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  "name": "RITA BEHR, Plaintiff-Appellant, v. CLUB MED, INC., et al., Defendants-Appellees",
  "name_abbreviation": "Behr v. Club Med, Inc.",
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      "RITA BEHR, Plaintiff-Appellant, v. CLUB MED, INC., et al., Defendants-Appellees."
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        "text": "PRESIDING JUSTICE FREEMAN\ndelivered the opinion of the court:\nOn July 23, 1982, plaintiff, Rita Behr, filed this action against the original defendant, Club Med, Inc. (CMI), a Delaware corporation, for personal injuries allegedly sustained at the Club Med resort in Cancun, Mexico, in January 1981. On October 3, 1984, plaintiff filed a fourth-amended complaint adding Club Mediterr\u00e1neo, S.A. (CMSA), a French corporation, as a party defendant. On November 26, 1986, the trial court granted CMI\u2019s motion for summary judgment. On September 15, 1987, the court granted CMSA\u2019s motion for summary judgment. Thereafter, the trial court granted CMI\u2019s motion to strike plaintiff\u2019s fifth-amended complaint and denied plaintiff leave to file a sixth-amended complaint. Plaintiff appealed separately from the adverse orders in CMSA\u2019s and CMI\u2019s favor. The appeals have been consolidated.\nPlaintiff\u2019s original complaint alleged that, pursuant to a contract with \u201cClub Med,\u201d plaintiff became a guest at its Canc\u00fan resort from January 5 to January 12, 1981. It further alleged that sometime during her stay she ingested what was later discovered to be a toothpick while eating food at \u201cClub Med\u201d and that the toothpick had lodged in her liver. On April 9, 1984, CMI moved for summary judgment on the ground that CMSA owned and operated the Canc\u00fan resort. Plaintiff\u2019s fourth-amended complaint alleged for the first time, and in the alternative, that in January 1981: (1) the Canc\u00fan resort was owned, operated and maintained either by CMI and, CMSA, by CMI or by CMSA. On September 15, 1987, the trial court granted CMSA leave to file the affirmative defense of the bar of the two-year statute of limitations applicable to personal injury actions (Ill. Rev. Stat. 1981, ch. 110, par. 13 \u2014 202) and granted its motion for summary judgment based on that defense.\nIn appealing the grant of summary judgment in CMSA\u2019s favor, plaintiff contends that the requirements of section 2 \u2014 616(d) of the Civil Practice Law (Ill. Rev. Stat. 1983, ch. 110, par. 2 \u2014 101 et seq.) were met in this case. Section 2 \u2014 616(d) allows relation back of a cause of action adding a new defendant to the date of filing of an original complaint to avoid a limitations bar where: (1) the original complaint was timely filed; (2) the failure to originally join the new defendant was inadvertent; (3) service of summons was in fact had upon the person, his agent or partner; (4) the new defendant knew that the action was pending and grew out of a transaction or occurrence involving or concerning him before the limitations period expired; and (5) the cause of action asserted in the amended complaint grew out of the same transaction or occurrence set up in the original complaint. (Ill. Rev. Stat. 1983, ch. 110, par. 2 \u2014 616(d).) At issue in this case are the second, third and fourth requirements of section 2\u2014 616(d).\nAsserting that she met the second requirement of section 2\u2014 616(d), plaintiff argues that, contrary to the trial court\u2019s conclusion, the failure to join CMSA until six months after CMI filed its summary judgment motion, alleging that CMSA owned and operated the Cancun resort, was excusable inadvertence, not inexcusable neglect. In support, she cites Bates v. Wagon Wheel Country Club, Inc. (1971), 132 Ill. App. 2d 161, 266 N.E.2d 343.\nIn Bates, the plaintiff filed a personal injury suit against the Wagon Wheel Lodge Hotel on April 24, 1968, approximately one month before the limitations period expired. On January 24, 1969, the attorney for the Wagon Wheel Country Club, Inc., and Wagon Wheel Enterprises, Inc., informed plaintiff\u2019s counsel that he had sued the wrong defendant. On May 8, 1969, the latter two entities filed a special and limited appearance. At the May 15, 1969, hearing thereon, it was established that no such entity as Wagon Wheel Lodge Hotel existed and that the real parties in interest included Wagon Wheel Country Club, Inc., and Wagon Wheel Enterprises, Inc. After the special and limited appearance was granted on September 25, 1969, plaintiff filed an amended complaint against the latter two entities in early October 1969.\nThe Bates court was called upon to determine whether the plaintiff\u2019s failure to join the proper defendants had been inadvertent. The defendants contended that plaintiff had acted unreasonably in failing to join them until approximately 8V2 months after being informed of his mistake in January 1969. In rejecting the argument, the court distinguished the Bates case from Fields v. 6125 Indiana Avenue Apartments, Inc. (1964), 47 Ill. App. 2d 55, 196 N.E.2d 485, in which the plaintiff had been informed of the true defendants eight months before the statute of limitations expired but failed to join them until its expiration. In contrast to Fields, the Bates court concluded that the plaintiff therein did not learn who the proper defendants were until May 15, 1969, by which time the statute had run by almost one year. The court found nothing unreasonable in the plaintiff\u2019s two-week delay in joining the defendants, which it measured from September 25, when their special and limited appearance was granted, to early October 1969.\nThus, for reasons which it did not elaborate, the Bates court apparently concluded that the phone call from the correct defendant\u2019s attorney to the plaintiff\u2019s attorney did not put the plaintiff on notice of their identity. Although the Bates court\u2019s finding of inadvertence essentially ignored that phone call, plaintiff argues that, measured against the 81/2-month delay in Bates, her delay of six months in joining CMSA, measured from the date of CMI\u2019s motion for summary judgment, was also not unreasonable.\nCMSA disagrees with plaintiff\u2019s calculation of the delays in both Bates and this case. It notes the Bates court\u2019s finding of only a two-week delay, not an eight-month delay, in joining the new defendants. Additionally, CMSA asserts that plaintiff was put on notice of its identity and existence for the first time on January 4, 1983, when CMI filed its motion to quash service for lack of jurisdiction. In support of that motion, CMI appended the affidavit of its president, Jacques Ganin. Therein, Ganin stated, inter alia:\n\u201c3. Club Med, Inc. is engaged in the business of wholesale and retail \\sic\\ in the United States, Canada and Puerto Rico of vacation packages, which include land accommodations at various Club Mediterranee resorts.\u201d\nCMSA further asserts that plaintiff was again notified of its existence on March 8, 1983, during the discovery deposition of Richard J. Garrick, the Midwest regional sales manager for CMI. We agree with CMSA, although not for the sole reason that it cites. During his deposition, Garrick was asked who owned \u201cthe Club Med vacation Villages.\u201d He answered, \u201cThey are run by Club Mediterranee, S.A. The actual owning process is individual to each country that they are in.\u201d He was next asked who owned the Canc\u00fan, Mexico, facility. CMSA quotes his answer thusly in its brief, \u201c T couldn\u2019t say who owns it, but Club Med [referring to Club Mediterranee, S.A.] runs it.\u2019 \u201d\nEven considering that just prior thereto Garrick stated that \u201cClub Mediterranee, S.A.\u201d ran the \u201cClub Med\u201d vacation villages, we cannot construe his statement that \u201cClub Med\u201d ran the Canc\u00fan, Mexico, facility as clearly and unambiguously \u201creferring\u201d to CMSA. That fact notwithstanding, we believe that Garrick\u2019s deposition testimony as a whole was sufficient, when read in context, to put plaintiff on notice that CMSA rather than CMI was the proper party defendant.\nAt Garrick\u2019s deposition, plaintiff\u2019s counsel asked the following questions and received the following answers:\n\u201cQ. And what is the primary function or mission *** of Club Med, Inc.?\nA. To promote Club Med sales in the United States.\nQ. Now, when you say \u2018Club Med sales,\u2019 are you referring to vacations in Club Med facilities around the world?\nA. That is how we are involved in is [sic] promoting Club Med sales to our Club Med vacation villages around the world.\nQ. And do you know who owns the Club Med vacation villages?\nA. They are run by Club Mediterranee, S.A., The actual owning process is individual to each country that they are in.\nQ. *** [T]he facility in Canc\u00fan, Mexico, who owns that?\nA. I couldn\u2019t say who owns it but Club Med runs it.\nQ. Who would know who owns it?\nA. The president of Club Med, Inc. ***.\nQ. Mr. Ganin?\nA. Yes.\nQ. So Mr. Ganin could explain the ownership of the clubs around the world?\nA. Sure.\nQ. What is the relationship between Club Med, Inc, and Club Mediterranee, S.A.?\nA. Club Mediterranee, S.A. is the parent company, Club Med, Inc. is the sales representative for Club Mediterranee, S.A. in the United States.\u201d\nAdditionally, Garrick later informed plaintiff\u2019s counsel that, to the best of his knowledge, \u201cClub Med, Inc.\u201d was \u201ccompletely owned by Club Mediterranee.\u201d\nWhen read in context, we believe that Garrick\u2019s answers to questions by plaintiff\u2019s counsel were more than sufficient to put her on notice of: (1) the fact that CMI was merely a promotional entity and wholly owned subsidiary of CMSA; (2) a likelihood that CMSA, not CMI, owned or operated the \u201cClub Med\u201d vacation villages, including the Canc\u00fan resort; and (3) the fact that CMI\u2019s president, Jacques Ganin, could definitely inform plaintiff as to the ownership of the Canc\u00fan resort.\nWe believe that this notice required plaintiff to conduct further timely investigation into the ownership and operation of the Canc\u00fan resort. However, plaintiff did not institute any written discovery in this case until February 10, 1986, almost three years after Garrick\u2019s deposition, when she propounded interrogatories to CMI seeking, inter alia, information regarding the ownership of the Canc\u00fan resort and CMI. Plaintiff\u2019s failure to institute discovery likely to reveal and lead to the joining of the proper parties defendant in the face of the facts of which she was apprised cannot be classified as inadvertence.\nWe find that plaintiff was apprised of the existence of CMSA and the likelihood that it was the proper party defendant in March 1983 rather than April 1984. As such, we do not find Bates apposite. Even if we agreed with plaintiff that there was an SVa-month delay in that case from the time the plaintiff learned of the correct defendants\u2019 identities to the time they were joined, the delay in this case from the time plaintiff should have learned of CMSA\u2019s existence to the time it joined CMSA was 17 months, twice the length of the delay in Bates.\nAs plaintiff notes, Illinois courts look less harshly upon a post-limitations period joinder of a defendant identified only after the expiration of the period than they do upon the same type of joinder of a defendant identified before a limitations period expires. (Bates v. Wagon Wheel Country Club, Inc. (1971), 132 Ill. App. 2d 161, 164, 266 N.E.2d 343; Shiner v. Friedman (1987), 161 Ill. App. 3d 73, 81, 513 N.E.2d 862.) However, we cannot agree that that relaxed standard works to excuse a plaintiff from acting with reasonable diligence once she learns sufficient facts to lead her to the identity of the proper defendant. In this regard, even if we disagreed with the trial court that six months was an unreasonable length of time for joining CMSA, we would still find 17 months to be unreasonable.\nIn Shiner, the plaintiff sued Myron & Phil\u2019s Northbrook Corporation for injuries sustained in a \u201cMyron and Phil\u2019s Restaurant\u201d on July 2, 1980. Myron Friedman was served with summons in December 1981. On January 20, 1986, the plaintiff deposed Myron and learned that he and his brother, Phil Friedman, owned the restaurant as partners. The plaintiff joined the Friedmans as partners one week later. The court found that plaintiff was first given notice of the proper defendant on October 12, 1982, when Myron had answered interrogatories. Although it found the plaintiff \u201cclearly negligent\u201d in failing to join the partners as defendants until approximately four years after she first learned of her mistake, the court affirmed the denial of a motion to dismiss the amended complaint.\nIn so doing, the court noted the Bates court\u2019s observations that \u201c \u2018[w]hen the defendant has notice from the beginning of the suit of the claim against it, the reason for statutes of limitations is not as important. *** It was never intended that such statutes would be the means by which a corporation could escape liability of a tort claim * * * by confusing its identity through a complex intermingling of its corporation names and structure with that of other similar corporations.\u2019 \u201d (Shiner, 161 Ill. App. 3d at 81-82, quoting Bates, 132 Ill. App. 3d at 167.) The court concluded that allowance of the amended complaint had not been an abuse of discretion. The court relied on the fact that, since the Friedmans had notice of the suit from the beginning, had completed discovery, and had a fair opportunity to investigate the circumstances of liability, they had not been prejudiced by the amendment. Shiner, 161 Ill. App. 3d at 81-82.\nThere are no facts present here similar to those which the Shiner court considered in allowing the relation back of the amended complaint. That is, there is no indication in the record that CMSA knew of plaintiff\u2019s action when it was originally filed. CMI, through its registered agent, not CMSA in any capacity, was served with summons. Moreover, as plaintiff propounded no discovery before the limitations period ran, CMSA could not have participated in, let alone completed, any discovery.\nAttempting to show an \u201cextensive interrelationship and close identity of interest\u201d between CMI and CMSA to support her assertion that she met the service and notice requirements of sections 2\u2014 616(d)(3) and (d)(4), plaintiff notes, inter alia, that: at least five times per year, representatives of CMI and CMSA meet to discuss business; (based on the fact that the president of CMI was formerly with CMSA) CMI and CMSA interchange personnel; CMI and CMSA have established a system for communicating customer complaints; CMI has the exclusive right to sell \u201cClub Med\u201d vacations at \u201cClub Med\u201d villages worldwide; and one law firm represented both CMSA and CMI below. She further notes that, at the time of her injury, CMSA owned 100% of CMI and that, presently, CMSA owns 72% of CMI by virtue of its 72% ownership of Club Med, a Cayman Islands company, which owns 100% of Club Med Holding, a Dutch Antilles company, which owns 100% of Club Med Finance, a Netherlands company, which owns 100% of CMI.\nThese facts are insufficient to positively reveal that CMSA learned of plaintiff\u2019s claim during the limitations period. We will not presume from these facts, as plaintiff seems to suggest that we should, that CMSA must have learned of her claim by January 1983. Contrary to plaintiff\u2019s assertion, we find nothing in the record showing that CMI\u2019s and CMSA\u2019s Illinois counsel in this appeal, the law firm of Pretzel & Stouffer, assumed its representation in the trial court from the New York law firm of Kroll, Tract, Powerantz & Cameron. Rather, the record reveals that Pretzel & Stouffer assumed representation of CMSA from the Chicago law firm of Garbutt & Jacobson in December 1986 and of CMI from Chicago attorney John W. Clifford in January 1987.\nAdditionally, at oral argument, plaintiff\u2019s counsel asserted that she was \u201csure\u201d CMI had informed CMSA of plaintiff\u2019s claim in view of the fact that CMSA had agreed to indemnify CMI for any claims against it arising from personal injuries to purchasers of vacations at CMSA\u2019s resorts. This assertion, however, ignores that CMSA never admitted that documents entitled \u201cSales Agency Agreement\u201d and \u201cConsignment Agreement,\u201d of which the agreements to indemnify were a part, were in force in 1981 and 1983, as plaintiff sought to have CMSA do through discovery. In fact, CMSA objected to plaintiff\u2019s request to admit facts, and their dispute with respect thereto was never resolved by the trial court. Plaintiff\u2019s assertion also ignores that the trial court struck a copy of the \u201cConsignment Agreement\u201d which she appended to her response to CMSA\u2019s motion for summary judgment. Therefore, there is no record basis for accepting plaintiff\u2019s inference from any indemnity agreement that CMI informed CMSA of her claim during the limitations period.\nPlaintiff also relies on Schlunk v. Volkswagenwerk Aktiengesellschaft (1986), 145 Ill. App. 3d 594, 495 N.E.2d 1114, aff'd (1988), 486 U.S. 694, 100 L. Ed. 2d 722, 108 S. Ct. 2104, in support of her assertion that the requirements of sections 2 \u2014 616(d)(3) and (d)(4) were satisfied here as a result of the fact that CMI was the wholly owned subsidiary of CMSA at the time of her injury. However, we find neither Schlunk nor one of the principal cases upon which it relied, Maunder v. DeHavilland Aircraft of Canada, Ltd. (1984), 102 Ill. 2d 342, 466 N.E.2d 217, cert. denied (1984), 469 U.S. 1036, 83 L. Ed. 2d 401, 105 S. Ct. 511, of any avail to plaintiff.\nSchlunk and Maunder held that subsidiary corporations were, by operation of law, the agents of their foreign parent corporations for service of process and that the parent corporations were fully apprised thereby of the pendency of the plaintiffs\u2019 claims. However, contrary to plaintiff\u2019s implication, they were not solely based on the fact that the subsidiary corporations were wholly owned by their parent corporations. Rather, they were equally based on the degree of control which the parent corporations exercised over the subsidiaries. See Maunder, 102 Ill. 2d at 346-50; Schlunk, 145 Ill. App. 3d at 603-04.\nWe do not find that the facts relied upon by plaintiff to show a close relationship between CMSA and CMI meet her burden as established in Maunder and Schlunk. As such, we cannot conclude, contrary to the apparent finding of the trial court, that service of process upon CMSA was not an issue herein or that plaintiff satisfied the requirements of sections 2 \u2014 616(d)(3) and (d)(4).\nGiven the lack of any positive indication in the record that CMSA learned of the claim which plaintiff had against the owner/operator of the Canc\u00fan resort during the limitations period and the inapplicability of Schlunk and Maunder to her case, we cannot find that CMSA had an adequate opportunity to investigate that claim while the facts were still accessible to it. This conclusion requires no determination of what is an \u201cadequate\u201d opportunity since it is the purpose of statutes of limitations to afford such an opportunity. Shiner v. Friedman (1987), 161 Ill. App. 3d 73, 81-82, 513 N.E.2d 862.\nPlaintiff also notes that the fact that corporations confuse their identities through complex intermingling of their corporate names and structures is another factor militating in favor of allowing an amended complaint to relate back. (Shiner, 161 Ill. App. 3d at 82, quoting Bates, 132 Ill. App. 2d at 167.) In this regard, plaintiff notes the similarity in the names of CMI and CMSA as well as the chain of subsidiaries through which CMSA owns CMI.\nThe fact that corporations confuse their identities does not alone justify allowing the relation back of an amended complaint. While the similarity in the names of CMSA and CMI is patent, we do not find that it misled plaintiff into believing that, in suing CMI, she had sued all the proper defendants. Rather, that belief resulted from plaintiff\u2019s failure to take cognizance of the notice which she had been given regarding the existence of CMSA. (Cf. Latshaw v. Humphreys Leather Goods Co. (1972), 5 Ill. App. 3d 98, 283 N.E.2d 71 (relation back allowed where plaintiff relied on title search and sign on building incorrectly identifying its owners in joining same).) Nor do we believe that the hierarchy of corporations with similar names through which CMSA owns CMI justifies avoidance of the statute of limitations absent a contention that it prevented plaintiff from discovering who her claim properly lay against. (Cf. Corn v. Lorain Division, Koehring Co. (1981), 94 Ill. App. 3d 152, 418 N.E.2d 809 (relation back allowed where identity of proper defendant, Amax, Inc., was buried in confusing and conflicting discovery references thereto and to the original defendant, Amax Coal Co., Inc.).) Where, as here, a plaintiff does not institute any written discovery to determine whether she has sued either the proper defendants or all of them, such a hierarchical ownership is irrelevant. This is not a case in which, during the time a limitations period was running, a plaintiff was forced to trace the ownership of a business through a long line of subsidiary corporations to their corporate parent.\nPlaintiff also asserts that, since she would otherwise be left without a remedy for her injuries, allowing joinder of CMSA will further the ends of justice, the ultimate test of a trial court\u2019s exercise of discretion under section 2 \u2014 616(d) (Campbell v. Feuquay (1986), 140 Ill. App. 3d 584, 590, 488 N.E.2d 1111). She also asserts that CMSA will not be prejudiced by such a result, prejudice and surprise also being factors in the determination. Shiner v. Friedman (1987), 161 Ill. App. 3d 73, 80, 513 N.E.2d 862.\nWe cannot agree that allowing plaintiff\u2019s amended complaint against CMSA to stand would further the ends of justice. Such a result would sanction plaintiff\u2019s ignoring facts which were sufficient to put her on notice of the proper defendant to be held liable for her injuries and to obligate her to join that defendant in a timely manner to afford it a fair opportunity to investigate the facts. Such a result would sanction active neglect rather than mere inadvertence. Because CMSA did not know of plaintiff\u2019s claim during the limitations period, we likewise cannot agree that it would not be prejudiced by allowing plaintiff\u2019s amended complaint.\nNext, plaintiff asserts that the trial court erred in allowing CMSA, after the dismissal of CMI, to amend its answer to the fourth-amended complaint to plead the affirmative defense of the statute of limitations. Plaintiff asserts that, by failing to plead the defense in its original answer to that complaint, CMSA waived the defense. We disagree.\nThe failure to plead an affirmative defense, such as a statute of limitations, does not constitute waiver. Rather, a trial court may, in its sound discretion, allow a defendant to file an amended answer raising affirmative matter anytime prior to the entry of a final judgment. (Uscian v. Blacconeri (1975), 35 Ill. App. 3d 80, 340 N.E.2d 618.) People ex rel. Foreman v. Village of Round Lake Park (1988), 171 Ill. App. 3d 443, 447-49, 525 N.E.2d 868, upheld the right to amend an answer to plead a statute of limitations defense even though the defense had been available from the date the action was filed, almost Vk years before amendment was sought. The court did so on the grounds that, as in this case, trial had not begun, the defense did not require further investigation by either party, and, if upheld, it would eliminate the necessity and expense of a trial. The trial court here did not abuse its discretion.\nIn appealing the orders in CMI\u2019s favor, plaintiff contends that the fifth-amended complaint, which she filed after the trial court granted CMI summary judgment on the fourth-amended complaint, stated a cause of action based on a theory of undisclosed principal. In support, plaintiff cites Rosen v. Deporter-Butterworth Tours, Inc. (1978), 62 Ill. App. 3d 762, 379 N.E.2d 407. Rosen involved an action against a travel agency for breach of a contract to arrange the plaintiff\u2019s inclusion in a tour conducted by an independent sponsor. The court held the travel agency liable as the tour sponsor\u2019s undisclosed agent. In doing so, the court noted that the relationship between a travel bureau and a tour sponsor has been held to be an agency relationship as far as the liability of such bureaus for tortious injuries to a traveler was concerned. (Rosen, 62 Ill. App. 3d at 766, citing Annot., 53 A.L.R. 3d 1310 (1973).) Plaintiff deduces from the foregoing observation that the Rosen court could not have been clearer in its intention to hold a travel bureau liable for tortious injuries to a traveler.\nNotwithstanding the clarity with which the Rosen court may have expressed that intention or the case law from foreign jurisdictions supporting that result (Annot., 53 A.L.R. 3d 1310 (1973)), holding CMI liable for the torts of CMSA as its undisclosed agent would be contrary to the law of agency. It is a general rule of agency that an agent is not liable for torts committed by his principal personally. (3 C.J.S. Agency \u00a7379, at 203 (1973); Dorkin v. American Express Co. (1973), 74 Misc. 2d 673, 345 N.Y.S. 2d 891, 893, aff'd (1974), 43 A.D.2d 877, 351 N.Y.S. 2d 190.) In other words, an agent\u2019s liability \u201cis based on the duty which he himself owes to the third person.\u201d In most jurisdictions it is that duty which is the test of liability. An agent is not liable merely because his principal fails to discharge affirmative duties which the principal owed to the third person. (3 Am. Jur. 2d Agency \u00a7309, at 815 (1986).) Rosen does not contradict this rule.\nWhile it was held to be the undisclosed agent of the tour sponsor, the defendant travel agency in Rosen was held liable only for breaching its duty to the plaintiff to keep the tour sponsor apprised of his whereabouts before the tour began. Although CMI may have been CMSA\u2019s undisclosed agent for purposes of marketing vacations at the Canc\u00fan resort, CMI owed no duty to plaintiff with regard to plaintiff\u2019s stay there, including the serving of food. Any duty in that regard was owed to plaintiff by CMSA, which, the theory of undisclosed agency presupposes, owned and operated the Canc\u00fan resort.\nPlaintiff next contends that the trial court abused its discretion in denying leave to file a sixth-amended complaint asserting constructive fraud. While we could discuss at length the parties\u2019 arguments on this issue, we are not obligated to do so. Plaintiff has not included the proposed sixth-amended complaint in the record on appeal. We must therefore assume that denial of leave to file that complaint was not an abuse of discretion or prejudicial to plaintiff. Lowrey v. Malkowski (1960), 20 Ill. 2d 280, 285, 170 N.E.2d 147, cert. denied (1961), 365 U.S. 879, 6 L. Ed. 2d 191, 81 S. Ct. 1029; Zamouski v. Gerrard (1971), 1 Ill. App. 3d 890, 898, 275 N.E.2d 429.\nPlaintiff next contends the trial court erred in granting summary judgment for CMI on the fourth-amended complaint. Plaintiff asserts that she should have been allowed to proceed against CMI on the fourth-amended complaint on the ground that CMI and CMSA were acting as joint venturers in marketing Club Med vacations. We cannot agree.\nThe fourth-amended complaint contained identical counts against CMI and CMSA alleging that: each had a duty \u201cto use ordinary care when preparing and serving food which would be safe for its patrons\u201d; in breach of that duty, each, through its agents and employees, negligently \u201c[sjerved food with a hidden toothpick\u201d and \u201c[fjailed to warn plaintiff\u201d thereof. The fourth-amended complaint totally lacked any allegations of joint venture and did not seek to hold CMI liable as a joint venturer with CMSA. We thus cannot agree with plaintiff that the fourth-amended complaint presented any genuine issues of material fact with respect to CMI\u2019s liability as a joint venturer with CMSA which precluded a summary judgment for CMI.\nIn order to maintain a cause of action based on a specific theory of liability, all of its essential elements must be specifically alleged in the complaint. (Richmond v. Hahn (1985), 134 Ill. App. 3d 947, 948, 481 N.E.2d 943.) Insofar as a theory of vicarious liability based on a joint venture is concerned, those elements are: (1) a community of interest in the purpose of the joint venture; (2) a right to direct and govern the policy and conduct of the other joint venturer; and (3) a right to joint control and management of the property used in the joint venture. (See Barton v. Evanston Hospital (1987), 159 Ill. App. 3d 970, 513 N.E.2d 65.) Pleadings are to be liberally construed with a view to doing substantial justice between the parties. (Ill. Rev. Stat. 1985, ch. 110, par. 2 \u2014 603(c).) Moreover, no pleading is insufficient which contains such information as reasonably informs an opponent of the nature of the claim or defense it is called upon to meet. (Ill. Rev. Stat. 1985, ch. 110, par. 2 \u2014 612(b).) However, no amount of liberal construction of the fourth-amended complaint could have cured its total failure to allege the elements of a joint venture and to thus inform CMI that plaintiff\u2019s claim was in the nature of vicarious liability predicated on a theory of joint venture with CMSA. See Wait v. First Midwest Bank/Danville (1986), 142 Ill. App. 3d 703, 711, 491 N.E.2d 795.\nNor can plaintiff\u2019s attempt to avoid her failure to allege the elements of a joint venture in her fourth-amended complaint by way of argument on appeal be successful. Defects in pleadings cannot be cured by argument. (Burnett v. Donath (1984), 127 Ill. App. 3d 131, 468 N.E.2d 501.) Plaintiff should have included the allegations she makes on appeal regarding the elements of the joint venture between CMI and CMSA in her fourth-amended complaint. As she did not, we conclude that CMI was properly awarded summary judgment thereon.\nFor the reasons stated herein, the orders appealed from are affirmed in their entirety.\nAffirmed.\nK.IZZI and WHITE, JJ., concur.",
        "type": "majority",
        "author": "PRESIDING JUSTICE FREEMAN"
      }
    ],
    "attorneys": [
      "Mullen, Minella & Chase, of Chicago (John C. Mullen and Cynthia L. Chase, of counsel), for appellant.",
      "Pretzel & Stouffer, Chartered, of Chicago (Craig A. Chapello, Robert Marc Chemers, and Robert J. Franco, of counsel), for appellees."
    ],
    "corrections": "",
    "head_matter": "RITA BEHR, Plaintiff-Appellant, v. CLUB MED, INC., et al., Defendants-Appellees.\nFirst District (3rd Division)\nNos. 1\u201487\u20143289, 1\u201488\u20142465 cons.\nOpinion filed November 1, 1989.\nMullen, Minella & Chase, of Chicago (John C. Mullen and Cynthia L. Chase, of counsel), for appellant.\nPretzel & Stouffer, Chartered, of Chicago (Craig A. Chapello, Robert Marc Chemers, and Robert J. Franco, of counsel), for appellees."
  },
  "file_name": "0396-01",
  "first_page_order": 418,
  "last_page_order": 432
}
