Lawyers Association.",
      "Phelan, Pope & John, Ltd., of Chicago (Michael A. Pope, Peter C. John, Mary Patricia Benz, and Suzanne M. Metzel, of counsel), for amicus curiae Commonwealth Edison Company.",
      "Baker & McKenzie, of Chicago (Francis D. Morrissey, Thomas F. Tobin, John T. Coleman, and J. Kent Mathewson, of counsel), for amicus curia\u00a1e Motor Vehicle Manufacturers Association of the United States, Inc."
    ],
    "corrections": "",
    "head_matter": "(No. 56306.\nJACK A. CONEY, Adm\u2019r, Appellee, v. J. L. G. INDUSTRIES, INC., Appellant.\nOpinion filed May 18, 1983.\nModified on denial of rehearing September 30, 1983.\nCassidy & Mueller, of Peoria (David B. Mueller and David E Buysse, of counsel), for appellant.\nRichard L. Steagall and John P. Nicoara, of Peoria, for appellee.\nKiesler & Berman, of Chicago (Robert L. Kiesler and Lyle F. Koester, of counsel), for amicus curi\u00f3te Chicago Park District.\nAbramson & Pox, of Chicago (John E. Guy, of counsel), for amicus curiae Illinois Defense Counsel.\nJohn Bernard Cashion, George M. Elsener, and William J. Harte, Ltd., all of Chicago, for amicus curiae Illinois Trial Lawyers Association.\nPhelan, Pope & John, Ltd., of Chicago (Michael A. Pope, Peter C. John, Mary Patricia Benz, and Suzanne M. Metzel, of counsel), for amicus curiae Commonwealth Edison Company.\nBaker & McKenzie, of Chicago (Francis D. Morrissey, Thomas F. Tobin, John T. Coleman, and J. Kent Mathewson, of counsel), for amicus curia\u00a1e Motor Vehicle Manufacturers Association of the United States, Inc."
  },
  "file_name": "0104-01",
  "first_page_order": 116,
  "last_page_order": 138
}
