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  "name": "JAMES V. HUNT, JR., Adm'r of the Estates of Shahram Dehnad, Deceased, and Kamyar Arjomand, Deceased, et al., Plaintiffs-Appellants, v. ROBERT BLASIUS et al., Defendants.-(FOSCO FABRICATORS, Defendant-Appellee.)",
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      "JAMES V. HUNT, JR., Adm\u2019r of the Estates of Shahram Dehnad, Deceased, and Kamyar Arjomand, Deceased, et al., Plaintiffs-Appellants, v. ROBERT BLASIUS et al., Defendants.\u2014(FOSCO FABRICATORS, Defendant-Appellee.)"
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      {
        "text": "Mr. JUSTICE WEBBER\ndelivered the opinion of the court:\nThis appeal involves another foray into that only partially-charted terra incognita of the law, known as strict liability in tort.\nOn April 30, 1970, one of plaintiff s decedents was the owner-operator of a motor vehicle proceeding in a southerly direction on Interstate Highway 55 near Normal, Illinois. The other plaintiffs were passengers in the vehicle. An exit sign pole, bearing the legend, \u201cNormal-El Paso Exit,\u201d was located two feet off the shoulder of the highway. It contained over 1100 pounds of steel and was imbedded in concrete. The vehicle left the highway and collided with the pole. The impact killed two of the occupants and seriously injured the other three.\nThe defendant Fosco Fabricators (herein Fosco) was the manufacturer and installer of the pole and sign. Both the manufacture and installation were done in accordance with plans and specifications created and furnished by the State of Illinois with whom Foseo had a contract for such manufacture and installation of the pole in question and others along the particular stretch of Interstate 55. Fosco completed its contract and its work was approved and accepted by the State about 3/2 years before the accident.\nAn original complaint was filed against all defendants and subsequently dismissed as to Blasius, Jeremenc and McDougal-Hartman Company. An amended complaint against Fosco only was then substituted. In it, plaintiffs advance two theories \u2014 negligence in failing to follow modern methods of highway construction, failure to erect \u201cbreak-away\u201d poles, creating an unusually dangerous condition along the highway and otherwise negligently constructing, designing and controlling the pole; and strict liability in designing and installing a pole inconsistent with modern highway construction, designing and installing the pole, anchoring solid steel in concrete within three feet of the roadway, all of which were alleged to be unreasonably dangerous.\nBoth sides moved for summary judgment. The trial court granted Fosco\u2019s motion and ruled that Fosco was an independent contractor and relieved of any liability since the post was not an imminently dangerous object. The trial court noted that its decision would be the same on either theory advanced, negligence or strict liability. This appeal ensued.\nCentral to the disposition of this case are two undisputed facts: (1) that the pole was manufactured and installed according to the design and specifications mandated by the State of Illinois, and (2) that Fosco was neither an employee nor an agent of the State, but simply a bidder on a public contract.\nTurning first to the charge of negligence, the trial court placed reliance on Paul Harris Furniture Co. v. Morse (1956), 10 Ill. 2d 28, 40, 139 N.E.2d 275, 282-83, wherein the supreme court said:\n\u201cThe general rule is that where an independent contractor is employed to construct or install any given work or instrumentality, and has done the same and it has been accepted by the employer and the contractor discharged, he is no longer liable to third persons for injuries received as the result of defective construction or installation. [Citation.] This rule, however, is subject to certain well recognized exceptions whereby a contractor may be held liable even after acceptance of his work by the contractee (1) where the thing dealt with is imminently dangerous in kind, such as explosives, poisonous drugs, and the like, (2) where the subject matter of the contract is to be used for a particular purpose, requiring security for the protection of life, such as a scaffold, and (3) where the thing is rendered dangerous by a defect of which the constructor knows but deceitfully conceals, and which causes an accident when the thing is used for the particular purpose for which it was constructed. [Citations.]\u201d\nHarris was a negligence case and was decided prior to Suvada v. White Motor Co. (1965), 32 Ill. 2d 612, 210 N.E.2d 182. Hence, it is dispositive of the negligence theory in the case at bar, unless the pole can be brought within the \u201cimminently dangerous\u201d exception. There is no contention that the other two exceptions have any application here.\nThe Harris court did not undertake to define the term \u201cimminently dangerous,\u201d but rather used examples of \u201cexplosives, poisonous drugs and the like.\u201d Webster\u2019s New International Dictionary (2d ed. 1941) defined \u201cimminent\u201d as \u201cthreatening to occur immediately.\u201d Webster\u2019s Dictionary of Synonyms (1st ed.) lists as analogous words: \u201cinevitable, ineluctable, inescapable, unavoidable.\u201d\nIt may therefore be deducted that \u201cimminently dangerous\u201d means that the danger exists in the very nature and purpose of the product. Tested by these standards, we do not believe that the pole was imminently dangerous.\nPlaintiffs cite Kinsch v. Di Vito Construction Co. (1964), 54 Ill. App. 2d 149, 203 N.E.2d 621, for the \u201cimminently dangerous\u201d doctrine. Kinsch is distinguishable. There a contractor had removed a concrete head wall and placed it on the shoulder of the road in order to construct a sewer. The court noted that drivers must occasionally use the shoulder in emergencies and other situations. In the case at bar, the pole was more than two feet off the shoulder in an area where no traffic would be expected. Furthermore, the accident in Kinsch occurred during the course of construction, not more than three years later as in the case at bar.\nPlaintiffs place further reliance on Watts v. Bacon & Van Buskirk Glass Co. (1959), 18 Ill. 2d 226, 163 N.E.2d 425. In that case the plaintiff was injured when a glass door shattered. The trial court directed verdicts of not guilty for the owners of the store and the glass company which furnished the door. The jury found the tenant not guilty. Appeal was taken only as to the owner and the glass company. The appellate court reversed as to the owner but affirmed as to the glass company. The supreme court affirmed the appellate court, which pointed out:\n\u201cThe testimony establishes that it was possible that the difference between plate and tempered glass was explained to Greenman [the owner]; that the difference in price was discussed; and that Greenman was told that plate glass was cheaper.\nGreenman wanted an inexpensive door and ordinary plate glass of M inch thickness was used with his approval and agreement.\u201d 18 Ill. 2d 226, 229, 163 N.E.2d 425, 427.\nWatts thus follows the doctrine of Harris by relieving the independent contractor of liability in negligence and placing the blame on the originally responsible party, the owner who had specified and chosen the particular type of glass. It does not support plaintiffs\u2019 theory and in truth is favorable to defendant.\nAn analogy may be found in Cunis v. Brennan (1974), 56 Ill. 2d 372, 308 N.E.2d 617, and Mieher v. Brown (1973), 54 Ill. 2d 539, 301 N.E.2d 307. In those cases the supreme court held as a matter of law that unreasonable dangers and unreasonable risks of injury were not created under the facts of each, and thus indicated that such matters are susceptible of being determined as a matter of law rather than of fact. We therefore feel justified in holding as a matter of law that the pole was not imminently dangerous, since it was unlikely that the accident would occur.\nWe conclude that the trial court was correct in rendering summary judgment as to the negligence aspect.\nTurning next to the alternative theory of strict liability, we believe a fair reading of plaintiffs\u2019 amended complaint alleges a design defect. We find no contention in the record that the specific pole in question was any different from many others produced under the contract. The trial court indicated this his ruling would be the same on either theory under the authority of Harris. We believe that this may be an over-simplification of the problem.\nAs we view the record, the case presents a question of first impression in Illinois. If applicable governmental standards and specifications are mandatory requirements for sale of the product to that governmental entity and from which a manufacturer cannot deviate, is liability precluded in any respect in which the product complies? We answer in the affirmative.\nOur research has revealed only a few authorities in this area and admittedly none of them is exactly and precisely on all fours with the instant case. However, we find them persuasive.\nThe first of these cases is Littlehale v. E. I. duPont DeNemours & Co. (S.D.N.Y. 1966), 268 F. Supp. 791, aff'd, 380 F.2d 274 (2d Cir. 1967). It started as a negligence action but that theory was abandoned before judgment was reached and the district court, while not expressly stating that it was deciding a strict liability case, made numerous references to such a case and cited much authority in that field. We believe that since negligence, failure to warn, and strict liability are all grown from the same root, Littlehale is persuasive in the strict liability sitution. In that case the defendant had manufactured blasting caps pursuant to a contract with the war department and had fully complied with the department\u2019s specifications. Some 13 years later, plaintiffs, who were civilian employees of the navy department, were injured when the caps detonated. In the course of the proceedings, plaintiffs abandoned their negligence claim and based their cause of action on a failure of the defendant to warn them of the nature of the product. As we have already stated above, the language of the court blurs from failure to warn into strict liability and to some extent intermingles the doctrines, but we still find it persuasive.\nThe court entered summary judgment for the defendant which was affirmed on appeal. At page 802, footnote 16, the court said:\n\u201cIn the \u2018typical\u2019 products liability case, the manufacturer of the product, having the sole decision as to the method and means of manufacture and all other details, is in reason the party to be charged since it is his act or failure to act which was the proximate cause of the accident. The case at bar, however, presents a different picture since here an independent contractor having no discretion or control over production and means of manufacturer is directed to comply with the strict contract requirements and specifications contained therein. It is in that situation that the \u2018independent contractor\u2019 exception is applicable, relieving the independent contractor of liability if he follows plans which are not so glaringly or patently insufficient that an ordinary prudent manufacturer would not follow them.\u201d\nAt page 801 the court said:\n\u201cIn considering the applicable law, it is at least helpful to recognize this case for what it is not. It is not a case involving a product manufactured for sale or resale to the general public. It is not a case involving negligence in the manufacture, design or use of materials. It is not a case where the manufacturer had any freedom of choice as to manufacturer, design or use of materials. It is not a case where evidence has been submitted upon which foreseeability of the particular use involved herein could be predicated. It is not a case involving a product such as a heating brick, paint, agricultural or horticultural germicide or similar product, or other material which, while inherently dangerous in connection with certain use, is not generally known to be so # \u00b0 \u00b0. We are not, as suggested by plaintiffs, dealing with a contract by which both parties to that contract are attempting to relieve themselves of all liability arising out of the use of such product by third parties \u00b0 \u00b0 \u00b0. The sole question is the liability of defendant herein, not the liability of the Government, or others not parties hereto.\u201d\nWe concur in the court\u2019s reasoning, especially in that a manufacturer\u2019s acts in accordance with plans and specifications of another are to be tested by a different standard from those of a manufacturer who has sole discretion over the manner in which the product is produced. In Illinois, Suvada made clear that all persons in the chain of distribution from the manufacturer on down have potential liability, but Suvada was concerned with products designed and sole for use by the general public and not for use by a governmental entity and to its specifications.\nLittlehale was followed in Sanner v. Ford Motor Co. (1976), 144 N.J. Super. 1, 364 A.2d 43. In that case plaintiff sued Ford for a design defect, specifically, failure to include seat belts in jeeps manufactured by Ford for the U.S. Army. The specifications excluded seat belts in order that riders in a jeep might dismount more quickly and expeditiously. Summary judgment for Ford was granted by the New Jersey court which said:\n\u201cThe defect alleged in this cause of action is the failure of Ford to install a seat belt and roll bar in the jeep. This was not an intentional omission by Ford; rather, seat belts and roll bars were omitted at the specific insistence of the United States Army. Ford complied strictly with the design specifications provided for it by the Army and the omission of the seat belts and roll bars was a requirement imposed by the government\u2019s Invitation Bid and Award Contract. It was the Army that exercised its discretion to omit the seat belts from the design and manufacture of the jeep.\u201d 144 N.J.Super. 1, 7, 364 A.2d 43, 46.\nThe court then went on to cite with approval Littlehale, together with Ryan v. Feeney & Sheehan Building Co. (1924), 239 N.Y. 43, 145 N.E. 321; Person v. Cauldwell-Wingate Co. (2d Cir. 1951), 187 F.2d 832, cert. denied (1951), 341 U.S. 936, 95 L. Ed. 1364, 71 S. Ct. 855; and Davis v. Henderlong Lumber Co. (N.D. Ind. 1963), 221 F. Supp. 129.\nOther courts have gone so far as to preclude liability in the absence of governmental specifications. (See, e.g., Spangler v. Kranco, Inc. (4th Cir. 1973), 481 F.2d 373.) Since the matter is not before us, we make no judgment on the question of private specifications.\nA government contract must of necessity be different in nature from private undertakings. Nearly all government purchases and contracts are taken by open bidding; necessity exists to obtain the widest possible field of bidders in order to preserve tax revenues. Should bidders feel apprehensive that they might be sued for following specifications, either of two untoward results could ensue: (1) There would be no bids, or (2) bids would be inflated to take care of any potential liability. Public policy dictates that bidders who comply strictly with governmental specifications should be shielded from liability in any respect in which the product complies.\nWe desire to make plain what we are not deciding. A considerable body of law has grown up concerning a violation by a manufacturer of statutes or rules of governmental agencies. These cases revolve around common items, not made to specification. The prevailing rule is stated in section 288C of the Restatement (Second) of Torts (1965) as follows:\n\u201cCompliance with a legislative enactment or an administrative regulation does not prevent a finding of negligence where a reasonable man would take additional precautions.\u201d\nLikewise, a general statement is contained in the Consumer Product Safety Act, 15 U.S.C. \u00a72074(a) (Supp. III 1973):\n\u201cCompliance with consumer product safety rules or other rules or orders under this chapter shall not relieve any person from liability at common law or under State statutory law to any other person.\u201d\nWe make no judgment in these cases which are not before us. Our decision is limited to products sui generis, manufactured strictly in accordance with specifications laid down by governmental authority.\nWe find an analogy to our decision in the recent case of Liberty Mutual Insurance Co. v. Williams Machine & Tool Co. (1975), 62 Ill. 2d 77, 338 N.E.2d 857. While the decision was primarily concerned with questions of indemnity and its main thrust was to eliminate negligence as an element in indemnity actions growing out of strict liability, the court quoted with approval 2 L. Frumer and M. Friedman, Products Liability \u00a716A(4)(b)(i), as follows:\n\u201c * * It is a liability based upon the placing into commerce of a product which, if defective, is likely to be unreasonably dangerous under normal use. There is, therefore, no reason why the responsibility should not trace back to the originally responsible party. \u2022 \u2022 \u201d (Emphasis added.) 62 Ill. 2d 77, 82, 338 N.E.2d 857, 860.\nIn the case at bar, the \u201coriginally responsible party\u201d is the State of Illinois. Fosco was at best only a conduit.\nA further analogy is found in another recent case, Winnett v. Winnett (1974), 57 Ill. 2d 7, 310 N.E.2d 1. In Winnett, the supreme court introduced the concept of status into products liability litigation. Admittedly, it was the status of the plaintiff in issue and it reflects the \u201corbit of danger\u201d notion found in Littlehale, but no logical reason exists why the status of the defendant should not also be an element to be reckoned with in products litigation. Status, i.e., independent contractor, was clearly an issue in the negligence cases (see Harris) and while it is now settled that strict liability and negligence are different torts and are based on different concepts of fault, the \u201cwho\u201d elements are common to each. It is the \u201cwhat\u201d elements that differ.\nAs we have heretofore stated, not all independent contractors are insulated from liability in products cases, any more than all four-year-olds will be denied recovery in all types of cases under the doctrine of Winnett, but it is a factor to be considered and in the case at bar is conclusive.\nThe decision of the trial court is affirmed.\nAffirmed.\nGREEN, P. J., and REARDON, J., concur.",
        "type": "majority",
        "author": "Mr. JUSTICE WEBBER"
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    "attorneys": [
      "Costigan & Wollrab, of Bloomington, and Rolland H. Stimson, of Chicago (William F. Costigan and James T. Finegan, of counsel), for appellants.",
      "Livingston, Barger, Brandt, Slater and Schroeder, of Bloomington (Thomas M. Barger, III, of counsel), for appellee."
    ],
    "corrections": "",
    "head_matter": "JAMES V. HUNT, JR., Adm\u2019r of the Estates of Shahram Dehnad, Deceased, and Kamyar Arjomand, Deceased, et al., Plaintiffs-Appellants, v. ROBERT BLASIUS et al., Defendants.\u2014(FOSCO FABRICATORS, Defendant-Appellee.)\nFourth District\nNo. 14069\nOpinion filed December 12, 1977.\nCostigan & Wollrab, of Bloomington, and Rolland H. Stimson, of Chicago (William F. Costigan and James T. Finegan, of counsel), for appellants.\nLivingston, Barger, Brandt, Slater and Schroeder, of Bloomington (Thomas M. Barger, III, of counsel), for appellee."
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