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2019

Huskins v. Tapley

2019 IL App (4th) 190292-U
UNPUBLISHED OPINION. CHECK COURT RULES BEFORE CITING.
Appellate Court of Illinois, Fourth District.
CHAD HUSKINS, Plaintiff-Appellant,
v.
GRAMM B. TAPLEY and KANDAS R. PARM, Defendants-Appellees.
NO. 4-19-0292
|
December 12, 2019
Appeal from the Circuit Court of Champaign County No. 17L79
Honorable Brett N. Olmstead, Judge Presiding.

ORDER
JUSTICE DeARMOND delivered the judgment of the court.
*1 ¶ 1 Held: The appellate court affirmed, finding the trial court did not abuse its discretion in determining plaintiff failed to exercise reasonable diligence in serving defendant. The appellate court further denied plaintiff’s request to certify a question for the Illinois Supreme Court’s review, finding the request unwarranted at this time.

¶ 2 In February 2019, the trial court dismissed plaintiff Chad Huskins’s claims against defendant Gramm B. Tapley pursuant to Illinois Supreme Court Rule 103(b) (eff. July 1, 2007) for failing to exercise reasonable diligence in obtaining service. Huskins filed a motion to reconsider, which the court denied.

¶ 3 On appeal, Huskins argues the trial court erred in granting the motion to dismiss, claiming (1) he exercised reasonable diligence in serving Tapley and (2) the circuit clerk’s docketing error and subsequent correction prejudiced him because it either constituted an unauthorized nunc pro tunc order or was made without notification to the parties and resulted in the delay in serving Tapley. Huskins also argues this court should certify a question to the Illinois Supreme Court regarding whether Illinois public policy favoring adjudication of controversies on the merits is inapplicable in determining the exercise of reasonable diligence under Rule 103(b). We affirm the trial court’s judgment and deny Huskins’s request for certification.

¶ 4 I. BACKGROUND
¶ 5 On May 24, 2017, Huskins filed a complaint seeking to recover damages from defendants Tapley and Kandas R. Parm in connection with a June 19, 2015, auto accident. In conjunction with the complaint, Huskins requested the Champaign County circuit clerk issue summonses for both defendants. On May 26, 2017, summonses were issued and Huskins arranged for the Champaign County Sheriff’s Office to serve Tapley. Separate arrangements were made to serve Parm, who is a Kentucky resident.

¶ 6 On June 7 or 8, 2017, a deputy from the sheriff’s office attempted to serve Tapley at the Urbana, Illinois, address provided on the summons. The deputy was unable to complete service because Tapley had moved to Savoy, Illinois, in June 2015. The deputy promptly completed a service of process affidavit, stating Tapley had not been served because the address on the summons was “not [a] good address” and was the “wrong address.” The unserved summons and affidavit were filed with the clerk’s office on June 8, 2017. Although Tapley had not been served, the county clerk inadvertently entered a notation on the court’s electronic docket showing service on June 8, 2017. The notation was not corrected until July 13, 2017, when new entries indicated the June 8 clerk’s entry was in error and was then corrected to reflect a lack of service.

¶ 7 Sometime between June 8, 2017, and July 13, 2017, Huskins’s attorney and a legal assistant for Huskins’s attorney viewed the electronic court docket to determine whether Tapley had been served. After seeing the original notation and believing service had been obtained, Huskins’s attorney said he noted in his file that service had been completed. No one from the attorney’s office contacted the sheriff’s office, checked the actual court file, or obtained a copy of the proof of service to confirm Tapley had been served.

*2 ¶ 8 Huskins’s attorney did not discover the corrected entry or realize Tapley had not been served until late April 2018, when a legal assistant brought it to his attention. Once he realized the mistake, he took steps to serve Tapley by requesting the issuance of an alias summons in May 2018. However, because the alias summons contained the same incorrect address used in the first summons, service on Tapley could not be completed. At the same time, Huskins’s attorney also obtained an alias summons for Parm, who likewise had not yet been served.

¶ 9 In August 2018, Huskins sought to serve Tapley and Parm through alternative means, stating in the motion for alternative service it was his reasonable belief both defendants had taken “extreme measures to evade service.” Before the court heard Huskins’s motion, a “skip trace” conducted at Huskins’s request found Tapley’s Savoy, Illinois, address. As a result, in September 2018, the court granted Huskins leave to serve Tapley at the Savoy address through a second alias summons. The second alias summons was issued on September 12, 2018, and Tapley was served on September 14, 2018. The court also allowed Huskins to serve Parm through the Secretary of State.

¶ 10 After being served, Tapley filed a motion to dismiss the complaint against him with prejudice pursuant to Illinois Supreme Court Rule 103(b) (eff. July 1, 2007). Tapley asserted Huskins failed to “exercise reasonable diligence in obtaining service.” Tapley contended he was moving from the Myra Ridge address on the date of the accident and had lived at the Savoy address for the intervening two years. Tapley also contended, after the complaint was filed in May 2017, the docket reflected no further activity in the case until the first alias summons was issued in May 2018, and it took Huskins over a year to effectuate service. Tapley also stated he was unaware of the lawsuit prior to being served and argued his address was easily discoverable since he had maintained the Savoy address as his permanent address since June 2015, reported the Savoy address to the Secretary of State, and used the Savoy address for the traffic proceedings resulting from the accident in Douglas County, Illinois (case No. 2015-TR-959). At the hearing on the motion, Tapley also indicated Huskins was not reasonably diligent because, instead of relying solely on the electronic public record to confirm service, he should have either contacted the sheriff’s office or reviewed the court file to obtain a copy of the affidavit of service.

¶ 11 In his response, Huskins asserted he had acted with reasonable diligence in serving Tapley, as any delay was caused by the clerk’s error, and mere inadvertence on his part did not warrant dismissal. Additionally, counsel indicated, once he knew of the correction to the erroneous docket entry, he acted quickly and served Tapley within five months of discovering the problem. At the hearing on the motion, Huskins also indicated he had actively attempted to serve Parm during the delay, rather than doing nothing to advance the case. After hearing the arguments of counsel, the trial court took the matter under advisement.

¶ 12 On February 7, 2019, the trial court entered a written order granting Tapley’s motion to dismiss. The court found, after considering the facts and law at issue, Huskins had not been reasonably diligent in obtaining service. Although the court recognized Huskins “reasonably could rely on the mistaken docket entry for a time,” Huskins failed to exercise reasonable diligence because he “stopped paying attention to this matter for months after the mistake was corrected,” causing an “excessive delay before [Tapley] was served in this case.” The court reached this conclusion by considering the factors provided by our supreme court in Womick v. Jackson County Nursing Home, 137 Ill. 2d 371, 377, 561 N.E.2d 25, 27 (1990), which states:
*3 “Thus, while actual notice or knowledge of the pendency of a suit or the lack of prejudice to the defendant are significant in that they may affect the judge’s determination as to whether the plaintiff was diligent, they are but two factors to be considered by the court in making that determination. Other factors include: (1) the length of time used to obtain service of process; (2) the activities of the plaintiff; (3) plaintiff’s knowledge of the defendant’s location; (4) the ease with which the defendant’s whereabouts could have been ascertained; (5) special circumstances which would affect plaintiff’s efforts; and (6) actual service on the defendant [citation], and all of these factors are to be considered with a view toward fulfilling the constitutional mandate of rendering justice fairly and promptly [citation].”

¶ 13 Specifically, the trial court noted the complaint was filed less than a month before the statute of limitations was to expire, the result of which was “almost all of Plaintiff’s actions in pursuing and not pursuing service occurred after the limitations period expired.” The court observed it took Huskins’s attorney 16 months from the point the complaint was filed to eventually effectuate service on Tapley. While the court recognized the error in the docket as a special circumstance affecting service and considered Huskins’s activities and reliance on the docket reasonable until at least July 13, 2017, it found Huskins had still done nothing from that point until late April 2018 to either “effect service, or to prosecute his lawsuit.” The court also considered Huskins’s attempt to serve the first alias summons “unreasonably misdirected” and causing “a further unreasonable delay,” since Huskins used the same incorrect address from the first summons, in spite of the fact the affidavit filed with the clerk, along with the unserved summons, should have alerted Huskins to the fact Tapley’s address had changed. The court noted further how Tapley’s address was easily obtainable from his driver’s license and the court record of the traffic case resulting from the accident. The court expressly commented on counsel’s assertion in the motion for alternative service filed August 29, 2018, alleging he “reasonably believed” Tapley was “taking extreme measures to evade service and withhold his identity,” describing it as “an uninformed and unsupported assumption” further evidencing a lack of reasonable efforts. Additionally, the court noted, “Tapley had no knowledge of the pending lawsuit until he was served on September 14, 2018, more than three years after the collision and almost 15 months after the limitations period expired.”

¶ 14 Huskins’s motion to reconsider argued the trial court erred in dismissing the claims against Tapley pursuant to Rule 103(b) for three reasons: (1) he had made reasonable efforts to serve Tapley sufficient to preclude finding he was attempting to subvert the statute of limitations; (2) Illinois case law did not support a dismissal with prejudice under Rule 103(b) for “mere inadvertence”; and (3) special circumstances precluded a dismissal with prejudice where Tapley was not prejudiced by the delay in service. Huskins acknowledged there had been some delay in serving Tapley, but he asserted the delay was unintentional and, therefore, did not fall within the primary purpose of Rule 103(b), which was to prevent intentional delays in service designed to purposely circumvent the statute of limitations. He also referenced cases where, after even longer delays, dismissals associated with inadvertent behavior were considered inappropriate, contending the trial court’s dismissal was not in line with Illinois case authority. Lastly, Huskins contended his inadvertent, but understandable reliance on the electronic docket entry by the clerk, was a special circumstance justifying the delay.

*4 ¶ 15 Tapley’s response to the motion again pointed to the delay between the date of the erroneous docket entry on June 8, 2017, and Huskins’s claimed date of discovery of the error in late April 2018, where there was no other action taken to prosecute the case, even though Huskins would have mistakenly believed he had personal jurisdiction of Tapley. He also took exception to the representation by Huskins that he (Tapley) was “taking extreme measures to evade service and withhold his identity” in the motion for alternate service when it was merely a matter of Huskins ignoring the information available from the sheriff’s department and the affidavit of non-service. Tapley contended this was further evidence of Huskins’s lack of diligence.

¶ 16 During the hearing on the motion to reconsider, counsel for both parties agreed on the factual findings made in the trial court’s February 2019 order. The court, providing further explanation for its ruling, distinguished Aranda v. Hobart Manufacturing Corp., 66 Ill. 2d 616, 363 N.E.2d 796 (1977), cited by Huskins, from the present case because the facts were significantly different. Although there was a long delay in Aranda, the first attempt at service occurred under a complaint the plaintiff voluntarily dismissed and, while still within the statute of limitations period, service was quickly effectuated after the filing of a second lawsuit. The court also considered Brezinski v. Vohra, 258 Ill. App. 3d 702, 631 N.E.2d 345 (1994), also cited by Huskins, distinguishable from this case, since, despite a delay in service of the defendant lasting nearly two years, the plaintiff had a reason for the delay, and during the delay the plaintiff was actively litigating the case against the codefendants. The court reemphasized that Huskins’s reliance on the erroneous docket was only reasonable for a short period of time and the error did not fully explain the extensive delay. Citing Christian v. Lincoln Automotive Co., 403 Ill. App. 3d 1038, 934 N.E.2d 1065 (2010), the trial court found reasonable diligence was the standard applicable to the facts at issue. After considering the parties’ arguments, the court reaffirmed its prior order and denied Huskins’s motion to reconsider.

¶ 17 This appeal followed.

¶ 18 II. ANALYSIS

¶ 19 A. Appellee’s Brief
¶ 20 Before addressing the merits of the case, we first turn to Huskins’s contention that Tapley’s brief fails to comply with Illinois Supreme Court Rule 341 (eff. May 25, 2018). Specifically, Huskins argues Tapley’s brief is deficient because he does not cite to the record in either his statement of facts or argument section and both contain erroneous facts. As a result, Huskins requests this court either strike or disregard the offending portions of the brief or the brief in its entirety.

¶ 21 Under Illinois Supreme Court Rule 341(i) (eff. May 25, 2018), an appellee’s brief “shall conform” to the requirements prescribed under Illinois Supreme Court Rule 341(h) (eff. May 25, 2018), except such brief need not include an introductory paragraph regarding the nature of the case, a statement of the issues presented, a statement of jurisdiction, a section for “Statutes Involved,” a statement of facts, or an appendix. Ill. S. Ct. R. 341(i) (eff. May 25, 2018). However, these sections may be included when “the presentation by the appellant is deemed unsatisfactory.” Ill. S. Ct. R. 341(i) (eff. May 25, 2018). Where a statement of facts is included, it “shall contain the facts necessary to an understanding of the case, stated accurately and fairly without argument or comment, and with appropriate reference to the pages of the record on appeal ***.” Ill. S. Ct. R. 341(h) (eff. May 25, 2018); see also Hurlbert v. Brewer, 386 Ill. App. 3d 1096, 1100, 899 N.E.2d 582, 586 (2008) (“While an appellee is not required to submit a statement of facts (see 210 Ill. 2d R. 341(i)), if he elects to do so, he must also comply with Rule 341(h)(6).”). “This court may strike a statement of facts when the improprieties hinder our review.” Hall v. Naper Gold Hospitality LLC, 2012 IL App (2d) 111151, ¶ 9, 969 N.E.2d 930. Further, the appellant’s brief must include an “[a]rgument [section], which shall contain the contentions of the appellant and the reasons therefor, with citation of the authorities and the pages of the record relied on.” Ill. S. Ct. R. 341(h)(7) (eff. May 25, 2018). “ ‘The failure to provide proper citations to the record is a violation of Rule 341(h)(7), the consequence of which is the forfeiture of the argument.’ [Citation.]” Enbridge Pipeline (Illinois), LLC v. Hoke, 2019 IL App (4th) 150544-B, ¶ 43, 123 N.E.3d 1271.

*5 ¶ 22 Illinois Supreme Court Rules 341(h)(6) and (7) require citations to the record because “it is not our duty to search the record for material upon which to base a reversal *** [citation].” Farwell Construction Co. v. Ticktin, 84 Ill. App. 3d 791, 802, 405 N.E.2d 1051, 1060 (1980). However, where “the record is short and the issues are simple,” the appellate court may choose to “address the issues anyway.” People v. Johnson, 192 Ill. 2d 202, 206, 735 N.E.2d 577, 580 (2000). Similarly, even when a party’s brief does not in some respects strictly adhere to the supreme court rules, where the appellate court finds the flaws were not “so serious as to interfere with [the appellate court’s] ability to understand and adjudicate [the] case,” the court may address the issue presented. State Farm Mutual Automobile Insurance Co. v. Burke, 2016 IL App (2d) 150462, ¶ 22, 51 N.E.3d 1082. Additionally, “[w]here violations of supreme court rules are not so flagrant as to hinder or preclude review,” the court is not required to strike any noncompliant portion of the brief. Merrifield v. Illinois State Police Merit Board, 294 Ill. App. 3d 520, 527, 691 N.E.2d 191, 197 (1997). Instead, the court must “disregard any fact or claim not supported by the record.” Hurlbert, 386 Ill. App. 3d at 1101.

¶ 23 In this case, Tapley’s brief does not comply with Rules 341(h)(6), 341(h)(7), or 341(i). As Huskins notes, Tapley’s argument section makes no reference to the record. Although Tapley’s statement of facts attempts to cite to the record by referencing his appendix, which consists of documents reproduced from the record, the rules unambiguously require citations to the record, making him noncompliant with Rule 341(h)(6). However, the record overall is brief, and Tapley’s violations of the supreme court rules have not interfered with our ability to review the case or understand his arguments. In addressing Huskins’s arguments, we reviewed the record as a whole and Tapley’s arguments are simple and clear. It is evident Tapley does not consider the clerk’s erroneous notation, which is a fact fundamental to this case, a nunc pro tunc order, and he agrees with the trial court’s use of Christian and its application of the factors as stated in Womick. Additionally, at the hearing for the motion to reconsider, Huskins agreed the facts stated by the trial court in its February 2019 order were accurate and not in dispute. The facts relied on by Tapley correspond to the trial court’s recitation. To the extent his statement of facts includes any legal conclusions, those will be disregarded. See Hall, 2012 IL App (2d) 111151, ¶ 12 (“Mere contentions, without argument or citation to authority, do not merit consideration on appeal.”). Further, as Huskins acknowledges, Tapley’s arguments are essentially consistent with those already within and supported by the record. Accordingly, we will not strike Tapley’s brief or any portion thereof, but we will disregard any fact or claim not supported by the record.

¶ 24 B. Clerical Error
¶ 25 Huskins argues the trial court’s decision should be reversed because the circuit clerk’s corrective docket entry was an unauthorized nunc pro tunc order, of which he was never made aware, and these errors resulted in the dismissal of a valid claim. Alternatively, Huskins contends, regardless of whether the corrective entry constitutes a nunc pro tunc order, reversal is warranted because the failure to notify him about the docketing error did not “adhere to even minimal standards and practices” and resulted in prejudice against him.

¶ 26 These arguments have been forfeited. “An appellant forfeits any arguments he failed to make in the trial court.” People v. Pettis, 2016 IL App (4th) 140469, ¶ 25, 54 N.E.3d 337. Specifically, “[f]orfeiture applies when an issue is not raised in a timely manner. [Citation.] Issues not raised before the trial court are deemed forfeited and may not be raised for the first time on appeal.” Hoke, 2019 IL App (4th) 150544-B, ¶ 38. The result is warranted because a party’s failure to raise an argument in the trial court deprives the “trial court of the opportunity to decide the issue based on that argument. Further, the failure to make an argument deprives the appellate court of an adequate record related to the argument.” Pettis, 2016 IL App (4th) 140469, ¶ 25.

*6 ¶ 27 Here, Huskins failed to raise these arguments with the trial court. We find nothing in the record showing Huskins previously argued or considered the corrective entry a nunc pro tunc order. Additionally, the record contains only two references to the idea the circuit clerk should have notified Huskins about the error. Both references are in the transcript for Huskins’s motion to reconsider and reflect Huskins would have understood the trial court’s reasoning in its February 2019 order if the clerk or someone from the court would have “sent a letter to us or contacted us” about the error or “indicated to us there was actually a change in the record.” Neither reflect an argument, but merely an effort to explain his own inaction. By failing to raise these issues in the trial court, Huskins deprived the trial court of the opportunity to rule on them, and, as a result, Huskins has forfeited review of this issue.

¶ 28 C. Illinois Supreme Court Rule 103(b)
¶ 29 A trial court may dismiss a claim based on a plaintiff’s lack of diligence in securing process of service and “[i]f the plaintiff fails to exercise reasonable diligence to obtain service on a defendant prior to the expiration of the applicable statute of limitations, the action as to that defendant may be dismissed without prejudice.” Ill. S. Ct. R. 103(b) (eff. July 1, 2007). A trial court may dismiss a claim with prejudice “[i]f the failure to exercise reasonable diligence to obtain service on a defendant occurs after the expiration of the applicable statute of limitations ***.” Ill. S. Ct. R. 103(b) (eff. July 1, 2007).

¶ 30 1. Standard of Review
¶ 31 Before addressing the merits of Huskins’s claim, we first clarify our standard of review. Huskins argues we should apply a de novo standard of review, as the issues in this case implicate the construction of Rule 103(b), involve the trial court’s interpretation of case law, and “consist[ ] of application of the law to the undisputed facts.” Tapley argues the abuse of discretion standard applies.

¶ 32 “On the merits of a motion to dismiss under the rule, the disposition is within the sound discretion of the trial court and will not be reversed absent an abuse of discretion.” Hagemann v. Illinois Workers’ Compensation Comm’n, 399 Ill. App. 3d 197, 204, 941 N.E.2d 878, 884 (2010), modified on denial of reh’g (Apr. 30, 2010). “An abuse of discretion occurs only when the trial court’s decision is arbitrary, fanciful, or unreasonable or where no reasonable person would take the view adopted by the trial court.” Seymour v. Collins, 2015 IL 118432, ¶ 41, 39 N.E.3d 961. “It is always an abuse of discretion for a trial court to base a decision on an incorrect view of the law.” A&R Janitorial v. Pepper Construction Co., 2018 IL 123220, ¶ 15, 124 N.E.3d 962.

¶ 33 While it is generally true the de novo standard of review applies to “issues involv[ing] the interpretation of statutes and the application of these interpreted statutes to undisputed facts,” (Central Illinois Light Co. v. Illinois Department of Revenue, 335 Ill. App. 3d 412, 415, 780 N.E.2d 1109, 1111 (2002)), Illinois courts have consistently applied the abuse of discretion standard to review Rule 103(b) dismissals. Lewis v. Dillon, 352 Ill. App. 3d 512, 515, 816 N.E.2d 715, 717 (2004) (applying the abuse of discretion standard of review to a Rule 103(b) dismissal despite finding the trial court “made certain legal conclusions” and the plaintiff’s argument that the de novo standard of review applied to a case “solely [about] the application of law to undisputed facts”); see also Emrikson v. Morfin, 2012 IL App (1st) 111687, ¶¶ 13-14, 977 N.E.2d 1165 (noting “[c]ases subsequent to Lewis have also applied an abuse of discretion standard to review Rule 103(b) dismissals,” and, even though the trial court made conclusions of law, refused to apply the de novo standard of review). As these courts have noted, the abuse of discretion standard is appropriate in cases involving undisputed facts or the interpretation of case law because, for cases involving the application of Rule 103(b), our supreme court has clearly indicated “the trial court’s determination of a plaintiff’s lack of diligence is ‘a fact-intensive inquiry suited to balancing, not bright lines.’ [Citation.]” Lewis, 352 Ill. App. 3d at 515. However, “[w]hen an issue involves construction of the language of Rule 103(b), our review is de novo.” Hagemann, 399 Ill. App. 3d at 204.

*7 ¶ 34 Here, while Rule 103(b) is certainly implicated, contrary to Huskins’s assertion, construction of the rule’s language is not at issue. To any extent construction is required, the plain meaning is clear in that the rule unambiguously requires parties “to exercise reasonable diligence” in serving opposing parties. See Ill. S. Ct. R. 103(b) (eff. July 1, 2007). However, Huskins does not in fact ask us to interpret the meaning of reasonable diligence in the context of the rule. Instead, the heart of his claim involves the trial court’s conclusions of law and application of precedent to the facts of this case. The nature of Huskins’s claim is evident from his identification of the issues, in which he states, “the court should reverse the dismissal because the plaintiff exercised diligence as to time and as to activity under the Brezinski precedent.” In effect, he argues the facts of this case should fall within the meaning of the language of the statute as it was interpreted in Brezinski. This is no different than any argument a party seeks to support by citation of authority in support. It does not ask us to interpret the language of the statute, but instead to apply another court’s interpretation to the facts of this case. As a result, the abuse of discretion standard applies. Accordingly, absent an abuse of discretion in this matter, we will not disturb the trial court’s decision.

¶ 35 2. Reasonable Diligence
¶ 36 Huskins argues the trial court erred in finding he failed to exercise reasonable diligence to obtain service on Tapley as required by Illinois Supreme Court Rule 103(b) (eff. July 1, 2007). Specifically, Huskins contends, given the circuit clerk’s error and the precedent established in Brezinski, he was reasonably diligent as to both the time it took to serve Tapley and his activities in litigating the case. We disagree.

¶ 37 “Rule 103(b) requires a plaintiff to act with reasonable diligence in effecting service of process on a defendant[,]” and the failure to do so requires a dismissal of the plaintiff’s claim. Billerbeck v. Caterpillar Tractor Co., 292 Ill. App. 3d 350, 352, 685 N.E.2d 1018, 1020 (1997). “The purpose of Rule 103(b) is to protect defendants from unnecessary delay in the service of process on them and to prevent the circumvention of the statute of limitations.” Segal v. Sacco, 136 Ill. 2d 282, 286, 555 N.E.2d 719, 720 (1990). This court has also recognized Rule 103(b) was adopted to fulfill a “ ‘historical and constitutional mandate to render justice fairly and promptly[,]’ ” and reasonable diligence “ ‘in serving process is essential to this purpose.’ ” Billerbeck, 292 Ill. App. 3d at 353 (quoting O’Connell v. St. Francis Hospital, 112 Ill. 2d 273, 282, 492 N.E.2d 1322, 1326 (1986); see also Kole v. Brubaker, 325 Ill. App. 3d 944, 953, 759 N.E.2d 129, 136-37 (2001) (“Although controversies should ordinarily be resolved on their merits after both sides have had their day in court, a plaintiff may not complain where the dismissal resulted from [the plaintiff’s] own lack of diligence in effectuating service.”); Deardorff v. Decatur & Macon County Hospital Ass’n, 111 Ill. App. 2d 384, 390, 250 N.E.2d 313, 316 (1969) (“The desirability of resolving lawsuits by a trial on the merits is not aided where either a plaintiff or a defendant, as the case may be, does not show reasonable diligence in bringing about that result.”).

¶ 38 “While prevention of intentional delay in the service of summons was a primary reason for adoption of Rule 103(b) ***, the rule is not based upon the subjective test of plaintiff’s intent but, rather, upon the objective test of reasonable diligence in effecting service.” Parker v. Universal Packaging Corp., 200 Ill. App. 3d 882, 886, 558 N.E.2d 203, 205 (1990). The defendant must first show “the plaintiff failed to exercise reasonable diligence in effectuating service after filing suit.” Kole, 325 Ill. App. 3d at 949. “Once the defendant establishes that the time between the filing of the complaint and the date of service suggests a lack of diligence, the burden then shifts to the plaintiff to provide a satisfactory explanation for the delay in service.” Emrikson, 2012 IL App (1st) 111687, ¶ 17. “In the absence of a satisfactory explanation, the trial court is justified in granting a Rule 103(b) dismissal.” Emrikson, 2012 IL App (1st) 111687, ¶ 17.

*8 ¶ 39 Here, as shown in the record, Huskins filed suit on May 24, 2017, approximately 23 months after the traffic accident, and effectuated service upon Tapley on September 24, 2018, nearly 16 months after filing his complaint. By establishing these facts, Tapley met his initial burden of showing Huskins lacked diligence in serving him. Although Huskins suggests Tapley failed to meet this burden because Huskins served Tapley only five months after discovering the circuit clerk’s error, the trial court did not abuse its discretion. First and foremost, the relevant time period does not begin when Huskins eventually got around to checking on the status of the case. Additionally, “a time period of even five months between the filing of a complaint and subsequent service is sufficient to establish a prima facie showing of failure to diligently effect service.” Emrikson, 2012 IL App (1st) 111687, ¶ 19. As the trial court stated, a 16-month delay “patently suggests a lack of diligence” and Huskins’s reliance on the clerk’s error was reasonable for only so long. Accordingly, the court did not abuse its discretion in finding Tapley met his burden.

¶ 40 It was also not an abuse of discretion for the trial court to find Huskins failed to adequately explain the delay and lacked reasonable diligence in serving Tapley. “It is [the] plaintiff’s burden to demonstrate reasonable diligence,” and the plaintiff must do so “factually, by affidavits in conformance with the rules of evidence.” Mayoral v. Williams, 219 Ill. App. 3d 365, 370, 579 N.E.2d 1196, 1199 (1991). However, Rule 103(b) provides “no specific time limitation” or standards for courts to determine when a plaintiff has acted unreasonably. Case v. Galesburg Cottage Hospital, 227 Ill. 2d 207, 213, 880 N.E.2d 171, 175 (2007). “Rather, a court must consider the passage of time in relation to all the other facts and circumstances of each case individually.” Case, 227 Ill. 2d at 213. Additionally, courts may consider several factors in determining whether the plaintiff acted with reasonable diligence, including:
“(1) the length of time used to obtain service of process; (2) the activities of plaintiff; (3) plaintiff’s knowledge of defendant’s location; (4) the ease with which defendant’s whereabouts could have been ascertained; (5) actual knowledge on the part of the defendant of pendency of the action as a result of ineffective service; (6) special circumstances that would affect plaintiff’s efforts; and (7) actual service on defendant.” Case, 227 Ill. 2d at 212-13. Cf. Womick, 137 Ill. 2d at 377.

¶ 41 Here, the trial court’s application of the factors to the circumstances of this case was reasonable and supported by the record. First, as the trial courted noted, it took 16 months for Huskins to serve Tapley. In recognizing the circuit clerk’s error as a special circumstance contributing to the delay in serving Tapley, the court did not hold the entire 16-month period against him. Instead, when the court considered the delay and special circumstance in conjunction with the other factors, the court simply did not consider Huskins’s reliance on the clerk’s error enough to justify the delay after the error was corrected.

¶ 42 For example, Huskins pointed to no other action or involvement in the case to explain the delay beyond his reliance upon the circuit clerk’s error. The record shows no evidence of any activity occurring in the case from June 2017 until at least late April 2018. The clerk’s incorrect entry cannot support a complete lack of activity during this time, particularly when parties have a duty to ensure service was proper. See Kole, 325 Ill. App. 3d at 953 (“Plaintiff had a nondelegable duty to deliver summons to the sheriff and to ensure that a prompt and proper return was made.”); Schusterman v. Northwestern Medical Faculty Foundation, 195 Ill. App. 3d 632, 639, 552 N.E.2d 1178, 1182 (1990) (“It was the plaintiff’s duty here to have the summonses issued by the clerk and delivered for service by the sheriff or a special process server and to see that a prompt and proper return was made by the process server.”); Penrod v. Sears, Roebuck & Co., 150 Ill. App. 3d 125, 129, 501 N.E.2d 367, 369 (1986) (noting a “party to a lawsuit has a nondelegable duty to take all necessary steps to bring his case to a prompt conclusion[,]” including, but not limited to the “duty to see that a prompt and proper return [of service] was made by the sheriff.”). Here, Huskins did none of those things. He did not check with the clerk’s office to ensure there was a filed copy of the return of service, nor did he make any effort to obtain a copy for his file. He did not seek to determine whether service had been effected on Tapley personally, or merely by abode service on his behalf.

*9 ¶ 43 As the trial court noted, Huskins had received no responsive pleading or answer from Tapley even though, based on Huskins’s mistaken belief, Tapley had been served with a copy of a complaint and summons indicating he had 30 days to respond. This should have been a signal to investigate the status of the matter further or pursue a default judgment before April 2018. Further, he had received no communication from Tapley’s attorney, or the attorney for his insurance carrier or a representative of the insurance company, who might have sought to determine whether a settlement was possible without the need for the carrier’s legal counsel to become involved. Considering the nature of the case, any plaintiff’s attorney involved in this type of litigation would be familiar with the process and how, frequently, counsel for the defendant or his insurance carrier does not get involved in the case until sometime after service and frequently will contact plaintiff’s counsel to see if an extension of time to respond is agreeable. None of these things had occurred in the intervening 10 months from when Huskins was under the impression service had been effected. Although Huskins argues he pursued the case during the delay by attempting to serve Parm, nothing in the record supports this assertion. Instead, an affidavit from Huskins’s attorney states the reason for the delay was the attorney’s lack of knowledge about the clerk’s error. Additionally, after Huskins filed the complaint, there were no further attempts to serve Parm until Huskins requested an alias summons in May 2018, which was the same time he sought an alias summons for Tapley. Without any evidence of activity or litigation in the case for nearly a year, it was reasonable for the court to consider the factors of time and activity as outweighing the effect of the special circumstance caused by the clerk’s error.

¶ 44 Another important factor to the trial court was the actual ease with which Tapley’s whereabouts could have been determined. Huskins initially attempted to serve Tapley at the Urbana address he provided on the accident report nearly two years earlier. At the time of the accident, Tapley was in the process of moving to the Savoy address and, shortly after the accident, started using the Savoy address as his permanent mailing address. As the court’s order reflects, the court did not hold Huskins’s initial reliance on Tapley’s Urbana, Illinois, address against him. However, it considered Huskins’s subsequent use of the address in his first alias summons unreasonable and as a factor contributing to the delay in serving Tapley. See Dupon v. Kaplan, 163 Ill. App. 3d 451, 455, 516 N.E.2d 727, 729 (1987) (stating a plaintiff’s “efforts to obtain service through an alias summons are relevant to the question of reasonable diligence” and finding the plaintiff’s unsuccessful attempts to serve the defendant at the same address “reasonable since there was no indication” the address was incorrect or the defendant could not be located there). Having learned service had not been accomplished, Huskins still did not appear to have sought to examine the actual return filed by the sheriff’s department or contact the sheriff’s office directly to ascertain what problems there had been with attempting service. Had he seen the filed return, he would have found the comments of the deputy and seen the address itself was no good.

¶ 45 The affidavit completed by the sheriff’s deputy clearly shows Tapley did not live at the Urbana address. When Huskins issued the first alias summons, he then had no reason to believe Tapley would be there. Presumably, if Huskins had actually read the return receipt, he would not have attempted service at the Urbana address again. Additionally, the record indicates Tapley’s address was easy to locate. His mailing address had remained the same since June 2015, he had provided the Secretary of State with his changed address, court documents for his traffic violations from the accident included his Savoy address, and Huskins quickly located his address after performing the skip-trace. See Greenwood v. Blondell, 85 Ill. App. 3d. 186, 189, 406 N.E.2d 204, 207 (1980) (noting how the plaintiff’s conduct demonstrated a lack of reasonable diligence, where, among other problems, the defendant lived “at one address for 20 months” after a car accident and “[t]here was no attempt to utilize information from the Post Office or the Secretary of State’s automobile records”). Thus, the court reasonably concluded this factor weighed against Huskins. It did not go unnoticed by the court that Huskins’s attorney signed a motion for alternative service which stated affirmatively, “[defendants] are taking extreme measures to evade service and withhold identity,” when, as it turned out, there was no evidence whatsoever to support such a claim.

¶ 46 The trial court additionally did not abuse its discretion in determining Tapley had no knowledge about the lawsuit or weighing this factor against Huskins. While Tapley certainly knew about the 2015 accident prior to actually being served, nothing in the record shows he knew Huskins sued him. Further, the facts of the accident, from what can be gleaned from the record, are not such that it would necessarily be evident to Tapley he would be sued by Huskins. Huskins was driving a semi-tractor trailer truck which was struck by a 2006 Mazda Tribute, after the Mazda was struck by Tapley’s vehicle, a 2005 Ford Taurus. All vehicles were traveling in the same direction on an interstate highway and there are no specifics about the nature or extent of injuries or damage to Huskins or the semi.

*10 ¶ 47 However, Huskins argues, regardless of what Tapley knew, the dismissal is not warranted because the prejudice to Tapley by allowing the lawsuit to proceed was less than the prejudice to Huskins by dismissal. This argument misconstrues the nature of the court’s factor-based analysis and the purpose of Rule 103(b). “[T]he presence of actual knowledge and the absence of prejudice do not require this court to find reasonable diligence.” Billerbeck, 292 Ill. App. 3d at 354. They are among two factors a court may consider, and dismissal may still be appropriate when the plaintiff’s behavior otherwise lacks diligence. Womick, 137 Ill. 2d at 377, 381. The level of prejudice, by itself, does not eliminate consideration of the additional circumstances of the case or other factors a court is to consider. It is not as if, once Huskins claims prejudice, the other factors have no weight or merit. To the contrary, since, as noted above, Rule 103(b) was implemented to ensure prompt and fair justice, it was reasonable for the court to recognize Tapley had no expectation of being sued one year after the the statute of limitations expired. Further, having no such expectation, Tapley may not have kept or maintained any documents or other records potentially relevent to the case, nor would he know whether the vehicles or conditions of the vehicles at or shortly after the accident would have been documented or maintained. Accordingly, since Tapley could experience some level of prejudice by having to defend a claim so long after the occurence, the trial court reasonably weighed this factor against Huskins.

¶ 48 Given the 16-month delay between the time Huskins filed the complaint and served Tapley, the situation caused by the circuit clerk’s error, the overall lack of activity in the case, the inexplicable issuance of an alias summons to the same address where Tapley no longer lived, and the potential prejudice to Tapley in allowing Huskins to pursue the lawsuit, the trial court reasonably concluded these factors suggested a lack of diligence that Huskins failed to satisfactorily explain. Having concluded Huskins failed to meet his burden, the trial court did not abuse its discretion.

¶ 49 Huskins also argued the trial court erred in distinguishing this case from Brezinski because his attorney demonstrated more diligence than the attorney in Brezinski. We disagree.

¶ 50 In Brezinski, although it took the plaintiff approximately 22 months from the day the complaint was filed to serve the defendant, the court found the trial court abused its discretion in finding the plaintiff lacked diligence in serving the defendant. Brezinski, 258 Ill. App. 3d at 704-05. As the court noted, “the overall period of time is but one factor to consider in determining whether an action should be dismissed for lack of diligence.” Brezinski, 258 Ill. App. 3d at 705. Instead, the plaintiff’s actions within that time period were far more significant. See Brezinski, 258 Ill. App. 3d at 704-05. For example, during the first 10 months after the plaintiff filed the complaint, he also made “[a]n immediate attempt to obtain service” on the defendant and issued two alias summonses to serve the defendant at his office, which the court considered reasonable “because there was no indication that this was not a correct address ***.” Brezinski, 258 Ill. App. 3d at 705. At the same time, the plaintiff had also responded to six motions to dismiss from other defendants, which showed the “plaintiff was not idly ignoring his case.” Brezinski, 258 Ill. App. 3d at 705. The court also considered the departure of an associate attorney from the law firm handling the plaintiff’s case a condition contributing to the delay in serving the defendant. Brezinski, 258 Ill. App. 3d at 705. All these circumstances led the court to conclude the plaintiff’s “failure to serve was inadvertent and not an attempt to circumvent the statute of limitations.” Brezinski, 258 Ill. App. 3d at 705.

¶ 51 Huskins would have this court look to the overall time period and the clerk’s error, consider these circumstances as the only factors at work, and then, in comparing the case to Brezinski, find reasonable diligence. However, as the appellate court in Brezinski and the trial court here recognized, there are other factors at work and all the relevant circumstances need consideration. This is how the trial court proceeded. Although the trial court recognized the length of the time gap as similar to Brezinski, consideration of the other aspects of the case caused it to find Huskins’s activities during the gap distinguishable. Unlike Brezinski, where the plaintiff’s attorney had not remained idle by making service attempts to viable addresses and litigating other aspects of the case, the court determined “literally nothing” happened in this case from at least July 2017 until April 2018. Even with the clerk’s error, the court found nothing reasonably explained the delay or Huskins’s lack of activity in the case. The court also noted the next point of activity occurred when an alias summons was issued to Tapley using the same incorrect address, which Huskins should have known would not result in service. The record supports the trial court’s findings and distinctions. As a result, it was reasonable to conclude Huskins’s behavior amounted to more than a mere inadvertence and instead constituted a lack of diligence. Accordingly, Huskins failed to prove the court abused its discretion.

¶ 52 D. Certification to the Illinois Supreme Court
*11 ¶ 53 Huskins also asks this court to grant a certification of importance under Illinois Supreme Court Rule 316 (eff. July 1, 2017), arguing, contrary to Christian, 403 Ill. App. 3d 1038, Illinois’s public policy favoring adjudication of controversies on the merits should be a factor in determining whether a party exercised reasonable diligence in obtaining service. We decline to do so.

¶ 54 Under Illinois Supreme Court Rule 316 (eff. July 1, 2017), an appellate court may certify questions of appropriate importance to the supreme court for its review. It is a power appellate courts should use “very sparingly.” Watson v. J.C. Penney Co., 237 Ill. App. 3d 976, 980, 605 N.E.2d 723, 726 (1992). A party may make an application for a certificate of importance within a petition for rehearing or “by filing a petition *** with the clerk of the Appellate Court within 35 days after the entry of the judgment appealed from if no petition for rehearing is filed ***.” Ill. S. Ct. R. 316 (eff. July 1, 2017). “As such, Rule 316 provides that a party should seek certification after this court renders an opinion on the merits adverse to that party, and certification should be requested either in a petition for rehearing or in a separate petition, but not in the initial appellate brief ***.” Clark v. Illinois State Board of Elections, 2014 IL App (1st) 141937, ¶ 32, 17 N.E.3d 771.

¶ 55 In this case, Huskins has requested we certify a question to the supreme court only through his initial appellate brief. Since Huskins has not followed the procedures required by Rule 316 in making his request, we deny certification at this time.

¶ 56 Lastly, although we do so reluctantly, we would be remiss if we did not mention the unnecessarily disparaging comments contained in Huskins’s reply brief. We refer counsel to the language of In re Marriage of Milovich, 105 Ill. App. 3d 596, 599, 434 N.E.2d 811, 814 (1982):
“We emphasize that we disregard irrelevant and inflammatory material in reaching our determination of the issues presented. Nevertheless, some of the comments and argument in appellant’s brief are inaccurate, highly improper and far exceed the bounds of zealous advocacy. We express our disapproval to remind counsel that the first purpose of the appellate brief is to inform the court of the facts, objectively, and then to persuade the court of a particular application of the law to the facts.”
There was no useful purpose served by the language and tone of Huskins’s reply, and counsel does a disservice to himself and the art of thoughtful legal advocacy in the process.

¶ 57 III. CONCLUSION
¶ 58 For the reasons stated, we affirm the trial court’s judgment.

¶ 59 Affirmed.

Justices Turner and Harris concurred in the judgment.
All Citations
Not Reported in N.E. Rptr., 2019 IL App (4th) 190292-U, 2019 WL 6825948

Griad v. EQ Detroit, Inc.

2019 WL 6888648

UNPUBLISHED OPINION. CHECK COURT RULES BEFORE CITING.
If this opinion indicates that it is “FOR PUBLICATION,” it is subject to revision until final publication in the Michigan Appeals Reports.
UNPUBLISHED
Court of Appeals of Michigan.
VASILIOS GRIAS, Plaintiff-Appellant,
v.
EQ DETROIT, INC., Defendant-Appellee.
No. 344699
|
December 17, 2019
Wayne Circuit Court
LC No. 16-012944-NO
Before: BECKERING, P.J., and BORRELLO and M. J. KELLY, JJ.
Opinion

PER CURIAM.

*1 In this premises liability action, plaintiff appeals by delayed leave granted1 the trial court’s order granting defendant’s2 motion for summary disposition under MCR 2.116(C)(10) and dismissing plaintiff’s claims with prejudice. For the reasons set forth in this opinion, we reverse.

I. BACKGROUND
This appeal arises out of the trial court’s order granting defendant summary judgment from an incident at defendant’s facility when a descending door that resembled a garage door struck plaintiff in the head. At the time alleged incident, plaintiff was a driver for a trucking company, H&P Transportation. Defendant treats nonhazardous and hazardous industrial waste to stabilize and neutralize it before it is deposited in a landfill.

Plaintiff’s job responsibilities at H&P included picking up loads from defendant’s facility and delivering those loads to the landfill. After arriving at defendant’s facility to pick up a load, plaintiff would check his equipment, get the manifest, and then get his truck loaded. Plaintiff testified in his deposition that he would pick up loads at defendant’s facility from one of two doors at the “chemical fixation building.” These doors were commonly referred to as the “front door” and the “rail door.” The building was approximately an acre in size. The rail door only opened when a pull cord was pulled, while the front door opened automatically when a truck arrived at the door. The rail door pull cord could be reached from inside the cab of a truck by reaching through the window, but it was too high to be reached from the ground. Plaintiff indicated that he never needed to use the pull cord to close the rail door.

Inside the building were six different vats:3 three were accessible by the front door and three were accessible by the rail door. According to plaintiff, the truck drivers who were ahead of him in line to pick up their loads would direct him to a specific vat at which to load his truck. Based on this information, plaintiff could determine whether to enter the building through the front door or the rail door. Plaintiff would get the manifest inside the chemical fixation building from the person operating the excavator that was to load his truck. The chemical fixation building also had a door called the “back door,” which was the door through which the trucks exited after being loaded inside the building.

Plaintiff testified that on the day of the incident, he drove his truck to the rail door, performed his safety checks outside the door, pulled the pull cord to open the rail door, and walked into the building to get the manifest. The excavator was five feet from the doorway, inside the building. Plaintiff was wearing his respirator but was not wearing his hard hat, which was still inside his truck. After obtaining the manifest, plaintiff walked back outside through the rail door, and the door came down and hit him in the back of the head. He did not see or hear the door coming down before he walked back through it. Plaintiff testified, “It hit me in the back of my head and it put me down to my knees.” Plaintiff never lost consciousness, but he felt dizzy and disoriented. After the door hit him, plaintiff was able to get up on his own. He walked to his truck, drove it into the chemical fixation building, picked up his load, drove out the back door, and then filed an incident report before leaving defendant’s facility. Plaintiff alleged he received injuries to his head, neck, and right arm.

*2 Plaintiff testified that when he would pick up his manifest when loading through the rail door, he would typically walk inside the building rather than drive his truck inside. According to plaintiff, it usually took him less than a minute to get the manifest and the rail door remained up until he walked back outside. After getting the manifest and walking back outside to his truck, he would then drive it into the building for loading. He did not need to pull the pull cord a second time before driving his truck inside. Plaintiff explained that he left his truck outside when getting the manifest because “they load really contaminated stuff” in the chemical fixation building and that when he opened the rail door that day, “it was really smoky.” Plaintiff specifically indicated that he made a choice on the day of the incident to walk inside to get the manifest based on the smoky conditions. He testified, “I couldn’t see nothing. I didn’t want to hurt nobody or run nobody over. So that’s why I walked.” He also stated, “It was so smoky that I didn’t want to proceed with my truck. I didn’t want to run nobody over. So the next best thing was walk in.” Plaintiff acknowledged that this was his own decision and that nobody had instructed him to walk through the rail door rather than drive his truck inside. Plaintiff further testified that the rail door was the only door available for entry in that area of the building4 but that there was a “walk-in door” by the front door through which he could enter on foot to pick up his manifest when he loaded at a vat accessible through the front door.

When asked whether he ever drove his truck into the building before getting his manifest, plaintiff responded as follows:
It depends on the quality of the air that’s in the building. If I could see, yes, sure. We’d sometimes do that. It depends. Like I say, because if you load in [vat] 706, [which is near the rail door,] your door still remains open because you have a whole big equipment, you know you have 50 foot [of trailers] sticking out the door. So that door is going to stay open so air does leak out of there. They’re not too kindly with that. You know, they don’t want that air getting out.

Paul Haratyk, defendant’s operations manager, testified that it was uncommon for a driver to get out of the driver’s truck and walk through the rail door to get the manifest. Haratyk stated that the drivers “usually just pull right in.” David Yurcak, defendant’s receiving supervisor, also stated that he did not think people were supposed to walk through the rail door and that pedestrians were supposed to use “man doors.” Haratyk acknowledged that it could be “steamy” inside of the chemical fixation building, but drivers “usually beep their horn as they’re pulling in [and] the operator [in the excavator] will beep their horn when he likes where he’s parked so we can load him.” Defendant’s maintenance coordinator, Daniel Berry, testified that when the steam was significantly interfering with visibility, the operators would contact the truck drivers outside the building and tell them to wait until the steam cleared before driving it. Berry also indicated that there were “door spotters” to assist with such situations. According to Haratyk, drivers were supposed to pull their trucks entirely into the building and there was sufficient room to do so. A driver could get the manifest from the operator before, during, or after loading.

Haratyk testified that there was a “photo eye” installed on the rail door. The door was a high-speed door that had been installed in approximately June 2015 to replace a “steel roll-up door” that was push-button operated and did not close automatically unless the button was pushed. At some point shortly after the door was installed, the photo eyes had been raised to prevent the door from closing on the trucks. A timer was also installed on the rail door so it would close automatically after a truck drove through. According to Berry, this timer did not override the photo-eye. Haratyk and another one of defendant’s employees tested the operation of the rail door’s safety features after plaintiff’s incident. Haratyk “broke the photo eye” while the rail door was descending, and the door reversed direction and went back up. The door automatically went up when he walked through it. He performed this test “three or four” times. Haratyk also testified that the door went back up during his tests when it sensed pressure on the bottom of the door.

*3 With respect to the condition of the air quality inside the building, Haratyk testified that the steam in the building was a normal part of the treatment process that truck drivers would encounter on each arrival and that the amount of steam generated varied from day to day. He also acknowledged that the steam might make it hard for drivers to see. Haratyk stated, however, that in his opinion, the amount of steam in the building on the day of the incident was “[b]etter than normal” and that the air was clear when he checked the operation of the rail door after the incident.

Thomas Green, Jr., a former coworker of plaintiff’s, testified that he was a driver for H&P at the time of the incident and that he also picked up loads at defendant’s facility during that time. Green explained that when he was directed to the rail door, he would “pull the cord and wait for the smoke to clear and pull in towards the left-hand side” because the excavator would be on the right side near the pits. According to Green, it would take between one and ten minutes for the smoke to clear and there were times where “you cannot see the hood of your truck.” Green testified that like plaintiff, he had also left his truck and walked inside to see the operator because of the smoky conditions. Green further stated that “there is occasional whiteouts in there, where you can’t see nothing” and he would “[c]ross [his] fingers and hope for the best.” Green testified that “you have got hi-lo’s zipping around in there” in addition to the excavator.

Randall Sheridan, another driver who had worked at H&P with plaintiff, also testified that there were times when the air was so smoky and foggy inside the building that it was difficult to see while he was driving. He explained that in those situations, “[y]ou just crawl, because you don’t want to hit nothing, because there’s times when there’s hi-los in there, and you just crawl.” The smoke and fog in the building was an expected condition that occurred regularly. Sheridan had also walked through the overhead door instead of driving through it, and he had not seen any signs outside the rail door prohibiting pedestrian use. He testified that there had been occasions where he was afraid to drive into the building because of the dense fog:
[Y]ou don’t know what’s in front of you. You know, you drive in there and if you can’t see the excavator—you can see how wide the place is. There’s an excavator sitting in there, and if you can’t see that, you know, you can’t go in there very fast.

According to Sheridan, the pedestrian entrance by the front door was approximately 2,000 feet around the building from the rail door. Sheridan further explained that it was not possible to walk from the rail door around to this pedestrian door because doing so required going through “a bunch of tanks and stuff there.” He stated, “You can’t walk through all them tanks and pipes and all kinds of stuff.”

In opposing defendant’s summary disposition motion in the trial court, plaintiff also attached a report prepared engineer Bradley T. Cook, P.E. Cook visited defendant’s facility to perform a site inspection of the rail door, and he described the rail door in pertinent part as follows:
In addition, there are two photo-electric (‘light beam’) sensors that project across the opening of the overhead door opening. These sensors are activated when anything physically crosses or obstructs the ‘light beam’. The overhead door will either not initiate closing or reverse the overhead door if it is already closing.
There are no sensors to detect and reverse the overhead door closing for an approaching pedestrian.
*4 The subject ‘rail’ overhead door while closing travels 2.8 feet per second (33.8 inches per second). Using the top of the overhead door opening, the overhead door takes 6.9 seconds to open or close. Once open, the overhead door stayed open for 9.4 seconds before beginning to close. The complete opening and closing cycle was 24.l seconds.
I also note that the overhead door closing or activation cannot be heard above the ambient noise level present in the area outside the facility.

Cook also noted that the technical manual for the door indicated that a “motion/presence sensor is an optional safeguard for the subject ‘rail’ overhead door” and that a “motion/presence sensor can be configured to open after detecting an approaching object including personnel and/or reverse a closing overhead door when detecting an approaching object.”

Finally, Cook reached five “Preliminary Conclusions”:
l. [Plaintiff] did not have an alternative entry to the [defendant’s] facility adjacent to the subject ‘rail’ overhead door.
2. [Plaintiff] would not have been alerted to the closing of the subject ‘rail’ door by sound or sight unless he was directly looking up toward the rolled-up/open position of the door.
3. This closing speed is too fast for an approaching pedestrian to trigger the photo-electric eyes as a safeguard to avoid an impact.
4. The subject ‘rail’ door as installed is not designed, intended, or provided with the necessary safeguards to be used as a personnel access door.
5. The installation of the subject ‘rail’ overhead door did not have safeguards nor administrative controls to protect personnel against caught under or pinch hazards, therefore is in violation of known safety regulations and recommended practices for overhead doors.

As previously stated, the trial court granted defendant’s motion for summary disposition under MCR 2.116(C)(10) finding there was no evidence of a defect in the door or that defendant had any notice of a defect in the door. Plaintiff now appeals.

II. STANDARD OF REVIEW
A trial court’s summary disposition ruling is reviewed “de novo to determine if the moving party is entitled to judgment as a matter of law.” Maiden v Rozwood, 461 Mich 109, 118; 597 NW2d 817 (1999). When evaluating a motion for summary disposition under MCR 2.116(C)(10), “a trial court considers affidavits, pleadings, depositions, admissions, and other evidence submitted by the parties in the light most favorable to the party opposing the motion.” Id. at 120 (citation omitted). “Summary disposition is appropriate under MCR 2.116(C)(10) if there is no genuine issue regarding any material fact and the moving party is entitled to judgment as a matter of law.” West v Gen Motors Corp, 469 Mich 177, 183; 665 NW2d 468 (2003). “A genuine issue of material fact exists when the record, giving the benefit of reasonable doubt to the opposing party, leaves open an issue upon which reasonable minds might differ.” Id.

III. ANALYSIS
As an initial matter, we clarify that despite plaintiff’s argument to the contrary, plaintiff’s claim clearly sounds in premises liability. As this Court has explained:
Courts are not bound by the labels that parties attach to their claims. Indeed, [i]t is well settled that the gravamen of an action is determined by reading the complaint as a whole, and by looking beyond mere procedural labels to determine the exact nature of the claim. Michigan law distinguishes between claims arising from ordinary negligence and claims premised on a condition of the land. In the latter case, liability arises solely from the defendant’s duty as an owner, possessor, or occupier of land. If the plaintiff’s injury arose from an allegedly dangerous condition on the land, the action sounds in premises liability rather than ordinary negligence; this is true even when the plaintiff alleges that the premises possessor created the condition giving rise to the plaintiff’s injury. [Buhalis v Trinity Continuing Care Servs, 296 Mich App 685, 691-692; 822 NW2d 254 (2012) (quotation marks and citations omitted; alteration in original).]

*5 In this case, plaintiff claimed that he was injured by the rail door at one of the entrances to the chemical fixation building at defendant’s facility after walking through the rail door to obtain his manifest due to the presence of smoke that severely reduced his visibility and made him afraid that he would hit somebody if he drove his truck through the door. Plaintiff thus alleged that a dangerous condition on defendant’s property caused his injury, and his claim is therefore one of premises liability rather than ordinary negligence. Id.

A plaintiff asserting a premises liability action “must prove the elements of negligence: (1) the defendant owed the plaintiff a duty, (2) the defendant breached that duty, (3) the breach was the proximate cause of the plaintiff’s injury, and (4) the plaintiff suffered damages.” Mouzon v Achievable Visions, 308 Mich App 415, 418; 864 NW2d 606 (2014) (quotation marks and citation omitted). The duty owed by a possessor of land to a visitor depends on whether the visitor is classified as a trespasser, licensee, or invitee. Stitt v Holland Abundant Life Fellowship, 462 Mich 591, 596; 614 NW2d 88 (2000). Plaintiff was on defendant’s property in his capacity as a truck driver for H&P to pick up a load of waste for transportation to the landfill. Defendant is a treatment facility that treats nonhazardous and hazardous waste before it is deposited in a landfill. The parties do not appear to dispute that plaintiff was an invitee because he was on defendant’s property for a business purpose. “[I]nvitee status is commonly afforded to persons entering upon the property of another for business purposes.” Id. at 597. “[A]n invitee is entitled to the highest level of protection under premises liability law.”

“In general, a premises possessor owes a duty to an invitee to exercise reasonable care to protect the invitee from an unreasonable risk of harm caused by a dangerous condition on the land.” Lugo v Ameritech Corp, Inc, 464 Mich 512, 516; 629 NW2d 384 (2001), citing Bertrand v Alan Ford, Inc, 449 Mich 606, 609; 537 NW2d 185 (1995). This duty generally does not, however, include the removal of dangers that are open and obvious. Lugo, 464 Mich at 516. As our Supreme Court explained in Lugo, “the open and obvious doctrine should not be viewed as some type of ‘exception’ to the duty generally owed invitees, but rather as an integral part of the definition of that duty.” Id. at 516. Nevertheless, “if special aspects of a condition make even an open and obvious risk unreasonably dangerous, the premises possessor has a duty to undertake reasonable precautions to protect invitees from that risk.” Id. at 517.

In Bertrand, our Supreme Court thoroughly explained how to define the scope of the duty owed by a premises possessor when there are “special aspects” of an otherwise ordinary, open and obvious condition:
The invitor’s legal duty is “to exercise reasonable care to protect invitees from an unreasonable risk of harm caused by a dangerous condition of the land” that the landowner knows or should know the invitees will not discover, realize, or protect themselves against. [Williams v Cunningham Drug Stores, Inc, 429 Mich 495, 499; 418 NW2d 381 (1988)], citing 2 Restatement Torts, 2d, § 343, pp 215–216. Section 343 provided:
A possessor of land is subject to liability for physical harm caused to his invitees by a condition on the land if, but only if, he
(a) knows or by the exercise of reasonable care would discover the condition, and should realize that it involves an unreasonable risk of harm to such invitees, and
*6 (b) should expect that they will not discover or realize the danger, or will fail to protect themselves against it, and
(c) fails to exercise reasonable care to protect them against the danger. [Emphasis added.]
A claim that the invitor has breached the duty to exercise reasonable care to protect invitees from unreasonable risks of harm has traditionally been premised on three theories: failure to warn, negligent maintenance, or defective physical structure. Consequently, invitors may be held liable for an invitee’s injuries that result from a failure to warn of a hazardous condition or from the “negligent maintenance of the premises or defects in the physical structure of the building.” Williams, [429 Mich] at 499–500.
The Restatement provided:
A possessor of land is not liable to his invitees for physical harm caused to them by any activity or condition on the land whose danger is known or obvious to them, unless the possessor should anticipate the harm despite such knowledge or obviousness. [2 Restatement Torts, 2d, § 343A(1), p 218. Emphasis added.]
The accompanying comments provided that §§ 343 and 343A are to be read together. Where a condition is open and obvious, the scope of the possessor’s duty may be limited. While there may be no obligation to warn of a fully obvious condition, the possessor still may have a duty to protect an invitee against foreseeably dangerous conditions. Thus, the open and obvious doctrine does not relieve the invitor of his general duty of reasonable care.
When §§ 343 and 343A are read together, the rule generated is that if the particular activity or condition creates a risk of harm only because the invitee does not discover the condition or realize its danger, then the open and obvious doctrine will cut off liability if the invitee should have discovered the condition and realized its danger. On the other hand, if the risk of harm remains unreasonable, despite its obviousness or despite knowledge of it by the invitee, then the circumstances may be such that the invitor is required to undertake reasonable precautions. The issue then becomes the standard of care and is for the jury to decide.
A comment accompanying the Restatement explained:
There are, however, cases in which the possessor of land can and should anticipate that the dangerous condition will cause physical harm to the invitee notwithstanding its known or obvious danger. In such cases the possessor is not relieved of the duty of reasonable care which he owes to the invitee for his protection. This duty may require him to warn the invitee, or to take other reasonable steps to protect him, against the known or obvious condition or activity, if the possessor has reason to expect that the invitee will nevertheless suffer physical harm.
Such reason to expect harm to the visitor from known or obvious dangers may arise, for example, where the possessor has reason to expect that the invitee’s attention may be distracted, so that he will not discover what is obvious, or will forget what he has discovered, or fail to protect himself against it. Such reason may also arise where the possessor has reason to expect that the invitee will proceed to encounter the known or obvious danger because to a reasonable man in his position the advantages of doing so would outweigh the apparent risk. In such cases the fact that the danger is known, or is obvious, is important in determining whether the invitee is to be charged with contributory negligence, or assumption of risk. … It is not, however, conclusive in determining the duty of the possessor, or whether he has acted reasonably under the circumstances. [2 Restatement Torts, 2d, § 343A, comment f, p 220. Emphasis added.]
*7 We recently considered the open and obvious danger doctrine in Riddle v McLouth Steel Products, 440 Mich 85; 485 NW2d 676 (1992)….
The majority in Riddle stated:
[T]he “no duty to warn of open and obvious danger” rule is a defensive doctrine that attacks the duty element that a plaintiff must establish in a prima facie negligence case. A negligence action may only be maintained if a legal duty exists which requires the defendant to conform to a particular standard of conduct in order to protect others against unreasonable risks of harm. If the plaintiff is a business invitee, the premises owner has a duty to exercise due care to protect the invitee from dangerous conditions. … However, where the dangers are known to the invitee or are so obvious that the invitee might reasonably be expected to discover them, an invitor owes no duty to protect or warn the invitee unless he should anticipate the harm despite knowledge of it on behalf of the invitee….
Once a defendant’s legal duty is established, the reasonableness of the defendant’s conduct under that standard is generally a question for the jury. … The jury must decide whether the defendant breached the legal duty owed to the plaintiff, that the defendant’s breach was the proximate cause of the plaintiff’s injuries, and thus, that the defendant is negligent.
If, for example, the dangerous conditions on the premises are hidden or latent, the premises owner is obliged to warn the invitee of the dangers. Defendant’s failure to warn under these circumstances may indicate a breach of the legal duty owed plaintiff. If the conditions are known or obvious to the invitee, the premises owner may nonetheless be required to exercise reasonable care to protect the invitee from the danger…. What constitutes reasonable care under the circumstances must be determined from the facts of the case. While the jury may conclude that the duty to exercise due care requires the premises owner to warn of a dangerous condition, there is no absolute duty to warn invitees of known or obvious dangers….
Thus, even though there may not be an absolute obligation to provide a warning, this rule does not relieve the invitor from his duty to exercise reasonable care to protect his invitees against known or discoverable dangerous conditions. Williams, [429 Mich] at 499, citing 2 Restatement Torts, 2d, § 343, pp 215–216. Duty exists because the relationship between the parties gives rise to a legal obligation. … However, overriding public policy may limit the scope of that duty. …
With the axiom being that the duty is to protect invitees from unreasonable risks of harm, the underlying principle is that even though invitors have a duty to exercise reasonable care in protecting their invitees, they are not absolute insurers of the safety of their invitees. … Consequently, because the danger of tripping and falling on a step is generally open and obvious, the failure to warn theory cannot establish liability. However, there may be special aspects of these particular steps that make the risk of harm unreasonable, and, accordingly, a failure to remedy the dangerous condition may be found to have breached the duty to keep the premises reasonably safe. [Bertrand, 449 Mich at 609-614 (second, fourth, fifth, and sixth alterations in original; first and fifth ellipses in original; final emphasis added).]

*8 The Bertrand Court considered the above legal principles in the context of premises liability cases involving steps and further derived the following legal principles:
In summary, because steps are the type of everyday occurrence that people encounter, under most circumstances, a reasonably prudent person will look where he is going, will observe the steps, and will take appropriate care for his own safety. Under ordinary circumstances, the overriding public policy of encouraging people to take reasonable care for their own safety precludes imposing a duty on the possessor of land to make ordinary steps “foolproof.” Therefore, the risk of harm is not unreasonable. However, where there is something unusual about the steps, because of their “character, location, or surrounding conditions,” then the duty of the possessor of land to exercise reasonable care remains. If the proofs create a question of fact that the risk of harm was unreasonable, the existence of duty as well as breach become questions for the jury to decide. If the jury determines that the risk of harm was unreasonable, then the scope of the defendant’s duty to exercise reasonable care extended to this particular risk. At any rate, the trial court may appropriately consider the specific allegations of the breach of the duty of reasonable care, such as failure to warn, negligent maintenance, or dangerous construction. If the plaintiff alleges that the defendant failed to warn of the danger, yet no reasonable juror would find that the danger was not open and obvious, then the trial court properly may preclude a failure to warn theory from reaching the jury by granting partial summary judgment. [Id. at 616-617 (citation omitted; emphasis added).]

In Bertrand, the plaintiff fell backwards off a step near a door located at the defendant’s automobile service garage. Id. at 621-622. The Court described the scene as follows:
As [the plaintiff] was exiting the door [from the lounge area], other people were entering. The plaintiff walked through the door and was facing backward as she held the door open for the others to enter. The door opened out onto a sidewalk that was the width of the door. The sidewalk was an elevated walkway that ran along the side of the service area. On the left were vending machines. The cashier’s window was on the right. The door was hinged on the right and opened out. Pictures of the area reveal that a person leaving the lounge area would have to walk through the narrow passage between the open door and the vending machines, step down off the sidewalk, walk around the door, and then step back up onto the sidewalk to reach the cashier’s window. The entire length of the top edge of the sidewalk was painted bright yellow, as well as the vertical part when viewed from the service area. [Id. at 622.]
The plaintiff testified at her deposition that after holding the door open for the other people to enter the lounge area, she stepped back to let the door close because she could not step to the side due to the presence of the vending machine, and she fell down the step as she stepped back. Id. at 622-623.

The Bertrand Court determined that although the plaintiff could not rely on a failure to warn theory because “no reasonable juror would disagree that the danger of falling was open and obvious,” the condition could still be considered “unreasonably dangerous[ ] but not for want of a warning.” Id. at 623. The Court concluded, “when we view the plaintiff’s allegations in the light most favorable to her, we find a genuine issue regarding whether the construction of the step, when considered with the placement of the vending machines and the cashier’s window, along with the hinging of the door, created an unreasonable risk of harm, despite the obviousness or the invitee’s knowledge of the danger of falling off the step.” Id. at 624. The Court reasoned as follows:
*9 Here, the plaintiff fell backward off a step after holding the door open for other customers to pass through in an area of the defendant’s building where customers were expected to traverse. In the light most favorable to the plaintiff, one can reasonably argue that the defendant should have reasonably anticipated a congested pedestrian traffic pattern causing an invitee to fall off the step.
We cannot find as a matter of law that the risk of harm was reasonable. Because a genuine issue existed regarding whether the defendant breached its duty to protect the plaintiff against an unreasonable risk of harm, in spite of the obviousness or of the plaintiff’s knowledge of the danger, summary disposition was inappropriate. Whether this risk of harm was unreasonable and whether the defendant breached a duty to exercise reasonable care by failing to remedy the danger are issues for the jury to consider. [Id. at 624-625.]

Subsequently, in Lugo, 464 Mich at 517-518, our Supreme Court emphasized that in this context, “[c]onsistent with Bertrand, … the critical question is whether there is evidence that creates a genuine issue of material fact regarding whether there are truly ‘special aspects’ of the open and obvious condition that differentiate the risk from typical open and obvious risks so as to create an unreasonable risk of harm, i.e., whether the ‘special aspect’ of the condition should prevail in imposing liability upon the defendant or the openness and obviousness of the condition should prevail in barring liability.”

Finally, the following statements by the Lugo Court are specifically pertinent to the factual circumstances at issue in this case:
[I]n resolving an issue regarding the open and obvious doctrine, the question is whether the condition of the premises at issue was open and obvious and, if so, whether there were special aspects of the situation that nevertheless made it unreasonably dangerous. In a situation where a plaintiff was injured as a result of a risk that was truly outside the open and obvious doctrine and that posed an unreasonable risk of harm, the fact that the plaintiff was also negligent would not bar a cause of action. This is because Michigan follows the rule of comparative negligence. Under comparative negligence, where both the plaintiff and the defendant are culpable of negligence with regard to the plaintiff’s injury, this reduces the amount of damages the plaintiff may recover but does not preclude recovery altogether. [Id. at 523.]
“Accordingly, it is important for courts in deciding summary disposition motions by premises possessors in ‘open and obvious’ cases to focus on the objective nature of the condition of the premises at issue, not on the subjective degree of care used by the plaintiff.” Id. at 523-524.

In this case, it was undisputed that the rail door was the only entry point in that area of the building. It was opened from the outside by pulling a pull cord, and the door was on a timer that caused it to close automatically. There was testimony from plaintiff and two other truck drivers that the conditions inside the chemical fixation building were sometimes smoky to the point that visibility was affected. At times, there could be “whiteouts” that severely reduced visibility to the point that it was even difficult for the driver to see the hood of his truck. Inside the building, there were excavators that loaded waste into the trucks to be hauled away and hi-los “zipping around.” All three drivers testified that there were times when they walked through the rail door (rather than driving through it) to avoid these hazards inside the building when there was severely reduced visibility due to the smoky conditions. Plaintiff specifically testified that the conditions were particularly smoky on the day of the incident and that he chose to walk through the rail door that day because he could not see anything and did not want to hit anyone with his truck. Sheridan testified that the pedestrian door, which was located by the front door, was over 2,000 feet away from the rail door and that it was not accessible by walking from the rail door area because doing so would require walking through an area of tanks and pipes that could not be traversed on foot. Plaintiff’s expert opined that the rail door’s current safety features, combined with the speed at which the door descended, would not protect an approaching pedestrian from impact. Plaintiff’s expert also opined that the descending door could not be heard above the noise level of defendant’s facility.

*10 There was also testimony from individuals employed by defendant acknowledging that the conditions inside the building could be steamy or smoky to the point of affecting visibility. There was further testimony indicating that it was “uncommon” for a driver to walk through the rail door to obtain the manifest. However, Haratyk testified that the conditions were less steamy than normal on the day of the incident and that the air was “clear.” There was also testimony that people were not supposed to walk through the rail door, although there were no signs prohibiting pedestrian use. Defendant’s employees also testified that there was communication between the truck drivers and the excavator operators when conditions were steamy inside the building. According to Haratyk, drivers would beep their horns as they drove in and the operators would respond by beeping their horns when the truck was properly parked. Berry testified that operators would contact truck drivers to tell them to wait for steam to clear before entering and that there were “door spotters” when conditions were especially steamy. Haratyk testified that the rail door’s safety features, including its photo-eye that sensed the presence of an obstacle under the door and the door’s pressure sensor that would reverse the door if the bottom of the door hit an obstacle, were operating properly when tested shortly after plaintiff reported the incident. Haratyk also testified that the door automatically went back up when he walked through it.

We concur with defendant that as presented, we cannot ascertain a question as to whether plaintiff was aware of the conditions presented by the rail door and the hazards inside the building, and these conditions were therefore open and obvious. See Hoffner v Lanctoe, 492 Mich 450, 461; 821 NW2d 88 (2012) (“Whether a danger is open and obvious depends on whether it is reasonable to expect that an average person with ordinary intelligence would have discovered it upon casual inspection.”). But that does not end our analysis. Rather, the record reveals the existence of conflicting evidence. This conflicting evidence regarding the nature of the steamy conditions and degree of visibility on the day of the incident, as well as whether the combination of all of the hazards presented at the rail door entrance—a single entrance through a high-speed door that closed automatically pursuant to a timer and had certain safety features that may not have provided adequate protection for approaching pedestrians specifically, the potential for extreme smoke or steam severely reducing visibility while driving large trucks, and the presence of an excavator and hi-los driving around in the vicinity—constituted special aspects from which the trier of fact could conclude made the risk of harm when entering the building through the rail door unreasonable despite the open and obvious nature of the hazards. Hence, viewing the evidence in a light most favorable to plaintiff as the nonmoving party, Maiden v Rozwood, 461 Mich at 120, the combination of hazards at the rail door on a day when the treatment process generated extreme smoke or steam would essentially force a truck driver such as plaintiff to choose between the risk of a collision with an excavator or hi-lo while driving through the rail door and the risk of being injured while walking through a door not sufficiently safe for pedestrian traffic. The pedestrian door by the front door did not actually provide a legitimate alternate means of entering the building on foot when a driver was to pick up a load at a vat serviced by the rail door because doing so would have forced the driver to confront a whole new set of conditions that were potentially dangerous for pedestrians. Thus, regardless of the proper operation of the rail door, there were genuine issues of material fact with respect to whether entry through the rail door, because of its “character, location, or surrounding conditions,” presented a risk of harm that remained unreasonable despite these conditions being open and obvious. Bertrand, 449 Mich at 617 (quotation marks and citation omitted).

Further, the record evidence makes clear that it was well known among defendant’s employees that the rail door was the only available entry point in that area and that the treatment process frequently generated a great deal of steam. Accordingly, viewing the evidence in a light most favorable to plaintiff, there was a genuine issue of material fact regarding whether defendant should have anticipated that an unreasonable risk of harm remained in navigating the rail door entrance—including that truck drivers might determine that walking through the rail door was the safest possible alternative5—and thus taken appropriate additional steps to protect its invitees as a result; we cannot conclude that these conditions were reasonable as a matter of law. Id. at 624-625. “If the proofs create a question of fact that the risk of harm was unreasonable, the existence of duty as well as breach become questions for the jury to decide.” Id. at 617.

*11 In a related vein, a premises liability claim requires a plaintiff “to establish that defendant, as a premises owner, possessed actual or constructive notice of the dangerous condition.” Lowrey v LMPS & LMPJ, Inc, 500 Mich 1, 10; 890 NW2d 344 (2016). The Lowrey Court further explained the legal principles regarding a premises owner’s liability based on notice of a dangerous condition:
“The proprietor is liable for injury resulting from an unsafe condition caused by the active negligence of himself and his employees; and he is liable when the unsafe condition, otherwise caused, is known to the storekeeper or is of such a character or has existed a sufficient length of time that he should have knowledge of it.” [Id. (citation omitted).]
“The plaintiff, however, bears the burden of proof of establishing that the defendant breached this duty of care, i.e., the defendant knew or should have known ‘of a dangerous condition on the premises of which the invitee [was] unaware and fail[ed] to fix the defect, guard against the defect, or warn the invitee of the defect.’ ” Id. at 10 n 2 (citation omitted; alterations in original).

In this case, the evidence discussed above also demonstrates, when viewed in plaintiff’s favor, that it could be reasonably inferred that defendant knew about the nature of the conditions surrounding the rail door entry or at least should have discovered the risk of harm presented by these conditions. Defendant’s employees were working in that area daily as well, and they knew about how the rail door operated, the degree of steam produced as a normal part of the treatment process, the nature of the operations occurring inside the building as excavators loaded trucks with waste to be hauled away to the landfill, and that the new rail door had been in place for a period of months. Thus, based on the evidence showing the character of the conditions surrounding entry through the rail door that had been regularly encountered by truck drivers, plaintiff presented sufficient evidence to create a genuine question of fact regarding whether defendant had actual or constructive notice of the dangerous condition. Id. at 10.

As previously stated, the trial court granted summary disposition in defendant’s favor based on the trial court’s conclusions (1) that the evidence showed that the rail door and its safety mechanisms were functioning properly on the day of the incident; (2) that there was no evidence of a defect in the door; (3) that there was no evidence showing that defendant was actively negligent in maintaining the rail door; and (4) that even if there had been a defect in the door, plaintiff failed to show that defendant had actual or constructive knowledge of that defect.

Reviewing the trial court’s decision, we hold that in the proceedings before the trial court, both the trial court and defendant erroneously focused solely on whether there was a defect in the operation of the rail door itself, rather than considering all of the surrounding circumstances. Such a singular focus was contrary to our Supreme Court’s instructions in Bertrand, 449 Mich at 617, 622-625. Rather the trial court should have made more general determinations as to whether the entry to the chemical fixation building through the rail door presented a dangerous condition subjecting invitees to an unreasonable risk of harm despite the proper operational functionality of the rail door. Id. Such a directive is found in Bertrand, 429 Mich at 624, where there was an issue of fact regarding whether “the construction of the step, when considered with the placement of the vending machines and the cashier’s window, along with the hinging of the door, created an unreasonable risk of harm, despite the obviousness or the invitee’s knowledge of the danger of falling off the step.” Similarly, there exist within this record, genuine disputes of fact regarding whether there were special aspects presented by the nature of the rail door entrance and its attendant hazards at defendant’s facility that constituted an unreasonable risk of harm despite that defendant’s injury was allegedly caused by an impact from the rail door—an otherwise ordinary, open and obvious hazard. Stated differently, focusing solely on the rail door in isolation in this case is analogous to focusing solely on the fact that the plaintiff in Bertrand fell on a step, thereby ignoring the surrounding circumstances of the vending machine, the congestion of pedestrians, the direction in which the door opened, the size and location of the step, and the confined space created when the door was open. Accordingly, the analytical focus must encompass all of the surrounding circumstances and here, not merely whether the rail door was operating properly. See Bertrand, 449 Mich at 617, 622-625.

*12 We believe it necessary to further note that it is not the proper focus of our inquiry at this stage of the proceedings to determine what extent, if any, plaintiff may have been negligent and contributed to causing his injuries. Lugo, 464 Mich at 523-524. “The level of care used by a particular plaintiff is irrelevant to whether the condition created or allowed to continue by a premises possessor is unreasonably dangerous.” Id. at 522 n 5.6

Reversed and remanded for further proceedings consistent with this opinion. We do not retain jurisdiction.

Jane M. Beckering

Stephen L. Borrello

Michael J. Kelly

All Citations
Not Reported in N.W. Rptr., 2019 WL 6888648

Footnotes

1
Grias v EQ Detroit, Inc, unpublished order of the Court of Appeals, entered December 21, 2018 (Docket No. 344699).

2
Defendant is also referred to as “US Ecology” in some of the lower court proceedings. However, “EQ Detroit, Inc.,” and “US Ecology” are both references to the same entity for purposes of this litigation: there is only one defendant in this case. Additionally, plaintiff refers to defendant at times in his deposition as “EQ.”

3
These are also referred to in the record as “vaults” or “pits.”

4
It appears that there may also be a pedestrian door near the rail door but that it is always locked, inaccessible to the drivers, and only leads off of defendant’s property. There was no evidence that this is currently a functional or usable door.

5
See Bertrand, 449 Mich at 611-612.

6
We also reject defendant’s argument that plaintiff’s expert could not provide any relevant evidence in this matter. Contrary to defendant’s argument, plaintiff’s expert did not opine on the law, the existence of a legal duty owed by defendant to plaintiff, or otherwise opine on whether defendant was negligent. The expert did not attempt to create new legal definitions or standards, nor did he make legal conclusions. “[T]he function of an expert witness is to supply expert testimony. This testimony includes opinion evidence, when a proper foundation is laid, and opinion evidence may embrace ultimate issues of fact.” Carson Fischer Potts & Hyman v Hyman, 220 Mich App 116, 122; 559 NW2d 54 (1996). Plaintiff’s expert offered opinions about whether the safety mechanisms currently installed on the rail door would prevent an impact with an approaching pedestrian. Such opinions were not improper. Id.; see also MRE 704 (“Testimony in the form of an opinion or inference otherwise admissible is not objectionable because it embraces an ultimate issue to be decided by the trier of fact.”).

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