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    "parties": [
      "JAMES O\u2019DONNELL, Special Adm\u2019r of the Estate of Kevin T. O\u2019Donnell, Deceased, Plaintiff-Appellant, v. ELECTRO-MOTIVE DIVISION OF THE GENERAL MOTORS CORPORATION, Defendant-Appellee."
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        "text": "PRESIDING JUSTICE LINN\ndelivered the opinion of the court:\nPlaintiff, James O\u2019Donnell, special administrator of the estate of Kevin T. O\u2019Donnell, brings this appeal seeking reversal of a trial court order dismissing with prejudice plaintiff\u2019s two-count second amended complaint at law. Plaintiff\u2019s second amended complaint alleges that the Electro-Motive Division of the General Motors Corporation (GM) negligently and recklessly failed to light or otherwise maintain its parking lot, resulting in the death of plaintiff\u2019s decedent, Kevin T. O\u2019Donnell. Specifically, count I of the second amended complaint sounds in ordinary negligence and count II claims GM\u2019s wilful and wanton misconduct.\nThe trial court dismissed both counts after ruling, as a matter of law, that: (1) GM did not owe plaintiff\u2019s decedent, a licensee, a duty of ordinary care on the date he sustained the injuries allegedly causing his death; and (2) the factual allegations of wilful and wanton misconduct in O\u2019Donnell\u2019s second amended complaint failed to state a cause of action.\nOn appeal, O\u2019Donnell claims that the trial court erred in that (1) the Premises Liability Act (Ill. Rev. Stat., 1984 Supp., ch. 80, par. 301 et seq.) should be enforced retroactively so as to permit his recovery on proof of GM\u2019s simple negligence; and (2) he has pleaded factual allegations sufficient to state a cause of action for wilful and wanton misconduct.\nWe affirm in toto the decision of the trial court dismissing plaintiff\u2019s second amended complaint at law.\nBackground\nThis matter comes before us following the trial court\u2019s order granting GM\u2019s motion to strike and dismiss brought pursuant to section 2 \u2014 615 of the Code of Civil Procedure (Ill. Rev. Stat. 1983, ch. 110, par. 2 \u2014 615). Accordingly, we are required to accept as true all well-pleaded factual allegations in O\u2019Donnell\u2019s second amended complaint, and must draw all reasonable inferences in his favor. Cook v. Askew (1975), 34 Ill. App. 3d 1055, 341 N.E.2d 13.\nThe factual allegations of O\u2019Donnell\u2019s second amended complaint state as follows. On July 4, 1983, Kevin O\u2019Donnell died as a result of personal injuries he sustained on July 3, 1983, in an incident in a parking lot owned by GM. The parking lot is located adjacent to GM\u2019s Elec-tro-Motive Division plant in McCook. In the lot there are a series of concrete posts running from north to south and east to west, with some of the posts connected by steel cables which run through them. The posts and cables are used to designate parking areas, control the flow of traffic, and divide the large lot into two smaller lots (north lot and south lot). O\u2019Donnell alleges that the cables running through and between the concrete posts were painted yellow, but that the paint had faded so that on the night of July 3, 1983, only the concrete posts were visible.\nThe parking lot in question was designated by GM for use by its employees during working hours. However, on the night of July 3, 1983, the plant was not in operation and GM gave permission to the Certified Grocers Association (Certified) to operate a park-and-shuttle operation out of the lot for a nearby special event. Certified retained Guards Mark Service to secure the lot and oversee the shuttle operation. Guards Mark Service, in turn, assigned its employee, Richard Plecki, to this duty.\nPlaintiff\u2019s decedent, Kevin O\u2019Donnell, was also an employee of Guards Mark Service. On the night of July 3, 1983, Kevin drove his motorcycle to the GM lot where he visited Plecki. While on the premises, Kevin drove his motorcycle across the lot in a southerly direction, coming into contact with one of the traffic-lane cables strung through the concrete posts located in the parking lot. The night was dark, and Kevin allegedly could not see the traffic-lane cable until he was in such close proximity to it that it could not be avoided. Consequently, Kevin sustained severe personal injuries, dying the next day, on July 4,1983.\nA wrongful-death action was subsequently filed against GM by James O\u2019Donnell, special administrator of Kevin\u2019s estate. O\u2019Donnell\u2019s second amended complaint at law, filed on November 16, 1984, alleged two counts against GM. Count I alleged liability for ordinary negligence under the Premises Liability Act (Ill. Rev. Stat., 1984 Supp., ch. 80, par. 301 et seq.), and count II claimed wilful and wanton misconduct. On June 7, 1985, the trial court entered an order dismissing O\u2019Donnell\u2019s second amended complaint on the grounds that: (1) GM did not owe Kevin, a licensee, a duty of ordinary care on July 3, 1983, because the Premises Liability Act is not retroactive in its application; and (2) the factual allegations in O\u2019Donnell\u2019s second amended complaint failed to state a cause of action for wilful and wanton misconduct. O\u2019Donnell appeals from the trial court\u2019s order dismissing his second amended complaint.\nOpinion\nI\nCount I of O\u2019Donnell\u2019s second amended complaint alleges that, on July 3, 1983, GM had a duty to warn plaintiff\u2019s decedent of the existence of the cable running through and between the posts in the parking lots in question. According to O\u2019Donnell, the yellow paint on these cables had peeled and faded such that the cables were invisible in the nighttime, creating a dangerous condition on the premises. Count I alleges that GM\u2019s failure to make the premises safe or warn plaintiff\u2019s decedent of this dangerous latent condition was a breach of this duty, proximately causing Kevin O\u2019Donnell\u2019s death. GM, on the contrary, contends that it owed no such duty to plaintiff\u2019s decedent because he was a licensee and therefore O\u2019Donnell has failed to state a cause of action for negligence.\nUnder Illinois common law, the duty a property owner owes to a person who enters his premises depends upon whether the entrant is an invitee, licensee, or a trespasser. (Pashinian v. Haritonoff (1980), 81 Ill. 2d 377, 410 N.E.2d 21.) An invitee is defined in the common law as one who enters upon the premises with the owner\u2019s implied or express consent, for the mutual benefit of himself and the owner, or a purpose connected with the business in which the owner is engaged or permits to be carried on upon the premises. (Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 710, 474 N.E.2d 920, 922.) A licensee, in turn, is defined as one who enters upon the premises of another with the owner\u2019s express or implied consent \u201cto satisfy his own purposes rather than for the mutual benefit of himself and the owner or a purpose connected with the business in which the owner is engaged or permits to be carried on upon the premises.\u201d (Emphasis added.) (Trout v. Bank of Belleville (1976), 36 Ill. App. 3d 83, 87, 343 N.E.2d 261, 264.) Finally, a trespasser is one who enters upon the premises of another with neither permission nor invitation. 36 Ill. App. 3d 83, 87, 343 N.E.2d 261, 264-65.\nUnder this so-called \u201cpremises doctrine,\u201d the highest duty imposed by law is to the invitee, to whom the owner owes a duty to maintain his premises in a reasonably safe condition and to warn of dangerous latent conditions. (Corcoran v. Village of Libertyville (1978), 73 Ill. 2d 316, 329, 383 N.E.2d 177, 181.) On the other hand, the landowner must only refrain from wilfully and wantonly injuring a licensee or trespasser. Pashinian v. Haritonoff (1980), 81 Ill. 2d 377, 379, 410 N.E.2d 21.\nThe \u201cpremises doctrine,\u201d however, has been abolished in lili-nois, effective September 12, 1984, upon enactment of the Premises Liability Act (Ill. Rev. Stat., 1984 Supp., ch. 80, par. 301 et seq.). Under this statute, there is no longer a distinction between the invitee and the licensee, such that the landowner owed to all persons entering his premises with his express or implied consent the duty of reasonable care regardless of the purpose of the visit; to wit: the duty to maintain the premises in a reasonably safe condition and to warn of dangerous latent conditions. (See Zimring v. Wendrow (1985), 137 Ill. App. 3d 847, 485 N.E.2d 478; Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 474 N.E.2d 920.) The duty owed to the trespasser, including the trespassing child entrant upon the premises, has not been changed by the Act. Ill. Rev. Stat., 1984 Supp., ch. 80, par. 303.\nAs a preliminary matter, we note that it is undisputed in this case that on July 3, 1983, Kevin O\u2019Donnell entered upon GM\u2019s premises as a licensee. This is significant because, as noted above, the duty owed by a landowner to a licensee under the Premises Liability Act is different than that under the common law premises doctrine. Under the former, the landowner owes the licensee the higher duty of reasonable care owed only to the invitee at common law. Under the latter, the landowner is only charged with the duty to refrain from wilfully or wantonly injuring the licensee. See Trout v. Bank of Belleville (1976), 36 Ill. App. 3d 83, 86, 343 N.E.2d 261, 264.\nIn the instant case, the trial court dismissed count I of O\u2019Donnell\u2019s second amended complaint on the ground that GM did not owe plaintiff\u2019s decedent, a licensee, a duty of ordinary care on July 3, 1983. In so doing, the trial court held that the Premises Liability Act (Ill. Rev. Stat., 1984 Supp., ch. 80, par. 301 et seq.), which establishes such a duty (see Zimring v. Wendrow (1985), 137 Ill. App. 3d 847, 485 N.E.2d 478; St. Phillips v. O\u2019Donnell (1985), 137 Ill. App. 3d 639, 484 N.E.2d 1209; Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 474 N.E.2d 920), should not be applied retroactively. We agree with the position taken by the trial court in this case.\nPrior to this case, two Illinois courts have noted in dieta that the Premises Liability Act is not to be retroactively applied. In both Zimring v. Wendrow (1985), 137 Ill. App. 3d 847, 485 N.E.2d 478, and Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 474 N.E.2d 920, the Second and Third District Appellate Courts, respectively, stated that the Premises Liability Act did not apply to injuries occurring prior to September 12,1984, the effective date of the Act.\nIn Zimring, the Second District Appellate Court dismissed plaintiff-licensee\u2019s action alleging negligence against landowners when he was physically abused by other social guests on the premises. The court found that defendant had no duty to protect a social guest from criminal acts of third parties committed on his property. Discussing the premises doctrine, the Zimring court noted that the September 12, 1984, effective date of the Premises Liability Act would not apply to an occurrence on August 8, 1982. (Zimring v. Wendrow (1985), 187 Ill. App. 3d 847, 851, 485 N.E.2d 478, 481.) Similarly, in Grimwood, plaintiff was injured when he fell down from his motorcycle on defendant\u2019s pothole-filled driveway. Determining as a matter of law that Grimwood was a licensee at the time of his injury, the court dismissed Grimwood\u2019s complaint alleging negligence, refusing to give the Premises Liability Act retroactive application. Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 711, 474 N.E.2d 920, 922.\nThe Grimwood court quoted with approval our supreme court\u2019s pronouncement in In re Estate of Krotzsck (1975), 60 Ill. 2d 342, 345, 326 N.E.2d 758, 760, that \u201c \u2018[legislative enactments are, in the absence of express language which provides otherwise, construed as prospective and not retrospective.\u2019 \u201d (Grimwood v. Tabor Grain Co. (1985), 130 Ill. App. 3d 708, 711, 474 N.E.2d 920, 922.) This is in keeping with the policy in this State that retroactive legislation is not favored in the law (34 Ill. L. & Prac. Statutes sec. 193 (1958). Like the Grimwood court, we also note that our legislature made no provision for retroactive application of the Premises Liability Act. Accordingly, there is no reason, based on the face of the Act or this State\u2019s police against retroactive legislation, to apply the Premises Liability Act to the instant case.\nO\u2019Donnell posits another reason for us to apply the Premises Liability Act to this case, to wit: that the Act itself is procedural in nature and therefore may be retroactively applied. It is true that Illinois courts have held that a statute may be retroactively applied, even without a clear expression of legislative intent, if the statute affects only matters of procedure, remedies, and rules of evidence which are at all times subject to modification by the legislature. (See Hogan v. Bleeker (1963), 29 Ill. 2d 181, 184-85, 193 N.E.2d 844, 847.) However, as we discussed above, the Premises Liability Act modifies the common law by establishing the duty owed to one class of individuals (entrants upon a premises) by another class of individuals (owners and occupiers of land).\nIn our view, the change is substantive since the Premises Liability Act alters both the duties and obligations owed by the landowner to the entrant upon the premises, as well as the rights of the entrant who is now entitled to reasonable care regardless of whether under the common law he would have been considered an invitee or licensee. Thus, the Act effectively creates a cause of action in a class of individuals (licensees) previously not entitled to the higher standard of reasonable care under the common law. O\u2019Donnell contends that this change is one of procedure because it alters pleading requirements, evidence to be adduced at trial, and jury instructions. O\u2019Donnell\u2019s argument is flawed since the changes he lists are merely methods of enforcing the substantive rights of the parties which have been altered by enactment of the Premises Liability Act. As such, it is presumed that the legislature intended the Premises Liability Act to be applied prospectively, and not retroactively. See 1A A. Sutherland, Statutory Construction sec. 22.36 (4th ed. 1972).\nII\nWe now turn to O\u2019Donnell\u2019s count II, which the trial court dismissed for failure to plead the factual allegations necessary to state a cause of action for wilful and wanton misconduct. O\u2019Donnell claims that GM\u2019s alleged use of concrete posts strung with steel cable to control the flow of traffic in its parking lot, absent specific warnings or additional illumination of the cable at night, was wilful and wanton misconduct. GM, on the other hand, contends that the trial court properly dismissed count II of O\u2019Donnell\u2019s second amended complaint since a landowner\u2019s failure to warn a licensee of a condition on the premises concealed only by darkness does not constitute wilful and wanton misconduct.\nIt is basic that in order to state a cause of action for wilful and wanton misconduct against a landowner, a plaintiff must allege facts sufficient to raise a duty to act, and plaintiff\u2019s mere characterization of certain acts and omissions by the landowner as wilful and wanton misconduct is insufficient to withstand a motion to dismiss. (See Gregor v. Kleiser (1982), 111 Ill. App. 3d 333, 443 N.E.2d 1162.) In the instant case, count II of O\u2019Donnell\u2019s second amended complaint alleges that one or more of the following acts or omissions by GM constituted wilful and wanton misconduct:\n\u201c(a) It (GM) failed to warn the public of the existence of the cable;\n(b) It failed to have the parking lot properly lit so that the cable was visible in the nighttime;\n(c) It failed to place any flags, ribbons or other warning device on the cable;\n(d) It allowed the yellow paint to fade and peel from the cable;\n(e) It failed to repaint the cable so that it would have been visible in the nighttime; and\n(f) It failed to remove the cable knowing of its dangerous propensity to cause injury or death.\u201d\nO\u2019Donnell further charges that the above conduct created a dangerous condition on GM\u2019s premises, proximately causing the incident resulting in plaintiff\u2019s decedent\u2019s death. We agree with the position taken by the trial court and GM that proof of the acts alleged above will not support a finding of wilful and wanton misconduct.\nWilful and wanton misconduct is defined as \u201ca course of action which shows either deliberate intention to harm or utter indifference to, or conscious disregard for, the safety of others. [Citations.]\u201d (Kapka v. Urbaszewski (1964), 47 Ill. App. 2d 321, 324, 198 N.E.2d 569, 571.) Accordingly, our courts have repeatedly held that it is not wilful and wanton misconduct for a landowner to fail to warn a licensee of a dangerous condition concealed only by darkness since such a danger is not considered hidden. See Mazzeffi v. Schwanke (1977), 52 Ill. App. 3d 1032, 368 N.E.2d 441 (no duty to warn of an open hole behind defendant\u2019s service station 3 feet wide and 8 feet deep concealed only by darkness); Helfenbein v. Malzahn (1974), 24 Ill. App. 3d 616, 321 N.E.2d 394 (no duty to warn of a hole on defendant\u2019s driveway concealed only by darkness); Hessler v. Cole (1972), 7 Ill. App. 3d 902, 289 N.E.2d 204 (no duty to warn of a hole in floor boards of defendant\u2019s unlit fishing pier); Dent v. Great Atlantic & Pacific Tea Co. (1955), 4 Ill. App. 2d 500, 124 N.E.2d 360 (no duty to warn of defendant\u2019s sunken driveway hidden only by darkness).\nThe above principle was applied in Trout v. Bank of Belleville (1976), 36 Ill. App. 3d 83, 343 N.E.2d 261, a case very similar to the case before us and cited numerous times above. There, plaintiff\u2019s decedent suffered fatal injuries when, while driving his motorcycle at night through a parking lot, he struck a chain strung across the lot. The chain was dark in color and not illuminated by artificial light, much like the cable strung through the concrete parts in GM\u2019s parking lot in this case. There the appellate court affirmed a directed verdict entered by the trial court in favor of defendant bank. The court held that the presence of the chain across the parking lot, even without warnings and artificial lighting, did not as a matter of law establish wilful and wanton misconduct. 36 Ill. App. 3d 83, 343 N.E.2d 261.\nO\u2019Donnell attempts to distinguish Trout from this case on the basis that in Trout the bank had no knowledge that anyone used the parking lot at night, whereas here GM allowed the general public access to its facilities on the night in question. Close scrutiny of Trout, however, shows this distinction to be of no significance to this case. The Trout court made reference to the bank\u2019s lack of knowledge that anyone used the premises as a vehicle to distinguish Trout from cases where there is \u201ccontinuous use\u201d of a well-defined path or roadway through the tolerance of the landowner. In these cases, an affirmative act of the landowner making more dangerous the path or roadway will, unless the landowner gives sufficient warning to the public, constitute wilful and wanton misconduct. See Moore v. Ohio Oil Co. (1926), 241 Ill. App. 388 (plaintiff injured when automobile in which she was riding struck wire cable which had been stretched across a roadway upon which the public had been accustomed to travel at a point where cable was not readily visible); cf. Wrigley v. Electric & Machine Co. (7th Cir. 1969), 419 F.2d 972 (relying on Moore, the Seventh Circuit reinstated a verdict for wilful and wanton misconduct where, despite a small warning sign, plaintiff\u2019s decedent was killed when his motorcycle hit a cable stretched across roadway leading to an abandoned mine being salvaged by defendant where the road was frequently used by motorcyclists on weekends).\nIn the instant case, O\u2019Donnell has failed to plead facts alleging \u201ccontinuous use.\u201d In fact, it is easily ascertained from O\u2019Donnell\u2019s complaint that GM\u2019s premises were open to the public on July 3, 1983, under extraordinary circumstances. Notwithstanding any argument that count II alleges an affirmative undertaking (or omission) by GM which made the parking lots more dangerous, O\u2019Donnell\u2019s attempts to distinguish Trout from the case at bar based on GM\u2019s knowledge of the use of its premises on the night in question is doomed.\nO\u2019Donnell also unsuccessfully relies upon Bofman v. Material Service Corp. (1984), 125 Ill. App. 3d 1053, 466 N.E.2d 1064, Hazelwood v. Illinois Central Gulf R.R. (1983), 114 Ill. App. 3d 703, 450 N.E.2d 1199, and Davis v. United States (7th Cir. 1983), 716 F.2d 418, to support his contention that GM acted wilfully and wantonly toward Kevin O\u2019Donnell by failing to warn him of the existence of the parking-lot cable in this case. In Bofman, a landowner was held to have breached a similar duty to private boaters who were injured at night when the boat in which they were riding struck a partially submerged barge in defendant\u2019s sand and gravel pit. Defendant knew that boaters traversed his waters at night despite his alleged \u201cno trespassing\u201d warning and the existence of a pontoon gate to block access to the pit. However, it is significant to note two distinguishing characteristics in Bofman. First, the dangerous condition was partially hidden in the daytime and was therefore a concealed danger regardless of day or night. Second, prior to the incident in Bofinan, defendant failed to repair a light which previously served to warn boaters of the hidden hazard. In our view, defendant\u2019s failure to repair this light created increased danger similar to the \u201ccontinuous use\u201d cases (Moore and Wrigley) distinguished by the Trout court and likewise different from cases where a defect was hidden only by darkness like the case at bar. Thus, Bofman is also inapposite to the case at bar.\nLikewise, inapposite are Hazelwood and Davis. Hazelwood does not apply since there the finding that defendant\u2019s wilful and wanton conduct proximately caused a motorcyclist\u2019s injury at a railroad crossing was based on the railroad\u2019s failure to comply with standards proscribed by the Public Utilities Act (Ill. Rev. Stat. 1981, ch. lll2/3, par. 62), a factor for determining wilful and wanton conduct in a railroad-crossing case. (See Harvey v. Norfolk & Western Ry. Co. (1979), 73 Ill. App. 3d 74, 390 N.E.2d 1384.) In Davis, on the other hand a trespassing swimmer was injured when he came in contact with subsurface rocks in the landowner\u2019s lake. The Seventh Circuit there held, applying Illinois law, that posted \u201cno swimming\u201d and \u201cno diving\u201d signs were inadequate warnings of a concealed defect, finding the landowner guilty of wilful and wanton conduct. (Davis v. United States (7th Cir. 1983), 716 F.2d 418.) That case, however, is a concealed-defect case. We have already determined that a condition concealed only by darkness is not \u201chidden\u201d under Illinois law.\nFinally, we note that O\u2019Donnell makes reference to what he alleges \u201cthe evidence could certainly show\u201d in this case. On reviewing a motion to dismiss, we are required only to accept as true all well-pleaded factual allegations in O\u2019Donnell\u2019s second amended complaint and all reasonable inferences that can fairly be drawn from these facts. (See Cook v. Askew (1975), 34 Ill. App. 3d 1055, 341 N.E.2d 13.) This does not require us to draw unreasonable or unwarranted inferences in order to sustain O\u2019Donnell\u2019s complaint. (Carlson v. Moline Board of Education (1984), 124 Ill. App. 3d 967, 464 N.E.2d 1239.) Accordingly, in reviewing this case we have considered only the ultimate facts to be proved, and not the evidentiary facts tending to prove such ultimate facts. (See People ex rel. Fahner v. Carriage Way West, Inc. (1981), 88 Ill. 2d 300, 430 N.E.2d 1005.) Based on the above, we believe O\u2019Donnell\u2019s count II fails to plead any conduct by GM which shows either deliberate intention to harm, or utter indifference to or conscious disregard for the safety of, Kevin O\u2019Donnell.\nIn sum, we affirm the trial court\u2019s dismissal of O\u2019Donnell\u2019s complaint on the grounds that: (1) GM did not owe plaintiff\u2019s decedent, a licensee, a duty of ordinary care on the date he sustained the injuries allegedly causing his death (the Premises Liability Act does not apply retroactively); and (2) the factual allegations of wilful and wanton misconduct alleged in count II of O\u2019Donnell\u2019s second amended complaint fail to state a cause of action.\nAffirmed.\nJOHNSON and McMORROW, JJ., concur.",
        "type": "majority",
        "author": "PRESIDING JUSTICE LINN"
      }
    ],
    "attorneys": [
      "Charles R Winkler, Ltd., of North Riverside (John J. Gorey, of counsel), for appellant.",
      "Lord, Bissell & Brook of Chicago (Hugh C. Griffin and William J. Brennan, of counsel), for appellee."
    ],
    "corrections": "",
    "head_matter": "JAMES O\u2019DONNELL, Special Adm\u2019r of the Estate of Kevin T. O\u2019Donnell, Deceased, Plaintiff-Appellant, v. ELECTRO-MOTIVE DIVISION OF THE GENERAL MOTORS CORPORATION, Defendant-Appellee.\nFirst District (4th Division)\nNo. 85\u20142007\nOpinion filed October 9, 1986.\nCharles R Winkler, Ltd., of North Riverside (John J. Gorey, of counsel), for appellant.\nLord, Bissell & Brook of Chicago (Hugh C. Griffin and William J. Brennan, of counsel), for appellee."
  },
  "file_name": "0627-01",
  "first_page_order": 649,
  "last_page_order": 660
}
