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    "parties": [
      "TERRY DOWNING, Plaintiff-Appellee and Cross-Appellant, v. UNITED AUTO RACING ASSOCIATION et al., Defendants-Appellants and Cross-Appellees (Robert Guess, Defendant)."
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        "text": "JUSTICE McMORROW\ndelivered the opinion of the court:\nPlaintiff Terry Downing was injured during a midget car race that was held on premises operated by defendants United Auto Racing Association (UARA) and Aaron Willis (Willis) (hereinafter collectively referred to as defendants). The plaintiff\u2019s injuries occurred when a car driven by defendant Robert Guess (Guess) overturned on the racetrack and struck plaintiff, who was standing just off the track in an area unprotected by a guardrail. A jury found that Guess was not negligent in his driving of the car, and he is not a party to this appeal. The jury determined that the actions of defendants UARA and Willis with respect to their maintenance of the track amounted to willful and wanton misconduct, and awarded plaintiff $1.5 million in damages. The jury also found that plaintiff was 59% comparatively negligent in causing his own injuries and reduced the award by this percentage, for a net damages award of $615,000.\nDefendants UARA and Willis raise numerous issues on appeal. Based upon our review of the record, we conclude that: (1) the evidence of record supports the jury\u2019s determination that the actions of these defendants constituted willful and wanton misconduct; (2) a release signed by plaintiff was properly excluded from evidence; (3) the advent of -comparative negligence does not abolish the distinction between ordinary negligence and willful and wanton misconduct; (4) the trial court\u2019s instruction to the jury to disregard certain testimony from the plaintiff\u2019s expert was sufficient to cure any prejudice to the defendants arising from such testimony; (5) the trial court's instruction to the jury to disregard hearsay testimony from one of plaintiff\u2019s occurrence witnesses was adequate to prevent any prejudice to the defendants; (6) there was no error in any of the trial court\u2019s rulings with respect to testimony provided by plaintiff\u2019s experts at trial; (7) defendants are not entitled to a new trial because of allegedly improper testimony regarding the scope of plaintiff\u2019s injuries; and (8) there were no cumulative errors that entitle defendants to a new trial.\nPlaintiff also cross-appeals from the judgment entered upon the jury\u2019s verdict, claiming that his ordinary negligence could not offset defendants\u2019 liability for willful and wanton acts. We conclude that, in light of the adoption of comparative fault, a jury may consider a plaintiff\u2019s ordinary negligence to reduce the amount of damages assessed for a defendant\u2019s willful and wanton acts.\nIn accordance with these determinations, we affirm.\nPlaintiff was injured on August 12, 1978, during a midget car race at Joliet Memorial Stadium. Defendant Willis leased the track to promote, organize and supervise such races. Under the agreement, defendant Willis was to provide a safe, adequate, and properly prepared track for the races, including personnel to supervise activities near the track and in the pit area. Defendant UARA agreed to sanction races held by defendant Willis at the stadium.\nAt the time of his injury, plaintiff was a member of a pit crew for Richard Pole (Pole), a midget car driver. Plaintiff helped others in the crew to prepare the car and push it onto the track. As plaintiff waited on the track for the car to be pushed into a warm-up race, he noticed that the car being driven by Guess bicycled in the turns nearer to plaintiff. \u201cBicycling\u201d occurs when the car\u2019s inner wheels lose contact with the track surface.\nAccording to plaintiff\u2019s trial testimony, Guess\u2019 car bicycled approximately two feet off the asphalt in these turns. After Guess\u2019 car passed through the turns, plaintiff and other members of the crew pushed Pole\u2019s car onto the track to participate in the warm-up race. Thereafter, plaintiff began to walk off the track toward the pit area. He was accompanied by George Boban (Boban), who was also a pit crew member for Pole. Both plaintiff and Boban noted that Guess\u2019 car again bicycled a few feet in the air when the car made the two turns at the far end of the track. Plaintiff testified that he mentioned to Boban, and to David Valentino (Valentino), a pit crew member for another driver who was nearby, that Guess\u2019 car should be blackflagged off the track. \u201cBlackflag\u201d occurs when the racing steward waves a black flag to a driver to signal to the driver that his car should leave the track. Valentino also testified at trial that he noticed that Guess\u2019 car bicycled when making turns around the track.\nBoban and Valentino testified that they were standing with plaintiff in the grassy area near the track when they noticed Guess\u2019 car bicycling in turns on the track. Also, Boban and Valentino testified that Guess\u2019 car bicycled both during warm-up laps, where the cars are running at a reduced speed, and during hot laps, where the cars are making trial runs at full speed. However, plaintiff testified that he believed Guess\u2019 car was operating a warm-up lap when he first noticed the bicycling, but that he did not know whether Guess was operating during a hot lap when Guess\u2019 car repeated its bicycling around the track.\nIt was established at trial that a racing steward controlled whether the cars were racing a warm-up lap or a hot lap. To indicate a warm-up lap, the steward would wave a yellow flag. To indicate a hot lap, the steward would wave a green flag. In addition, there was a light signal at the far end of the track, away from the pit area, that would show a yellow or green light depending upon the signals given by the racing steward.\nDuring the time that plaintiff, Boban, and Valentino noticed Guess\u2019 car bicycling at the far end of the track, they were located in a grassy area off the track between the pit and the straightaway. A guardrail separated the track from the pit area at the turns at this end of the track, and there was a fence along the track straightaway. Boban, Valentino, and plaintiff all testified that they were aware that it was dangerous to remain in this area during a hot lap.\nPlaintiff testified at trial that because he believed that the bicycling of Guess\u2019 car created a hazardous condition on the track, he concluded that Guess\u2019 car should be removed from the race. In an effort to find a race official to blackflag Guess' car, plaintiff began to walk away from Boban and Valentino. He walked in the grassy strip along the track, away from the guardrail, in the direction of the fence along the straightaway. Plaintiff did not watch Guess\u2019 car as it continued on the track.\nBoban and Valentino testified that as Guess\u2019 car reached the turns nearer to the pit area, the car again bicycled. It then flipped over and began skidding toward the area where plaintiff, Boban, and Valentino were located. Although Boban and Valentino avoided injury, plaintiff was struck by the car and pinned against the fence next to the track straightaway. He sustained injuries requiring extensive surgery and lengthy post-operative care.\nPlaintiff contended that defendants UARA and Willis were guilty of willful and wanton conduct because they (1) failed to extend the guardrail near the pit area and (2) failed to provide a pit steward to ensure that persons did not remain in the exposed area near the pit. In addition, plaintiff claimed that defendant UARA was guilty of willful and wanton misconduct because it failed to blackflag Guess\u2019 car off the track once it began to bicycle.\nTo support his contentions, plaintiff produced evidence at trial to show that defendants were aware that the area where plaintiff had been located was dangerous because it exposed persons standing there to the risk of being hit by cars driven on the track. Plaintiff\u2019s expert at trial, Dr. John Fitch, stated that the guardrail along the pit area should have been extended toward the straightaway to minimize this hazard. Dr. Fitch also testified that, as an alternative to a guardrail, defendants should have placed a steward in the area where plaintiff was located at the time he was injured, who would be responsible for preventing persons from remaining in that vicinity. Dr. Fitch also stated that the defendant UARA should have blackflagged Guess\u2019 car off the track before it bicycled, lost control, and spun into plaintiff. Dr. Fitch testified that either an extended guardrail, the presence of a steward to warn plaintiff off the area unprotected by a guardrail, or the removal of Guess\u2019 car probably would have prevented plaintiff\u2019s injuries.\nDefendants presented evidence to show that none of the alternatives suggested by plaintiff was reasonably necessary and that none would have prevented plaintiff\u2019s injuries. Testimony from experts detailed these points. Defendants also presented testimony to establish that they had warned pit crew members, including plaintiff, not to stand in the area where the plaintiff\u2019s injuries occurred.\nBased upon this evidence, the jury returned a verdict against defendants UARA and Willis. It awarded plaintiff $1.5 million in damages, reduced to $615,000 for plaintiff\u2019s comparative fault, which the jury assessed at 59%. The trial court entered judgment in conformity with this verdict. Defendants UARA and Willis appeal, and plaintiff cross-appeals.\nI\nDefendants argue that the jury\u2019s finding of willful and wanton misconduct was not supported by the evidence of record. They contend that the trial court should have granted their motion for judgment notwithstanding the verdict or in the alternative for a new trial. A motion for judgment notwithstanding the verdict should be granted when all the evidence, viewed in the light most favorable to the non-moving party, so overwhelmingly favors the movant that no contrary verdict could ever stand. (Pedrick v. Peoria & Eastern R.R. Co. (1967), 37 Ill. 2d 494, 229 N.E.2d 504; Bausback v. K mart Corp. (1990), 194 Ill. App. 3d 325, 550 N.E.2d 1269.) A motion for a new trial is properly allowed when the jury\u2019s verdict is against the manifest weight of the evidence. Marin v. American Meat Packing Co. (1990), 204 Ill. App. 3d 302, 562 N.E.2d 282.\nWillful and wanton acts are those which, under the circumstances of the particular case, exhibit reckless disregard for the safety of others, including the failure to exercise ordinary care to prevent an impending danger. (Schneiderman v. Interstate Transit Lines, Inc. (1946), 394 Ill. 569, 583, 69 N.E.2d 293; see also Adkins v. Sarah Bush Lincoln Health Center (1989), 129 Ill. 2d 497, 518, 544 N.E.2d 733; O\u2019Brien v. Township High School District 214 (1980), 83 Ill. 2d 462, 469, 415 N.E.2d 1015; Lynch v. Board of Education of Collinsville Community Unit District No. 10 (1980), 82 Ill. 2d 415, 412 N.E.2d 447.) To establish that a defendant was guilty of willful and wanton conduct, plaintiff must show that the defendant had actual or constructive knowledge that his conduct posed a high probability of serious physical harm to others. (Albers v. Community Consolidated No. 204 School (1987), 155 Ill. App. 3d 1083, 1085, 508 N.E.2d 1252.) The evidence must disclose that defendant was reckless, not merely careless, in his disregard of the danger created by the circumstances. (Lynch, 82 Ill. 2d 415, 412 N.E.2d 447.) Whether a defendant\u2019s acts amounted to willful and wanton conduct is a question to be resolved by the finder of fact, based upon the particular circumstances of each individual case. Lynch, 82 Ill. 2d 415, 412 N.E.2d 447; Soucie v. Drago Amusements Co. (1986), 145 Ill. App. 3d 348, 495 N.E.2d 997; Barth v. Board of Education (1986), 141 Ill. App. 3d 266, 490 N.E.2d 77.\nA review of the record reveals sufficient basis to justify the jury\u2019s verdict that defendants UARA and Willis were willful and wanton. Plaintiff produced evidence that showed defendants were aware that the exposed area near the pit presented a substantial risk of serious injury to persons who stood there, and that defendants knew pit crew members were often located in the vicinity during warm-up and hot laps. The testimony of plaintiff\u2019s expert, Dr. John Fitch, established that defendants should have either extended the guardrail near the pit area, or secured the presence of a pit steward who would be responsible for preventing pit crew members from standing in the area. Dr. Fitch also testified that defendant UARA, in addition to these alternatives, should have had Guess\u2019 car blackflagged off the track before it bicycled, lost control, and spun into plaintiff. Dr. Fitch testified that in his opinion, the defendants\u2019 failure to extend the guardrail, or require the presence of a pit steward, was an utter disregard for the safety of pit crew members. The plaintiff\u2019s expert gave similar testimony with respect to defendant UARA\u2019s failure to black-flag Guess\u2019 car. We cannot say, as a matter of law, that this evidence was insufficient to prove that defendants\u2019 omissions constituted willful and wanton conduct. It is not the province of this court, on appeal from a jury verdict, to reweigh the evidence of record or to question the validity of the opinions stated by the plaintiff\u2019s expert. See, e.g., Doser v. Savage Manufacturing & Sales, Inc. (1990), 142 Ill. 2d 176.\nDefendants do not dispute the sufficiency of the evidence with respect to their knowledge that the exposed area between the guardrail and the fence was hazardous to pit crew members who stood in that location. Instead, defendants argue that the jury could not find them liable for willful and wanton misconduct, because the defendants warned pit crew members not to stand in the exposed area during hot laps, and because they provided light signals at the far end of the track, visible to pit crew members, to indicate whether the cars were running a warm-up lap or a hot lap. Defendants also note that their opportunity to have plaintiff removed from the exposed area prior to his injury lasted only a few seconds and was too short a period of time in which to prevent plaintiff from remaining in the exposed area. Defendants further observe that plaintiff was fully aware of the hazards associated with his staying in the exposed area near the pit. On these bases, the defendants urge that the jury could not find defendants willful and wanton on any of the grounds alleged by the plaintiff.\nWe are unable to find defendants\u2019 arguments sufficient ground to disturb the jury\u2019s verdict. As defendants concede, defendants were aware that the exposed area remained hazardous to pit crew members and required a warning to pit crew members to avoid the area. Defendants also acknowledge that because of the hazardous nature of the exposed area near the pit, light signals at the far end of the track were intended to show whether the cars were running warm-up laps or hot laps. Plaintiff\u2019s expert testified that, in his opinion, the defendants\u2019 warnings and light signals were insufficient to adequately protect plaintiff, in view of the high degree of risk of serious bodily harm created by the exposed area near the pit. Plaintiff\u2019s expert stated that because of the likelihood of serious bodily injury associated with the exposed vicinity near the pit, defendants should have either extended the guardrail near the pit area or provided a pit steward to prevent pit crew members from remaining in the exposed area near the pit. Plaintiffs expert testified that the probability of serious bodily injury also required that defendant UARA should have blackflagged Guess\u2019 car before it bicycled, lost control, and spun into plaintiff. It was the opinion of the plaintiff\u2019s expert that each of these alternatives probably would have been sufficient to avoid plaintiff\u2019s injuries, in spite of the short period of time he remained in the exposed area prior to his being struck by Guess\u2019 car. The defendants\u2019 knowledge that a short time was required for a midget car to complete a lap on the track, and that injury could occur within seconds, was further indication that these additional alternatives should have been pursued by the defendants in order to lessen the high degree of serious bodily injury created by the exposed area near the pit. It was the jury\u2019s responsibility to assess the weight to be given to the testimony of plaintiff\u2019s expert, and to determine whether defendants\u2019 warnings were sufficient under the circumstances of this case. Upon review, we are not empowered to usurp this jury function. (See Doser v. Savage Manufacturing & Sales, Inc. (1990), 142 Ill. 2d 176.) In addition, the plaintiff\u2019s understanding of the scope of harm associated with remaining in the exposed area near the pit was considered by the jury with respect to plaintiff's comparative fault, and we cannot say upon review that the jury\u2019s apportionment of comparative fault between the parties was erroneous as a matter of law.\nDefendants essentially argue that, because the defendants undertook some acts to provide for the safety of pit crew members in the exposed area by warning them about the hazards and by providing light signals to alert them to whether the cars were running a warmup lap or a hot lap, defendants\u2019 failure to undertake additional steps could not be deemed willful and wanton. Defendants note that there are Illinois cases in which the defendants\u2019 provision of some safety measures led the courts to conclude that the defendants were not liable for willful and wanton misconduct for their failure to provide other or additional safety measures. See Lynch v. Board of Education of Collinsville Community Unit District No. 10 (1980), 82 Ill. 2d 415, 412 N.E.2d 447; Holsapple v. Casey Community Unit School District C-1 (1987), 157 Ill. App. 3d 391, 510 N.E.2d 499; Turner v. Commonwealth Edison Co. (1976), 35 Ill. App. 3d 331, 341 N.E.2d 488.\nHowever, in none of these cases did the plaintiff\u2019s expert testify that the failure to provide an additional safety measure was, in the expert\u2019s opinion, an utter disregard for the plaintiff\u2019s safety. In the instant cause, the plaintiff's expert identified two alternatives, i.e., the extension of the guardrail near the pit or the provision of a pit steward near the exposed area of the track, that defendants could have undertaken in order to protect plaintiff from the dangers created by the open area between the pit and the straightaway. Plaintiff\u2019s expert identified a third alternative that should have been performed by defendant UARA, i.e., to have Guess\u2019 car blackflagged off the track before it bicycled, lost control, and spun into plaintiff. Plaintiff\u2019s expert further testified that the failure to undertake any of these steps was, in his opinion, an utter disregard for the plaintiff\u2019s safety.\nThis critical distinction renders factually inapposite the cases cited by defendants in the instant cause. It was the jury\u2019s task to determine whether, under the facts of this case, the defendants\u2019 failure to provide additional safety measures amounted to willful and wanton misconduct. We cannot say, as a matter of law, that the defendants were not willful and wanton merely because they undertook the safety measures upon which the defendants rely in this appeal. Defendants\u2019 position asks this court to ignore the testimony of plaintiff\u2019s expert to the effect that the measures undertaken by defendants were substantially inadequate, that the provision of one or more of the safety measures enumerated by the plaintiff\u2019s expert probably would have prevented plaintiff\u2019s injuries, and that defendants\u2019 failure to undertake one or more of these safety measures evidenced an utter disregard for the plaintiff\u2019s safety. Our scope of review does not grant us such authority. See Doser v. Savage Manufacturing and Sales, Inc. (1990), 142 Ill. 2d 176.\nDefendants also claim that the jury\u2019s verdict was erroneous, because plaintiff produced no evidence to show that defendants had actual or constructive knowledge that the existing safety features were unreasonably dangerous. Specifically, defendants assert that plaintiff produced no evidence of any prior accidents or complaints, or industry custom or practice, regarding the existing safety measures at the track. However, the cases cited by defendants do not hold that proof of industry custom or practice, or proof of prior incidents or complaints, is a prerequisite in all instances to support a finding of willful and wanton conduct (see Holsapple v. Casey Community Unit School District C-1 (1987), 157 Ill. App. 3d 391, 510 N.E.2d 499; Keller v. Mols (1987), 156 Ill. App. 3d 235, 509 N.E.2d 584; Del Muro v. Commonwealth Edison Co. (1984), 124 Ill. App. 3d 473, 464 N.E.2d 772; Mathis v. Burlington Northern, Inc. (1978), 67 Ill. App. 3d 1009, 385 N.E.2d 780), and a jury\u2019s finding of willful and wanton acts has been upheld in the absence of evidence that defendants had received prior complaints or notice of accidents regarding the dangerous condition created by the defendants\u2019 conduct. (See, e.g., Soucie v. Drago Amusements Co. (1986), 145 Ill. App. 3d 348, 495 N.E.2d 997; Barth v. Board of Education (1986), 141 Ill. App. 3d 266, 490 N.E.2d 77.) It was the province of the fact finder to consider the absence of prior complaint, prior accidents, and the absence of industry standard or custom, in reaching its determination of whether defendants\u2019 actions constituted willful and wanton conduct. Upon review, we cannot conclude that defendants\u2019 argument in this regard is sufficient ground to disturb the jury\u2019s verdict against them.\nDefendants also contend that the jury\u2019s determination was not supported by the record because plaintiff\u2019s expert, Dr. Fitch, testified on cross-examination that he did not know, with certainty, whether an extended guardrail would have prevented the accident. Although an expert\u2019s opinion may not be based on speculation or conjecture, \u201can expert opinion couched in terms of probabilities *** is not improper or inadmissible. [Citation.]\u201d (Rodrian v. Seiber (1990), 194 Ill. App. 3d 504, 507, 551 N.E.2d 772.) In the case at bar, the record reflects that Dr. Fitch stated on direct examination that an extended guardrail probably would have prevented plaintiff\u2019s injuries. Consequently, the testimony of Dr. Fitch was sufficient to support the jury\u2019s verdict against defendants, on the ground that defendants\u2019 failure to provide an extended guardrail proximately caused the plaintiff\u2019s injuries.\nIn light of these considerations, we conclude that the trial court properly denied defendants\u2019 motion for judgment notwithstanding the verdict or a new trial.\nII\nDefendants urge that they should receive a new trial because the trial court committed reversible error when it denied defendants\u2019 motion to pursue their affirmative defense that defendants were not liable because plaintiff had executed a release relieving defendants of liability for injuries sustained at the track. We find no error in the trial court\u2019s ruling.\nGenerally, a release does not bar plaintiff\u2019s maintenance of an action alleging willful and wanton misconduct by the defendants. This rule is based on the determination that, as a matter of public policy, a plaintiff cannot exculpate or indemnify a defendant for the defendant\u2019s willful and wanton acts. (See Falkner v. Hinckley Parachute Center, Inc. (1989), 178 Ill. App. 3d 597, 533 N.E.2d 941; Zimmerman v. Northfield Real Estate, Inc. (1986), 156 Ill. App. 3d 154, 510 N.E.2d 409; Third Swansea Properties, Inc. v. Ockerlund Construction Co. (1976), 41 Ill. App. 3d 894, 354 N.E.2d 148; see also Davis v. Commonwealth Edison Co. (1975), 61 Ill. 2d 494, 336 N.E.2d 881; Schek v. Chicago Transit Authority (1969), 42 Ill. 2d 362, 247 N.E.2d 886.) In light of this precedent, the trial court properly denied defendants\u2019 request to pursue their affirmative defense that plaintiff\u2019s execution of a release precluded plaintiff\u2019s recovery from defendants for willful and wanton misconduct.\nDefendants argue that the trial court\u2019s ruling was in error, because Illinois courts have recognized the validity of a release in cases involving injuries sustained as a result of a race car accident. However, the cases cited by defendants are inapposite, because they pertained to suits alleging negligence, rather than those alleging willful and wanton acts. (See Schlessman v. Henson (1980), 83 Ill. 2d 82, 413 N.E.2d 1252; Morrow v. Auto Championship Racing Association, Inc. (1972), 8 Ill. App. 3d 682, 291 N.E.2d 30; see also Provence v. Doolin (1980), 91 Ill. App. 3d 271, 414 N.E.2d 786.) We decline defendants\u2019 invitation to create an exception for exculpatory clauses involving racetrack accidents on the theory that Illinois law has a deleterious, chilling effect on the sport of car racing.\nDefendants also argue that they should have been permitted to cross-examine plaintiff regarding the contents of the release in order to show that plaintiff had assumed the risk of injuries at the track. Initially, defendants contend that the release was relevant to the question of plaintiff\u2019s implied primary assumption of the risk.\nUnder implied primary assumption of the risk, the plaintiff\u2019s conduct is deemed an implicit assumption of all of the risk arising from a certain activity. As a result, under implied primary assumption of the risk, a plaintiff may relieve a defendant of any duty to the plaintiff to be free from ordinary negligence. See Goad v. Evans (1989), 191 Ill. App. 3d 283, 547 N.E.2d 690; Clark v. Rogers (1985), 137 Ill. App. 3d 591, 484 N.E.2d 867; Duffy v. Midlothian Country Club (1985), 135 Ill. App. 3d 429, 481 N.E.2d 1037.\nImplied primary assumption of the risk is similar to an express assumption of the risk. Under express assumption of the risk, a plaintiff has explicitly, usually in writing, agreed to relieve the defendant of liability for any injuries arising from an activity. However, an express assumption of the risk does not preclude a plaintiff\u2019s suit for willful and wanton misconduct, because public policy dictates that a plaintiff cannot absolve a defendant of liability for the defendant\u2019s willful and wanton acts. (See, e.g., Falkner v. Hinckley Parachute Center, Inc. (1989), 178 Ill. App. 3d 597, 533 N.E.2d 941.) In light of this public policy, we conclude that an implied primary assumption of the risk, similar to an express assumption of the risk, should not bar a plaintiff\u2019s action for injuries due to willful and wanton acts of a defendant. (Falkner, 178 Ill. App. 3d at 604.) Accordingly, the release was not admissible to show that plaintiff\u2019s actions amounted to an implicit, primary assumption of the risks of injury arising from his participation in the midget car race.\nDefendants also argue that they should have been permitted to offer the release to prove plaintiff\u2019s implied secondary assumption of the risk. Implied secondary assumption of the risk occurs when a plaintiff, by his conduct, has assumed certain consequences from his participation in an activity. Implied secondary assumption of the risk is a damage-reducing factor considered as an element of comparative fault. See Simpson v. General Motors Corp. (1985), 108 Ill. 2d 146, 483 N.E.2d 1; Corlett v. Caserta (1990), 204 Ill. App. 3d 403, 562 N.E.2d 257; Wheeler v. Roselawn Memory Gardens (1989), 188 Ill. App. 3d 193, 543 N.E.2d 1328; Duffy v. Midlothian Country Club (1985), 135 Ill. App. 3d 429, 481 N.E.2d 1037.\nDefendants fully cross-examined plaintiff regarding his understanding of the hazards associated with his remaining in the exposed area of the track between the pit area and the straightaway, and defendants acknowledge that the area was hazardous to anyone who remained there. Defendants do not demonstrate in what respect plaintiff\u2019s trial testimony contradicted his written acknowledgment, in the release, that the exposed area near the pit was dangerous. As a result, we are unable to conclude that defendants\u2019 lack of cross-examination of plaintiff regarding the provision in the release should warrant a new trial.\nIn addition, the record shows that prior to trial, the court expressly reserved ruling on whether defendants should be permitted to cross-examine plaintiff regarding a provision in the release wherein plaintiff recognized the hazards associated with the exposed area near the pit, in order to show that plaintiff\u2019s implied secondary assumption of the risk should act as an offset under comparative fault. However, during their cross-examination of plaintiff, defendants did not renew their request to question plaintiff regarding this provision in the release. Defendants\u2019 failure to renew their request constituted a waiver of this argument and cannot be asserted on appeal. See, e.g., Morris v. Illinois State Board of Education (1990), 198 Ill. App. 3d 51, 555 N.E.2d 725.\nIll\nDefendants also assert that they should have been permitted to pursue their affirmative defense that plaintiff was precluded from any recovery because of his execution of the release, because the rule regarding unenforceability of a release with respect to willful and wanton conduct is no longer supported by Illinois precedent. Defendants contend that the advent of comparative negligence has abolished the distinction between ordinary negligence and willful and wanton acts, and that liability for willful and wanton misconduct remains viable only in the context of punitive damages.\nTo support this argument, defendants note that prior to Alvis v. Ribar (1981), 85 Ill. 2d 1, 421 N.E.2d 886, Illinois law held that a plaintiff\u2019s contributory negligence barred any recovery from the defendant who had committed acts of ordinary negligence. To circumvent the harsh effects of this rule, it was held that a plaintiff\u2019s contributory negligence did not prevent recovery for the defendant\u2019s willful and wanton conduct. (See Alvis, 85 Ill. 2d at 10.) Defendants also note that Illinois courts have recognized that the rule permitting recovery when the plaintiff\u2019s acts were negligent and the defendant\u2019s conduct willful and wanton was \u201ccumbersome and difficult to apply\u201d (Alvis, 85 Ill. 2d at 10), and not a matter with which the average juror was readily familiar. (Lynch, 82 Ill. 2d at 431-32.) In addition, defendants observe that there is a \u201cthin line\u201d between simple negligence and willful and wanton acts, citing Mattyasovszky v. West Towns Bus Co. (1975), 61 Ill. 2d 31, 35, 330 N.E.2d 509, State Farm Mutual Automobile Insurance Co. v. Mendenhall (1987), 164 Ill. App. 3d 58, 61, 517 N.E.2d 341, Barth v. Board of Education (1986), 141 Ill. App. 3d 266, 276, 490 N.E.2d 77, and Spivack v. Hara (1966), 69 Ill. App. 2d 22, 26, 216 N.E.2d 173.\nWe cannot accept defendants\u2019 argument that the adoption of comparative fault dictates the conclusion that a plaintiff\u2019s execution of a release relieves the defendant of liability for the defendant\u2019s willful and wanton conduct. (See Montag v. Board of Education, School District No. 40 (1983), 112 Ill. App. 3d 1039, 1044-45, 446 N.E.2d 299.) The underlying justification for the adoption of comparative fault is to equitably apportion damages among the parties according to their respective fault in causing the plaintiff\u2019s injuries. (See Alvis, 85 Ill. 2d at 16.) However, abolition of the rule that a plaintiff\u2019s exculpatory agreement cannot relieve the defendant of liability for willful and wanton conduct would not serve to apportion damages according to the parties\u2019 relative fault. Rather, it would completely bar a plaintiff\u2019s recovery of any damages from the defendant notwithstanding defendant\u2019s willful and wanton conduct. Although there may be a \u201cthin line\u201d between simple negligence and willful and wanton acts under the facts of certain cases, and although the distinction between ordinary negligence and willful and wanton misconduct may not be easily understood by jurors, \u201cthe[se] necessary subtle calculations [are] no more difficult or sophisticated for jury determination than others in a jury's purview.\u201d Alvis, 85 Ill. 2d at 17.\nIn light of these considerations, we decline to hold that the adoption of comparative fault has abolished the distinction between ordinary negligence and willful and wanton conduct in the context of enforcement of an exculpatory clause between the parties. Whether a plaintiff\u2019s comparative fault may offset the amount of damages recovered from the defendants for willful and wanton acts is considered below with respect to plaintiff\u2019s cross-appeal.\nIV\nDefendants argue that the plaintiff intentionally violated the trial court\u2019s orders excluding evidence regarding post-accident changes to the racetrack undertaken by defendants. Specifically, defendants claim that plaintiff impermissibly elicited testimony from Dr. Fitch to the effect that there should have been an additional guardrail along the track straightaway, following the turn on the track where the exposed area near the pit was located. The trial court held this testimony inadmissible and instructed the jury to disregard it. However, the defendants argue that they were substantially prejudiced by the stricken testimony, that the trial court\u2019s instruction to the jury did not cure this prejudice, and that, therefore, they should receive a new trial. We disagree.\nAs noted more fully above with respect to defendants\u2019 motion for judgment notwithstanding the verdict or a new trial, the record contains sufficient evidence to sustain the jury\u2019s verdict that defendants\u2019 failure to extend a guardrail or provide a pit steward amounted to willful and wanton misconduct. The record also supports the jury\u2019s verdict that defendant UARA was willful and wanton with regard to its failure to have Guess\u2019 car blackflagged off the track before it bicycled, lost control, and spun into plaintiff. In light of this evidence of record, the trial court\u2019s curative instruction was sufficient to dispel any prejudice to the defendants resulting from this testimony. In addition, because of the adequate evidence to support the jury's determination, we cannot say that defendants should be entitled to a new trial on the ground that plaintiff\u2019s actions were purposely designed to avoid an earlier trial court in limine order. See Dugan v. Weber (1988), 175 Ill. App. 3d 1088, 530 N.E.2d 1007.\nV\nDefendants assert that plaintiff improperly elicited hearsay testimony from Valentino to the effect that shortly before the accident, Valentino heard Boban say that Guess\u2019 car should be black-flagged off the track. The trial court struck Valentino\u2019s testimony for reasons unchallenged in this appeal and instructed the jury to disregard this evidence.\nBased upon our review of the record, we conclude that the trial court\u2019s instructions to the jury were adequate to cure any prejudice to the defendants on this point. (See, e.g., Dugan v. Weber (1988), 175 Ill. App. 3d 1088, 530 N.E.2d 1007.) Plaintiff testified and was cross-examined regarding his own statements at the time to the effect that Guess\u2019 car should be removed or blackflagged from the track. Valentino and Boban were also fully questioned regarding their perceptions of the extent to which Guess\u2019 car bicycled while on the track, and whether they considered it a hazard on the track. Construing the record as a whole, Valentino\u2019s stricken testimony was an isolated, peripheral remark, and the trial court\u2019s curative instruction to the jury sufficient to forestall any prejudice to the defendants.\nVI and VII\nDefendants also challenge the trial court\u2019s admission into evidence of Dr. Fitch\u2019s expert opinion regarding the need for an extension of the existing guardrail. Defendants renew arguments they made with respect to the sufficiency of the evidence to support the jury\u2019s verdict, to wit: (1) plaintiff produced no evidence that the existing guardrail violated industry standards or practices; and (2) the plaintiff\u2019s expert could not testify with absolute certainty that an extended guardrail would have prevented plaintiff\u2019s injuries. In addition, defendants argue that the trial court\u2019s cautionary instruction to the jury, to disregard a statement made by Dr. Fitch regarding the basis of defendant Willis\u2019 liability for the failure to extend the guardrail, was insufficient to cure the prejudice arising from this stricken testimony.\nAs stated earlier with respect to whether defendants are entitled to judgment notwithstanding the verdict or a new trial, the record contains ample evidence to support the jury\u2019s conclusion that defendants were liable for willful and wanton misconduct because of their failure to either extend the guardrial or to provide a pit steward near the exposed area of the track. The record also supports the jury\u2019s determination that defendant UARA was liable for willful and wanton misconduct because of its failure to have Guess\u2019 car blackflagged off the track before the car bicycled, lost control, and spun into plaintiff. The plaintiff\u2019s evidence also showed that defendant Willis was responsible for maintenance of the track in order to ensure the safety of pit crew members. Consequently, even if the trial court committed error in its rulings with regard to the testimony of Dr. Fitch pertaining to the need for an extended guardrail and defendant Willis\u2019 liability therefor, we are unable to conclude that such error would warrant a new trial.\nVIII\nDefendants also attack the trial court's ruling that the plaintiff\u2019s trial expert, Dr. John Fitch, was qualified to render an expert opinion at trial. The record supports the trial court\u2019s determination that Dr. Fitch was qualified to render an expert opinion.\nA person is qualified as an expert when he has peculiar knowledge, training, or experience that is relevant to an issue at trial. (See, e.g., Schaffner v. Chicago & North Western Transportation Co. (1989), 129 Ill. 2d 1, 541 N.E.2d 643.) According to his trial testimony, Dr. Fitch was a competitive professional race car driver from 1949 until 1966, and remained actively involved in the industry after his retirement. He has served as a safety consultant on motor vehicle safety standards for a wide variety of institutions, has worked on publications involving vehicle deceleration and crash barriers, and holds a patent for a certain type of vehicle safety barrier system commonly used on all public highways across the country. Dr. Fitch has also consulted on racetrack design and safety at tracks on several occasions, including tracks that could be used for midget car races. Based upon this evidence, the trial court properly exercised its discretion when it determined that Dr. Fitch was qualified to render an expert opinion with respect to the safety of the racetrack at issue in the instant cause.\nThe case of Galindo v. Riddell, Inc. (1982), 107 Ill. App. 3d 139, 437 N.E.2d 376, is factually inapposite to the case at bar. In Galindo, the witness offered as the defendant\u2019s expert had been a professional football player and had a degree in mechanical engineering. Because the witness had never used his expertise to determine the causes of a football injury, the court determined that he was not qualified to render an expert opinion on the cause of the plaintiff\u2019s injuries during a football game. In the case before us, although the plaintiff\u2019s expert did not have experience as a midget car race driver, he nevertheless was experienced in competitive racecar driving and in the design of racetracks with a view to safety measures necessary to protect persons in the event of a racecar accident on the track. The expert\u2019s limited experience with midget cars affected the weight to be given to his testimony, but did not bar the admissibility of his testimony. See Buford v. Chicago Housing Authority (1985), 131 Ill. App. 3d 235, 244, 476 N.E.2d 427.\nIX\nDefendants assert that they should receive a new trial because plaintiff\u2019s treating physician, Dr. Campbell, should not have been permitted to testify that plaintiff\u2019s condition may deteriorate to such a degree that amputation of his lower leg and foot might be required. It has been held that, when the defendant does not challenge on appeal the amount of damages assessed against the defendant, the trial court\u2019s erroneous admission of evidence regarding the extent of a plaintiff\u2019s injuries is insufficient ground to reverse for a new trial. (See, e.g., Illinois Piping Co. v. Industrial Commission (1987), 156 Ill. App. 3d 955, 509 N.E.2d 1107.) Defendants UARA and Willis do not contest the amount of damages awarded to the plaintiff in the instant cause. Consequently, even assuming arguendo that Dr. Campbell\u2019s challenged testimony should have been excluded, we cannot say that its introduction was so prejudicial to defendants that they should be granted a new trial.\nX\nIn light of these considerations, we also find that there were no cumulative errors that deprived defendants of a fair trial. Our review of the record reveals sufficient evidence to support the jury\u2019s verdict against the defendants, and that none of the alleged errors affected the jury's determination. We conclude that defendants\u2019 arguments are insufficient to disturb the trial court\u2019s entry of judgment against them.\nXI\nIn a cross-appeal, plaintiff challenges the apportionment of damages between the parties. Specifically, plaintiff argues that his ordinary negligence could not be considered by the jury as an offset in the assessment of compensatory damages for the defendants\u2019 willful and wanton misconduct.\nIllinois precedent is in conflict with respect to this question. In State Farm Mutual Automobile Insurance Co. v. Mendenhall (1987), 164 Ill. App. 3d 58, 517 N.E.2d 341, the court determined that a plaintiff\u2019s ordinary negligence could be considered by the jury to reduce the compensatory damages assessed for the defendant\u2019s willful and wanton conduct. The court\u2019s ruling in Mendenhall was expressly reaffirmed in Yates v. Brock (1989), 191 Ill. App. 3d 358, 547 N.E.2d 1031, appeal denied (1990), 131 Ill. 2d 568. (See also Deal v. Byford (1989), 127 Ill. 2d 192, 537 N.E.2d 267 (question not addressed because not preserved for review).) Relying on Mendenhall, the trial court judge in the instant cause permitted the jury to consider the plaintiff\u2019s ordinary negligence in reducing the damages assessed for the defendants\u2019 willful and wanton conduct.\nHowever, the decisions of Mendenhall and Yates were subsequently rejected in Burke v. 12 Rothschild\u2019s Liquor Mart, Inc. (1991), 209 Ill. App. 3d 192, wherein the court determined that the plaintiff\u2019s ordinary negligence could not reduce the damages recovered for the defendant\u2019s willful and wanton acts. Cases from other jurisdictions also represent a split of authority on this question. See, e.g., Amoco Pipeline Co. v. Montgomery (W.D. Olka. 1980), 487 F. Supp. 1268 (applying Oklahoma law); Vining v. City of Detroit (1987), 162 Mich. App. 720, 413 N.W.2d 486; Krivijanski v. Union R.R. Co. (1986), 357 Pa. Super. 196, 515 A.2d 933; Davies v. Butler (Nev. 1979), 602 P.2d 605; see generally Annot., Application of Comparative Negligence in Action Based on Gross Negligence, Recklessness, or the Like, 10 A.L.R.4th 946 (1981).\nThe decisions of Mendenhall and Burke founded much of their analysis on the Illinois Supreme Court\u2019s adoption of comparative fault in Alvis v. Ribar (1981), 85 Ill. 2d 1, 421 N.E.2d 886. The courts noted that prior to Alvis, Illinois adhered to the contributory negligence rule. Under this rule, a plaintiff was prevented from any recovery for compensatory damages from a negligent defendant, if the plaintiff\u2019s ordinary negligence also contributed to his injuries. However, the plaintiff was permitted full recovery of compensatory damages, irrespective of the plaintiff\u2019s ordinary negligence, if the defendant\u2019s acts amounted to willful and wanton conduct. (See Alvis, 85 Ill. 2d at 10.) The advent of comparative fault in Alvis eliminated the harsh effect of the contributory negligence rule upon a negligent plaintiff\u2019s recovery of compensatory damages from a negligent defendant. Under Alvis, compensatory damages are assessed according to an apportionment of the parties\u2019 respective negligence in proximately causing the plaintiff\u2019s injuries. (See Alvis, 85 Ill. 2d at 16.) The supreme court in Alvis did not resolve the collateral issue of whether the jury should be permitted to apportion damages between the negligent plaintiff and the willful and wanton defendant. Alvis, 85 Ill. 2d at 28.\nThe courts in Mendenhall and Burke adopted divergent views with respect to the significance that should be accorded to the equitable principles underlying comparative fault. The Mendenhall court concluded that equitable principles of comparative fault outweigh the social opprobrium associated with willful and wanton acts, because of the \u201cthin line\u201d between ordinary negligence and willful and wanton conduct. (164 Ill. App. 3d at 61.) The Burke court determined that the social stigma attached to willful and wanton conduct overrides the equitable principles of comparative fault, because of the significant difference in the degree of culpability associated with ordinary negligence as compared to willful and wanton acts. (Burke, 209 Ill. App. 3d at 204; see also Wassell v. Adams (7th Cir. 1989), 865 F.2d 849 (noting \u201csplit\u201d in Illinois cases regarding proper characterization of \u201cwillful and wanton\u201d); Davis v. United States (7th Cir. 1983), 716 F.2d 418 (noting that Illinois had apparently adopted a rule equating \u201cwillful and wanton\u201d conduct with \u201cgross negligence\u201d).) Thus, the divergent views expressed in Mendenhall and Burke reflect the hybrid nature of willful and wanton conduct, which under the facts of one case may be only degrees more than ordinary negligence, while under the facts of another case may be only degrees less than intentional wrongdoing. See Mattyasovszky v. West Towns Bus Co. (1975), 61 Ill. 2d 31, 35, 330 N.E.2d 509.\nThe courts in Mendenhall and Burke also differed with respect to the significance they attached to Illinois Supreme Court decisions that have limited, or refused to apply, comparative fault principles in certain situations. In Structural Work Act (Ill. Rev. Stat. 1989, ch. 48, par. 60 et seq.) cases, a plaintiff\u2019s comparative fault is not considered as an offset or a bar to the defendant\u2019s damages, in order to preserve the social interest in providing safe working conditions in those instances governed by the Act. (See Hollis v. R. Latoria Construction, Inc. (1985), 108 Ill. 2d 401, 485 N.E.2d 4.) In strict product liability cases, a plaintiffs ordinary negligence does not reduce his compensatory damages, although the plaintiff\u2019s misuse of the product, or his assumption of the risk from using the product, may be considered by the jury in reducing the amount of damages recovered from the defendant. (See Coney v. J.L.G. Industries, Inc. (1983), 97 Ill. 2d 104, 454 N.E.2d 197.) The Mendenhall court concluded that these supreme court decisions did not indicate that comparative fault should be inapplicable when damages are assessed against the willful and wanton defendant. (Mendenhall, 164 Ill. App. 3d at 61.) However, the Burke court determined that these supreme court decisions demonstrated that comparative fault principles should be limited to those instances where the defendant was found liable for negligent, but not willful and wanton, conduct. Burke, 209 Ill. App. 3d at 205-06.\nUnder the facts of the instant cause, we conclude that the trial court properly permitted the jury to consider the plaintiff\u2019s comparative fault, based upon principles of ordinary negligence, as an offset to the compensatory damages awarded for the defendants\u2019 willful and wanton conduct. In light of the hybrid nature of the concept of willful and wanton conduct, and the circumstance that such behavior may not amount to an intentional tort per se, we agree with the court in Mendenhall that \u201cthe fact finder\u2019s ability to prorate the damages between plaintiff and defendant best serves justice and is most consistent with the reasons for comparative negligence.\u201d (164 Ill. App. 3d at 61.) Although we agree with the court\u2019s observation in Burke that there is a distinction in the degrees of culpability associated with ordinary negligence and willful and wanton conduct, we are unable to conclude that this distinction should preclude an equitable apportionment of compensatory damages between the plaintiff and defendants in the case at bar. In addition, as the court noted in Mendenhall, we find that the reasons for limiting application of comparative fault principles in Structural Work Act and strict product liability cases are not present in the instant cause, which involves premises liability. (See Mendenhall, 164 Ill. App. 3d at 59-61, discussing Hollis v. R. Latoria Construction, Inc. (1985), 108 Ill. 2d 401, 485 N.E.2d 4 (comparative fault inapplicable to structural work case), and Coney v. J.L.G. Industries, Inc. (1983), 97 Ill. 2d 104, 454 N;E.2d 197 (misuse and assumption of risk considered damage-reducing factors in strict product liability case).) We cannot say that the reasons underlying the recognition of willful and wanton conduct as a basis for liability in tort are equivalent to the goals that justified the Illinois Supreme Court\u2019s decisions in Hollis and Coney.\nWe note that the jury in the instant cause awarded only compensatory damages, and we express no opinion with respect to whether comparative fault principles apply to a plaintiff\u2019s award for punitive damages. Also, since the case at bar does not involve a defendant found liable for an intentional tort, we do not address the applicability of comparative fault as an offset to the damages assessed against an intentional tortfeasor. In addition, we express no view with regard to whether willful and wanton conduct is governed by the modified comparative fault statute (Ill. Rev. Stat. 1987, ch. 110, par. 2\u20141116 (effective November 26, 1986)) enacted following the Illinois Supreme Court\u2019s decisions in Alvis, Hollis and Coney, since the parties did not present the question to the trial court in this 1988 jury trial, nor do the parties raise the issue in this appeal. We would also note that the applicability of the modified comparative fault statute was not considered by the courts in Mendenhall, Yates, or Burke.\nFor the reasons stated, the judgment of the circuit court of Cook County is affirmed.\nAffirmed.\nJIGANTI, P.J., and LINN, J., concur.",
        "type": "majority",
        "author": "JUSTICE McMORROW"
      }
    ],
    "attorneys": [
      "French, Rogers, Kezelis & Kominiarek, P.C., of Chicago (James M. Hofert and Russell P. Veldenz, of counsel), for appellants.",
      "Hayes & Power, of Chicago (Terrence J. Lavin, Thomas G. Siracusa, and David A. Novoselsky, of counsel), for appellee."
    ],
    "corrections": "",
    "head_matter": "TERRY DOWNING, Plaintiff-Appellee and Cross-Appellant, v. UNITED AUTO RACING ASSOCIATION et al., Defendants-Appellants and Cross-Appellees (Robert Guess, Defendant).\nFirst District (4th Division)\nNos. 1\u201489\u20140716, 1\u201489\u20140739 cons.\nOpinion filed March 28, 1991.\nFrench, Rogers, Kezelis & Kominiarek, P.C., of Chicago (James M. Hofert and Russell P. Veldenz, of counsel), for appellants.\nHayes & Power, of Chicago (Terrence J. Lavin, Thomas G. Siracusa, and David A. Novoselsky, of counsel), for appellee."
  },
  "file_name": "0877-01",
  "first_page_order": 899,
  "last_page_order": 921
}
