Mesa
Vista South Townhome Assn. v. California Portland Cement Co. (2004), Cal.App.4th
[No.
G031082. Fourth Dist., Div. Three. May 4, 2004.]
MESA
VISTA SOUTH TOWNHOME ASSOCIATION, Plaintiff and Appellant, v. CALIFORNIA PORTLAND CEMENT COMPANY, Defendant and
Appellant.
(Superior
Court of Orange County, No. 802639, Raymond J. Ikola, Judge.)
(Opinion
by Moore, J., with O'Leary, Acting P. J., and Fybel, J., concurring.)
COUNSEL
Kasdan,
Simonds, Riley & Vaughan, Kenneth S. Kasdan, Nikola J. Bates; Law Offices of Jack A. Lucas, Jack A. Lucas
and Barry C. Vaughan for Plaintiff and Appellant Mesa Vista South Townhome Association.
Berkes
Crane Robinson & Seal and James L. Seal for Defendant and Appellant California Portland Cement Company.
Monteleone
& McCrory, G. Robert Hale and William J. Ingalsbe for National Ready Mixed Concrete Association and Southern
California Ready Mixed Concrete Association as Amici Curiae on behalf of Defendant and Appellant California
Portland Cement Company. {Slip Opn. Page 2}
OPINION
MOORE,
J.-
In
this residential construction defect case, the trial court, in a studious 57-page statement of decision,
explained why it was making what it termed to be a "controversial" decision -- holding the defendant concrete
manufacturer and supplier liable for negligence when the only damage then suffered was submicroscopic damage to
the product itself. While the damage at the time of trial was submicroscopic, the court found that the concrete
comprising the slabs and foundations of the homes would disintegrate in time unless somehow prevented. The court
awarded damages for the repair of the defective concrete, to be effectuated by the application of a protective
gel intended to prevent the further decay of the slabs and foundations. The obvious concern was to prevent the
ultimate loss of the structural integrity of the homes.
The
defendant contends that it has not committed negligence and, further, that the component supplier defense and
the economic loss rule bar the recovery of damages. We uphold the decision of the trial court. The evidence
supports the trial court's finding that the defendant committed negligence. The component supplier defense, as
we shall show, does not absolve the defendant of liability in this case. The application of the economic loss
rule in this context is the tough part. It is fraught with thorny issues, especially taking the historical
framework of the rule into consideration.
Nevertheless,
we conclude that the recent Supreme Court decisions in Jimenez v. Superior Court (2002)
29 Cal.4th 473 (Jimenez)
and Aas v. Superior Court (2000)
24 Cal.4th 627 (Aas)
do not preclude the recovery of damages in this context. Neither case addressed whether the economic loss rule
always bars the recovery of damages when a component part of a structure has already suffered appreciable harm and
will ultimately disintegrate, likely causing substantial harm to other component parts of the structure over time.
Moreover, even were we to construe the present damages as purely "economic losses," Aas reaffirmed that, in
a proper case, economic losses may be recoverable on a negligence theory when the six factors outlined in J'Aire
Corp. v. Gregory (1979)
24 Cal.3d 799 (J'Aire)
are satisfied. Where in Aas the third factor, i.e., {Slip Opn. Page 3} the degree of certainty that the
plaintiff suffered injury, was not met, it is met here. In the case before us, the damage to the slabs and
foundations constitutes the appreciable harm necessary to satisfy the third factor. The remaining five factors are
also satisfied, as we shall show. We affirm.
I.
FACTS
The
Mesa Vista South Townhome Association (Mesa Vista) is responsible for maintaining the concrete slabs and
foundations in the 40-unit Mesa Vista South condominium complex. Mesa Vista filed a massive construction defect
lawsuit against the developer, the general contractor, and many subcontractors, including California Portland
Cement Company (California Portland). California Portland, through its Catalina Pacific Concrete division
(Catalina), supplied the concrete for the project. fn.
1 By the time of trial, there had been a settlement as to all parties other than California
Portland.
Causes
of action for general negligence, negligence per se and strict liability proceeded to trial. At the conclusion
of Mesa Vista's presentation of evidence, California Portland moved for judgment on the strict liability claim,
pursuant to Code of Civil Procedure section 631.8. fn.
2 The court granted the motion.
Mesa
Vista prevailed on its claims for general negligence and negligence per se. Judgment was entered against
California Portland doing business as Catalina in {Slip Opn. Page 4} the amount of $5,369,769.33, plus costs in
the amount of $45,047. California Portland filed a motion to vacate the judgment and a motion for a new trial.
Both motions were denied.
California
Portland doing business as Catalina filed an appeal from the judgment and the orders denying the motion for a
new trial and the motion to vacate the judgment. fn.
3 Mesa Vista purported to file an appeal from certain portions of the statement of decision.
II.
DISCUSSION
A.
Background
The
condominium complex was constructed on soils with a severe sulfate condition. Zeiser Kling Consultants, Inc.
(Zeiser Kling), the geological engineers for the project, sent a November 8, 1993 precise grading plan review to
Charlie Kluger of Newport National Development Company. fn.
4 In that document, Zeiser Kling stated: "Based on previous soluble content test results, Type
V cement or equivalent should be used for concrete in contact with the onsite earth. It is expected that on site
soils would possess a sulfate content rating of 'severe' (from 0.2 to 2.0% soluble sulfate by weight). All
requirements presented on Table No. 26-A-3 for 'Severe Sulfate Exposure' in the {Slip Opn. Page 5} 1991 UBC
should be utilized for preliminary concrete mix design. This recommendation should be verified by sulfate
testing conducted upon completion of lot reprocessing." Zeiser Kling repeated this recommendation verbatim in a
November 30, 1993 revised precise grading plan review, also addressed to Kluger.
CDR
Concrete (CDR) installed the concrete for the project. fn.
5 It obtained the ready-mixed concrete from California Portland. CDR observed that the soils
report for the project advised that the concrete should meet the requirements set forth in the 1991 Uniform
Building Code Table No. 26-A-3 for severe sulfate exposure (the Sulfate Table). A representative of CDR
testified that, when he contacted California Portland on the telephone to ascertain the correct concrete to
order for the project, he read to the California Portland representative the applicable sentence about the need
to comply with the Sulfate Table. The court found by a preponderance of the evidence that it was more likely
than not that the CDR representative did indeed convey the information to the California Portland
representative.
In
addition to this actual knowledge, the court found that California Portland should have known and applied the
requirements of the Sulfate Table. Type V cement was specified for the project. All of the California Portland
personnel who testified knew that the primary reason why this type of cement would be specified was because it
was resistant to sulfate attack. The court found that "[a]ll of the industry documents, guidelines, and
specifications placed in evidence provided that when Type V cement is used, it is to be mixed with a
water-cement ratio of 0.45 or less." However, the water-cement ratio of the concrete that California Portland
provided was in the range of 0.60 to 0.65. {Slip Opn. Page 6}
Mesa
Vista asserted that, because the concrete was not mixed in accordance with the Sulfate Table, it had a higher
porosity and permeability than it should have, permitting the concrete slabs and foundations at the condominium
complex to be damaged by sulfate attack. It further asserted that other building components had suffered damage
as well, such as the corrosion and breaking of a post-tension cable and the delamination of the color coat on
the stemwalls.
The
court found it more likely than not that the concrete itself had suffered damage from sulfate attack and that
the concrete would suffer additional damage over time. It found more specifically that the damage was largely
submicroscopic at that point, but that the concrete would disintegrate in time unless somehow prevented. Mesa
Vista presented evidence concerning damage to property other than the concrete itself, including stucco,
post-tension cables, cable fasteners, vinyl flooring, carpeting and carpet tack strips. However, the court found
that the evidence was insufficient to show that the unsuitable concrete mix was the cause of the damage.
Relying
on Casey v. Overhead Door Corp. (1999)
74 Cal.App.4th 112 (Casey),
the court held that California Portland, as a component supplier, was not subject to strict liability. It observed
that the issue of whether a supplier in a construction defect context could be held subject to strict liability was
then pending before the California Supreme Court, but that Casey was the controlling law at the time.
In
addressing the general negligence claim, the court stated the issue was whether California Portland "knew or
should have known that the concrete it was required to supply for the Mesa Vista South job should [have been]
mixed with Type V cement and a water-cement ratio of 0.45 or less." The court, as indicated above, answered this
question in the affirmative. It found California Portland had actual knowledge, as imparted to it by the CDR
representative who provided information on the need to comply with the Sulfate Table. In addition, it found
California Portland should {Slip Opn. Page 7} have known of the necessary water-cement ratio, because industry
guidelines provide that when Type V cement is used, it must be mixed with a water-cement ratio of 0.45 or less.
The
court concluded that California Portland had a duty to apply this knowledge to the mix design for the Mesa Vista
project concrete. It rejected the raw material/component supplier defense of Artiglio v. General Electric
Co. (1998)
61 Cal.App.4th 830 (Artiglio),
because not all elements of the test set forth in that case were met. Ultimately, the court held that California
Portland had committed general negligence in supplying the concrete with the particular design mix used.
It
also held that California Portland had committed negligence per se. The court determined that California
Portland had violated Uniform Building Code section 2604(c)(1), requiring concrete exposed to sulfate-containing
soils to conform to the requirements of the Sulfate Table. (See Evid. Code, § 669 [circumstances under which
failure to exercise due care is presumed when statute, ordinance or regulation is violated].)
The
court awarded damages with respect to the deteriorating concrete, but not with respect to any other property. It
awarded $5,734,610, offset by $424,950 on account of the settlement with the other parties. The resulting award
was $5,309,660, plus costs and disbursements.
B.
Contentions
On
appeal, California Portland has two primary contentions: (1) pursuant to Artiglio, supra,
61 Cal.App.4th 830, a
supplier of a nondefective raw material or component is not liable for damages due to misuse of the product; and
(2) the economic loss rule bars an award of damages with respect to the purportedly damaged concrete itself. On its
cross-appeal, Mesa Vista argues that the court erred in its ruling on the strict liability cause of action. Our
analysis of these issues follows. {Slip Opn. Page 8}
(1)
Component Supplier Defense
(a)
California Portland's Involvement in the Concrete Order
California
Portland argues it cannot be held liable for negligence when all it did was supply a component that met the
specifications of O'Strand, the consultant that had prepared the post-tension design. It argues the testimony of
Kluger, Newport National's vice president of construction, shows that the general contractor ordered the
concrete, and required that it adhere to the specifications of the O'Strand plans with respect to minimum
compressive strength and concrete type, i.e., Type V. It also argues this testimony reflects that the general
contractor's inspectors confirmed that the deliveries conformed to these specifications. California Portland
further states that nothing in the O'Strand plans indicates that the water-cement ratios in the Sulfate Table
must be followed.
1.
Kluger testimony
To
a certain degree, the Kluger testimony can be construed as supporting California Portland's argument. Kluger
oversaw construction activities at the Mesa Vista South project. When defendant's counsel asked upon whom Kluger
had relied in deciding what type of concrete to order for the Mesa Vista South project, Kluger replied that he
had considered the information provided by both Zeiser Kling and O'Strand. When asked if he had instructed his
superintendents to follow any specific contract documents in ordering the concrete, Kluger replied that they had
been instructed to follow the subcontract, among other things. When asked if he had instructed his
superintendents to follow the O'Strand plans in purchasing the concrete, Kluger replied that he had.
When
Kluger was asked if he had taken steps to ensure that the concrete ordered for Mesa Vista South was in
compliance with the plans and specifications, he said that he had "[given] instructions to do so." He explained
that "[t]he field {Slip Opn. Page 9} superintendent [had been] requested to make sure that the delivery tickets
adhered to the concrete requirements."
Kluger's
answers in response to questions about concrete orders can well be construed as an indication that Newport
National, whether through Kluger personally or through his superintendents, placed the concrete orders. However,
subsequent Kluger testimony is at odds with this interpretation.
Kluger
was asked for clarification with regard to the ordering of the concrete. Counsel for the plaintiff stated: "A
bit ago, [counsel for the defendant] asked you about superintendents ordering concrete. To your knowledge, CDR
Concrete is the entity that ordered the concrete that they installed on this construction site, correct?" Kluger
replied, "Yes." Counsel for the plaintiff then stated: "So the superintendents for Newport National . . . , they
did not order any of the concrete that Catalina Pacific or California Portland Cement delivered for CDR
Concrete's use on the site, correct?" Kluger replied: "That is correct." He also admitted that he had been
relying on the concrete supplier to provide a suitable type of concrete and that he had had no communication
with California Portland before the cement was installed.
The
totality of the testimony may be reconciled in this manner. Kluger determined that the concrete mix design
should satisfy the requirements of both the Zeiser Kling reports and the O'Strand plans. He directed his
superintendents to confirm that the concrete that was delivered was in conformity with the subcontract and the
O'Strand plans. He did not take the initiative to clarify, in response to questions from defendant's counsel,
that Newport National did not actually do the ordering. He only meant to convey that Newport National had
reviewed the Zeiser Kling reports and the O'Strand plans and wanted to ensure that the concrete conformed to the
requirements of those documents. When asked by plaintiff's counsel to clarify which party had done the ordering,
Kluger did so explicitly. He stated that CDR Concrete had done the ordering, not Newport National, and that he
himself had had no contact with California Portland. {Slip Opn. Page 10}
2.
Klawitter, Sparks and Mock testimony
California
Portland ignores the latter portion of Kluger's testimony and insists there is no evidence at all, let alone
substantial evidence, to support the trial court's finding that orders were placed with a mix design number
supplied by California Portland itself. We disagree.
William
Klawitter was a vice president or a manager of Catalina when California Portland provided concrete for the Mesa
Vista South project. He was the primary contact with CDR at that time. Klawitter did not remember any specific
conversation with CDR regarding the concrete mix for the project. However, Klawitter acknowledged that either he
or someone in his sales department would have given CDR the bid for the concrete.
Where
Catalina's general procedures were concerned, Klawitter testified that he gave quotes based upon the information
received from the customer. The type of information he obtained from the customer had to do with compressive
strength, gravel size, cement type, and whether the concrete would be pumped or placed. After he gave the quote,
any resulting orders were placed through the order department.
Thomas
Mock was the estimator for CDR Unlimited, and then for CDR Concrete, Incorporated. He testified that Catalina
would take the information he provided as to what was needed, such as information from the soils report, and
that Catalina would provide the appropriate mix design. He further testified that Catalina had provided the mix
design for all the concrete he had purchased from that company. He further explained that Klawitter would
provide a mix design and a number for ordering. In his testimony, Edward Sparks, manager of the Catalina testing
laboratory, confirmed that a concrete mix design number was required for the placement of an order.
Mock
was the one who prepared the estimate for the Mesa Vista South project. He used the November 30, 1993 revised
precise grading plan review in preparing the bid for the job. He testified that, in preparing the bid, he
communicated {Slip Opn. Page 11} information from that report to Klawitter over the telephone. He said that he
read to Klawitter the paragraph from the report concerning the sulfate conditions and the requirement to conform
to the Sulfate Table. He remembered the matter because soils reports did not typically reference the Sulfate
Table as this one did. Mock thought Klawitter told him that he would take the information to Catalina's design
people and that they would produce the mix designs for the concrete to be used at Mesa Vista South. In any
event, Mock stated that Catalina thereafter provided the mix design for the job.
Mock
testified that he was not involved in placing the actual orders for the concrete for the Mesa Vista South
project. That was done through the CDR order desk.
Mock's
testimony provides ample evidence to support the findings of the trial court. The court "conclude[d], by a
rather slim margin, but nevertheless by a preponderance of the evidence, that it [was] more likely than not that
Mr. Mock did read the subject paragraph from the soils report to Mr. Klawitter." While the court considered it
to be "a close decision on the evidence," it determined that California Portland had received actual notice of
its need to comply with the Sulfate Table.
California
Portland nonetheless maintains there is no evidence that Klawitter made any recommendations regarding the
specific concrete type suitable for installation at Mesa Vista South. However, the record does indeed contain
evidence to show that Catalina supplied the mix design. While Klawitter testified that he did not remember the
particular job, Mock testified that he had an explicit recollection of his conversation with Klawitter, because
of the unusual soils report reference to the Sulfate Table. Mock also testified that it was Catalina's custom to
provide the mix design for CDR to thereafter use in ordering and that Catalina did so in this case. Contrary to
California Portland's assertion, this evidence is sufficient to support the judgment.
(b)
Application of case law
The
trial court findings notwithstanding, California Portland maintains that it is not liable in negligence because
it supplied a nondefective component that met the {Slip Opn. Page 12} project specifications and that it was not
required to second-guess the sophisticated buyer who placed the order. This argument overlooks the court's
implied finding: The buyer placed the order using the mix design that California Portland had specified, not
using specifications from the O'Strand plans. This implied finding eviscerates the argument that California
Portland cannot be liable because someone else specified the mix design and that California Portland merely
delivered what was ordered pursuant to that mix design for which it bore no responsibility. California Portland
was responsible for the mix design.
California
Portland nonetheless cites passages from Artiglio, supra,
61 Cal.App.4th 830,
which it contends support its argument. As California Portland points out, the Artiglio court stated the
general proposition that "'[i]nappropriate decisions regarding the use of [raw] materials are not attributable to
the supplier of the raw materials but rather to the fabricator that puts them to improper use. The manufacturer of
the integrated product has a significant comparative advantage regarding selection of materials to be used.
Accordingly, raw materials sellers are not subject to liability for harm caused by defective design of the
end-product. . . .' [Citation.]" (Id. at p. 839.) What California Portland fails to acknowledge is that the
inappropriate decision regarding the use of the concrete in this case was attributed to itself, as the supplier
that recommended the mix design. It was not attributed to the fabricator of the foundation, who relied upon
California Portland's recommendation.
California
Portland also argues it cannot be held liable because the component it supplied was not defective. It correctly
cites the portion of the statement of decision providing that "[t]he evidence established . . . that even if the
concrete supplied was not suitable for the Mesa Vista South project, it would have performed adequately in other
environments. The problem here is that this concrete was used in an environment subjecting it to Sulfate
Attack." In other words, California Portland claims the product {Slip Opn. Page 13} was not defective at all,
and it cannot be liable for misuse of a nondefective product by an end-user.
California
Portland omits to quote all the relevant language from the statement of decision. Immediately after the language
quoted above, appear the words: "Although it may not have met established standards for severe sulfate exposure,
it was nevertheless adequate for other purposes. This being so, a finding of fault in supplying the particular
mix design is required." The court's point was that the concrete, while suitable for use in some soils
conditions, was not suitable for use in severe sulfate conditions, so the question was not whether the product
was inherently defective in all contexts, but whether California Portland was at fault for specifying a mix
design that was inappropriate for the known soils conditions. We see no flaw in this reasoning.
The
situation is analogous to one in which a manufacturer supplies a standard bleach. The bleach, if applied to a
white fabric, may produce an excellent result. However, if the manufacturer recommends the use of its bleach for
application to a red and green tartan print, the results could be disastrous and the question would arise as to
whether the manufacturer was at fault for recommending the bleach for use in that context, when it should have
known that only a color-safe bleach could have been used safely.
In
Artiglio, supra,
61 Cal.App.4th 830,
the supplier sold silicone compounds, which it produced to meet purchaser specifications. The purchaser cooked them
into silicone gel and silicone shells and used the resulting items to manufacture breast implants. The court held
that the silicone compound manufacturer had no duty to warn ultimate consumers as to the possible dangers of the
breast implants.
The
court stated that the duty of a component manufacturer or supplier to warn of the dangers of its product was not
unlimited. (Artiglio, supra, 61 Cal.App.4th at p. 837.) {Slip Opn. Page 14} As it explained, "'Making
suppliers of inherently safe raw materials and component parts pay for the mistakes of the finished product
manufacturer would not only be unfair, but it also would impose [an] intolerable burden on the business world .
. . . Suppliers of versatile materials like chains, valves, sand gravel, etc., cannot be expected to become
experts in the infinite number of finished products that might conceivably incorporate their multi-use raw
materials or components.' [Citation.]" (Ibid.) The court then stated that there were certain "factors
which should be carefully considered in evaluating the liability of component suppliers." (Ibid.) It
concluded "that component and raw material suppliers are not liable to ultimate consumers when the goods or
material they supply are not inherently dangerous, they sell goods or material in bulk to a sophisticated buyer,
the material is substantially changed during the manufacturing process and the supplier has a limited role in
developing and designing the end product." (Id. at p. 839.)
In
the case before us, the trial court questioned whether Artiglio, supra,
61 Cal.App.4th 830 was
even applicable, because it was a failure-to-warn case, unlike the case before us. However, the court nonetheless
addressed the four factors enumerated in Artiglio. It concluded the product was not inherently dangerous,
CDR was a sophisticated buyer, and California Portland had a limited role in developing and designing the end
product, which the court, adopting the viewpoint of the plaintiff, construed as the entire residential structure.
Therefore, three of the factors were satisfied. However, the court also found that the concrete was not
substantially changed during the process of manufacturing the slabs and foundations, because it was placed
substantially as delivered. Because of the failure of one of the four factors, the court concluded that
Artiglio did not provide a defense.
California
Portland asserts the court erred in its analysis of the Artiglio, supra,
61 Cal.App.4th 830 decision
in several respects. First, it complains that the court "refused" to apply the component supplier defense because
it wrongly characterized {Slip Opn. Page 15} Artiglio as a "failure to warn" case. This criticism misses the
mark. While the court did question whether Artiglio applied, on account of that characterization, it
nonetheless proceeded to analyze the Artiglio factors as though they did apply. The court simply found that
the four factors were not all met.
Next,
California Portland argues that the court erred in determining that the component supplier defense was not
available because of the failure of one of the four factors. California Portland contends that Artiglio,
supra,
61 Cal.App.4th 830 did
not require that each of the four factors be present before the defense is available. We agree with this reading of
the case.
However,
that does not mean that we disagree with the conclusion of the trial court in the matter before us. Artiglio,
supra,
61 Cal.App.4th 830 enumerated
four factors for consideration and the court in the case before us considered each one of the four factors. It was
persuaded that, because of the failure of one of those factors, the component supplier defense should not insulate
California Portland from liability. Just as Artiglio does not state that the defense must fail if one factor
is not met, it also does not state that the defense must be applied if three out of four factors are met.
In
an effort to down-play the significance of the fact the concrete was not substantially altered during the
process of manufacturing the slabs and foundations, California Portland draws our attention to 6 Witkin, Summary
of California Law (2003 supp.) Torts, section 1253A, page 532. The treatise provides: "One who is engaged in the
business of selling or otherwise distributing product components and sells or distributes a component is subject
to liability for harm caused by a product into which the component is integrated in either of the following
circumstances (Rest.3d, Torts: Products Liability §5): [¶] (1) The component is defective in itself, and the
defect causes the harm. [¶] (2) The seller or distributor of the component substantially participates in the
integration of the component into the design of the product; the integration of the component causes the product
to be defective; and the defect in the product causes the {Slip Opn. Page 16} harm." (Ibid.) Applying
this summary of law provides no better result for California Portland than does applying the four factors of
Artiglio, supra,
61 Cal.App.4th 830.
Here,
the first instance the treatise describes does not apply, because the concrete is not inherently defective. It
may be suitable for use in different soils conditions. However, this case falls within the second enumerated
circumstance, showing California Portland is subject to liability. The court found that California Portland
"played a substantial role, actually, the sole role, in developing and designing the concrete mix." Thus,
California Portland, as the seller of the component, substantially participated in the integration of the
concrete into the design of the foundations, and for that matter, the entire residential structure. It provided
the mix design in response to Mock's request for one in compliance with the Sulfate Table. It was the
integration of the product, i.e., the use of the particular concrete in soils with a severe sulfate condition,
that caused the slabs and foundations to be defective, resulting in deterioration that will continue over time.
California
Portland does not accept this analysis because it does not agree with the court's finding that California
Portland was responsible for providing the inappropriate mix design. Nevertheless, as stated above, there is
sufficient evidence to support this finding. fn.
6 {Slip Opn. Page 17}
(2)
Economic Loss Rule
(a)
In general
California
Portland argues that the economic loss rule bars an award of damages with respect to the damaged concrete
itself. The National Ready Mixed Concrete Association and the Southern California Ready Mixed Concrete
Association have filed an amicus brief in support of the proposition that the economic loss rule should be
construed to preclude the recovery of damages in a negligence action where a defect in a product causes physical
injury only to the product itself. Mesa Vista, of course, disagrees.
At
the outset, we observe that the proper application of the economic loss rule requires the review of a morass of
case law, and distilling those cases into an easily workable rule is a daunting task. We receive guidance from
two fairly recent Supreme Court cases on the topic -- Jimenez, supra,
29 Cal.4th 473 and
Aas, supra,
24 Cal.4th 627. In
Aas, the court stated: "In actions for negligence, a manufacturer's liability is limited to damages for
physical injuries; no recovery is allowed for economic loss alone. [Citation.] This general principle, the
so-called economic loss rule, is the primary obstacle to plaintiffs' claim." (Aas, supra, 24 Cal.4th at p.
636, fn. omitted.)
In
an effort to surmount this obstacle, Mesa Vista begins its discussion by asserting that California Portland has
put the cart before the horse in labeling the damages in this case as purely "economic losses." "'"Economic"
loss or harm has been defined as "damages for inadequate value, costs of repair and replacement of the defective
product or consequent loss of profits -- without any claim of personal injury or damages to other property . . .
."' [Citations.]" (Sacramento Regional Transit Dist. v. Grumman Flxible (1984)
158 Cal.App.3d 289,
294 (Sacramento RTD); accord, Jimenez, supra, 29 Cal.4th at p. 482.) Put another way, "[t]he cost to
repair or replace the defective product itself is purely economic loss and is not recoverable in tort. [Citation.]"
(Casey, supra, 74 Cal.App.4th at p. 124, fn. 8., {Slip Opn. Page 18} disapproved on another point in
Jimenez, supra, 29 Cal.4th at p. 481, fn. 1.)
In
the case before us, the trial court found that the concrete had suffered submicroscopic damage from sulfate
attack but that there was insufficient evidence to show that the unsuitable concrete mix had resulted in damage
to any part of the property other than the concrete itself. It awarded damages it found were reasonably required
for the repair of the concrete slabs and foundations, but no damages with respect to any other property. A
cursory look at the above-quoted definitions would lend support to California Portland's argument that the costs
to repair the defective concrete itself are purely economic losses, not recoverable in tort. However, we must
look beyond the bare bones definition of the term "economic loss" to the application and interpretation of the
economic loss rule.
Mesa
Vista argues that the economic loss rule, at least to the extent it requires damage to "other property," should
not be applied in the context of consumer claims. Perhaps more fundamentally, it also contends that the rule
should not be interpreted to require that a defective component cause damage to a nondefective component.
Rather, in order for recovery to be permitted, all that need be shown is appreciable physical damage. We will
address these arguments in turn.
(b)
Arguments concerning consumer claims
As
Mesa Vista sees it, when taken in historical perspective, the economic loss rule was never intended to apply
when a consumer's property suffers damage. According to Mesa Vista, the first California case to bar recovery
due to lack of damage to "other property" was Sacramento RTD, supra,
158 Cal.App.3d 289, a
commercial law case. In Sacramento RTD, an operator of a fleet of busses discovered broken or cracked fuel
tank supports in at least 26 busses and further that all of the 77 other busses it had purchased would likely
suffer the same damage unless remedial repairs were made. The contractual warranty from the manufacturer of the
busses had expired before the defects {Slip Opn. Page 19} were discovered, so the operator sought damages upon
theories of negligence and products liability. The court held "that a complaint filed by a plaintiff who is a
merchant (Cal. U. Com. Code, § 2104, subd. (1)) fails to state a tort cause of action for strict liability or
negligence against a manufacturer of a product purchased by the merchant where the only injury alleged is the cost
of repair of a defect in the product." (Id. at p. 291.)
In
addressing the economic loss rule, the Sacramento RTD court said plainly and simply: "Plaintiff failed to
allege physical injury to its property apart from the manifestation of the defect itself in the busses. The rule
imposing strict liability in tort for damage to property presupposes (1) a defect and (2) further damage
to plaintiff's property caused by the defect. When the defect and the damage are one and the same, the defect
may not be considered to have caused the physical injury. [Citation.] The expenses of repair plaintiff has
incurred, and will incur in the future, are purely economic damages. [Citations.]" (Sacramento RTD,
supra, 158 Cal.App.3d at p. 294, fn. omitted.)
In
applying this rule, the Sacramento RTD court emphasized that the Uniform Commercial Code regulated the
sale of the busses to the plaintiff and the warranty liability with respect to the defects. (Sacramento RTD,
supra, 158 Cal.App.3d at pp. 295-296.) It further stated that the doctrine of strict liability in tort was
not designed "to undermine the warranty provisions of the sales act or of the Uniform Commercial Code . . . .'
[Citation.]" (Sacramento RTD, supra, 158 Cal.App.3d at p. 295.)
Mesa
Vista is correct that Sacramento RTD, supra,
158 Cal.App.3d 289 was
not a consumer damages case. Indeed, the court implied that the commercial buyer could protect itself by
negotiating warranty provisions. (Id. at p. 295.) However, later cases have extended the application of the
economic loss rule to the consumer damages context. {Slip Opn. Page 20}
The
Supreme Court decision in Aas, supra, 24 Cal.4th 627 is of particular import. There, homeowners and a
homeowners association sought recovery of construction defect damages. The plaintiffs acknowledged that many of
the construction defects had not actually caused property damage. The trial court granted motions in limine to
exclude evidence of those construction defects that had not caused property damage. In addressing whether the
plaintiffs could "recover damages in negligence from the developer, contractor and subcontractors who built
their dwellings for construction defects that have not caused property damage[,]" the Supreme Court "[applied]
settled law limiting the recovery of economic losses in tort actions [citation], [and] answer[ed] the question
in the negative . . . ." (Id. at p. 632.)
Mesa
Vista argues that the Supreme Court in Aas, supra, 24 Cal.4th 627 did not squarely address the issue Mesa
Vista frames, i.e., "whether the economic loss rule should have a shorter reach where the injured party is not a
merchant, or a business, but a non-commercial consumer[?]" (Footnote omitted.) Mesa Vista overlooks the fact
that the Aas court touched upon this issue in its discussion of the landmark case of Seely v. White
Motor Company (1965)
63 Cal.2d 9 (Seely).
In Seely, the court held that the plaintiff could not recover economic losses for the repair of a defective
truck used in a business setting or for the income lost because the truck was out of commission. (Aas,
supra, 24 Cal.4th at p. 640.) The Aas court indicated that the economic loss principles enunciated in
Seely were not limited in application to the commercial context. (Id. at p. 642.)
In
any event, while the Supreme Court in Aas, supra,
24 Cal.4th 627 may
not have engaged in the exact debate Mesa Vista would have liked, it clearly answered the question of whether the
economic loss rule applies in the context of residential property construction defects. The facts of the Aas
case speak for themselves. Consumer claims were at issue and the court applied the economic loss rule to bar
recovery under a negligence theory on the facts before it. (Id. at p. 632.) The answer is clear: The {Slip
Opn. Page 21} economic loss rule may apply in the consumer claim context. This is not the end of our analysis,
however.
(c)
Arguments concerning appreciable physical damage
1.
General requirement of damage to "other property"
We
now turn to Mesa Vista's argument that the rule should require only appreciable physical damage apart from the
defect itself. Mesa Vista contends it would go too far to require that a defective component cause damage to a
different, nondefective component in order to allow recovery. It acknowledges that language in Aas,
supra,
24 Cal.4th 627 and
Jimenez, supra,
29 Cal.4th 473 seemingly
requires damage to a separate component, i.e., "other property," but asserts that the language is only dictum.
Some
of the most plain language is contained in Jimenez, supra, 29 Cal.4th at page 483, wherein the Supreme
Court stated: "To apply the economic loss rule, we must first determine what the product at issue is. Only then
do we find out whether the injury is to the product itself (for which recovery is barred by the economic loss
rule) or to property other than the defective product (for which plaintiffs may recover in tort)." This sweeping
language is consistent with much prior case law (see, e.g., Zamora v. Shell Oil Co. (1997)
55 Cal.App.4th 204 [Zamora]
and Sacramento RTD, supra,
158 Cal.App.3d 289),
and would appear to answer the question point blank. Taken in isolation, this language would appear to state quite
clearly that the economic loss rule, as commonly phrased, bars recovery for damage to the product itself.
Even
so, one might question whether this seemingly hard-and-fast statement of the rule should apply in every case. In
a case such as the one before us, there will be additional damage in the future, not only to the disintegrating
product itself, but, by logical inference, to other portions of the structure as well. One might wonder whether
there should be an exception to the rule when damage to the product itself may be seemingly insignificant today,
but is destined to worsen and likely to cause damage to "other property" and perhaps to undermine the very
structural integrity of a home. Yet {Slip Opn. Page 22} the Supreme Court has also spoken plainly as to the
significance of possible future damage, stating: "The breach of a duty causing only speculative harm or the
threat of future harm does not normally suffice to create a cause of action. [Citation.]" (Aas, supra, 24
Cal.4th at p. 646.)
One
of the cases the Supreme Court cited in Aas, supra, 24 Cal.4th at page 646 in connection with its
discussion of the threat of future harm was Zamora, supra,55 Cal.App.4th 204. In Zamora, the
defendant manufactured a resin used to make polybutylene pipes. The pipes were installed in 34 new homes, some
of which suffered leaks in their plumbing systems. The defendant appealed the judgments against it with respect
to the 14 homes that had suffered no leaks. The parties agreed that the sole damage to those homes was in the
form of degradation and "micro-cracking" of the plumbing systems. (Id. at p. 208.) The court reversed the
judgments in favor of those 14 homeowners. It stated: "To the extent the homeowners contend they have suffered
damage to the PB pipes by degradation and 'micro-cracking' of the PB pipes, Seely and its progeny
preclude a negligence cause of action based on damage solely to the defective product. [Citations.]" (Id.
at p. 211.) It further emphasized that "appreciable present harm, not merely the threat of future harm, is
required." (Ibid.)
Zamora,
supra,
55 Cal.App.4th 204,
cited with apparent approval in both Aas, supra, 24 Cal.4th at page 646 and Jimenez, supra, 29
Cal.4th at page 483, bears substantial similarity to the case before us. Where in Zamora there was
"micro-cracking" of pipes that had neither commenced leaking nor caused damage to other property, in the case
before us there is submicroscopic damage to the concrete which has not resulted in a current lack of worthiness of
the slabs or foundations or damage to other portions of the structures. Were we to look exclusively at
Zamora, and focus only on the most obvious factual similarities, we might conclude Mesa Vista had no avenue
of recovery.
Indeed,
a surface analysis of other cases might counsel the same conclusion. One such case is Casey,
supra,
74 Cal.App.4th 112 (disapproved
on another {Slip Opn. Page 23} point in Jimenez, supra, 29 Cal.4th at p. 481, fn. 1). In Casey, a
group of homeowners filed an action against the developer of the homes they had purchased and the manufacturer and
supplier of the windows contained therein. They alleged that the windows were defective and leaking. They settled
with the developer, but not the window manufacturer/supplier. The court granted the manufacturer/supplier's motion
for summary adjudication as to the strict liability cause of action, holding that the doctrine of strict product
liability could not be applied to a manufacturer/supplier. (Casey, supra, 74 Cal.App.4th at pp. 119-120.)
The homeowners' negligence cause of action remained.
The
court granted the manufacturer/supplier's motion in limine to exclude the testimony of the homeowners' cost
estimator. (Casey, supra, 74 Cal.App.4th at p. 117.) The homeowners stipulated that their cost estimator
would testify that the "'only method of repair . . . [was] for the removal and replacement of all the windows in
all the homes.'" (Ibid.) The manufacturer/supplier moved for nonsuit on the negligence cause of action
and the court granted the motion. (Id. at pp. 117-118, 124.) The appellate court affirmed. (Id. at
p. 124.) It concluded that the homeowners had admitted that their cost estimator would not testify that the
repair would include work beyond the replacement of the defective windows themselves, such as new drywall or
framing. Therefore, they had admitted that they had no evidence to support any claim for damages other than for
economic loss, for which recovery was unavailable. (Ibid.)
The
economic loss rule, as applied in both Casey, supra,
74 Cal.App.4th 112 and
Zamora, supra,
55 Cal.App.4th 204,
would appear to present a significant stumbling block in the road to Mesa Vista's recovery of damages. This is
particularly true because more recent cases continue to approve of many of the principles enunciated in
Casey and Zamora. At the same time, a detailed analysis of Jimenez, supra,
29 Cal.4th 473 and
Aas, supra,
24 Cal.4th 627 yields
a result in our case that differs from the results in Casey and Zamora. {Slip Opn. Page 24}
2.
Jimenez, supra, 29 Cal.4th 473
The
Supreme Court in Jimenez, supra, 29 Cal.4th at page 484 indicated its approval of the portion of the
Casey affirming the nonsuit on the negligence cause of action because of the failure to prove damage to
any portion of the property other than the defective windows. (See also Carrau v. Marvin Lumber and Cedar
Company (2001)
93 Cal.App.4th 281.)
It disapproved Casey only to the extent the case disagreed with the proposition that the manufacturer of a
defective product installed in a mass-produced home may be held strictly liable for damage that the defective
product causes to other parts of the home. (Jimenez, supra, 29 Cal.4th at p. 481, fn. 1.) The court stated
quite broadly: "In summary, the economic loss rule allows a plaintiff to recover in strict products liability in
tort when a product defect causes damage to 'other property,' that is, property other than the product
itself. The law of contractual warranty governs damage to the product itself. [Citations.]" (Jimenez,
supra, 29 Cal.4th at p. 483.)
Following
the Supreme Court decision in Jimenez, supra,
29 Cal.4th 473, it
might appear, as California Portland argues, that the economic loss rule plainly and simply requires damage to
property other than the defective component part itself and that this is the answer to the case, period. Despite
the sweeping language used in that case, however, we disagree with California Portland's characterization of the
economic loss rule. Jimenez does not preclude recovery in the case before us. We shall explain why.
In
Jimenez, supra,
29 Cal.4th 473,
homeowners brought an action against window manufacturers, suppliers and installers. They asserted that the windows
were defective and that the defects had caused property damage, including damage to framing, drywall, stucco,
insulation, paint, baseboards, and floor and wall coverings. (Id. at p. 476.) They framed strict liability
and negligence causes of action. The trial court granted summary adjudication on the strict liability cause of
action in favor of the window manufacturers. (Ibid.) The appellate court issued a writ directing the trial
court {Slip Opn. Page 25} to vacate its order. (Id. at p. 477.) The Supreme Court affirmed, holding that the
manufacturers could be subject to strict products liability in tort. (Id. at pp. 481, 485.)
One
of the grounds upon which the defendant manufacturers sought to have the trial court ruling upheld was the
economic loss rule. They argued that the product was the entire house, not the windows in isolation, and that
since the only damage was to the product itself, not to any "other property," the economic loss rule barred
recovery. (Jimenez, supra, 29 Cal.4th at p. 483.) The Supreme Court disagreed, stating: "California
decisional law has long recognized that the economic loss rule does not necessarily bar recovery in tort for
damage that a defective product (e.g., a window) causes to other portions of a larger product (e.g., a house)
into which the former has been incorporated." (Ibid.)
It
is critical to note that the Supreme Court, in analyzing the application of the economic loss rule, addressed
merely whether the economic loss rule necessarily precluded recovery of damages in the case before it, in which
damage to other parts of the structure caused by the defective windows was alleged. It held that damages were
not necessarily barred in that context and that the appellate court did not err in directing the vacation of the
summary adjudication. The question before us, i.e., whether the economic loss rule always bars recovery of
damages when the only present damage is to the defective product itself, very simply was not at issue in
Jimenez, supra,
29 Cal.4th 473.
The
Supreme Court itself acknowledged the narrow scope of its opinion. It stated that it had "no occasion . . . to
consider whether defective raw materials should be treated in the same manner as component parts or whether
there may be situations in which the economic loss rule would bar recovery for damages that a defective
component part causes to other portions of the finished product of which it is a part. We hold only that, under
California decisional law, the economic loss rule does not bar a homeowner's {Slip Opn. Page 26} recovery in
tort for damage that a defective window causes to other parts of the home in which it has been installed."
(Jimenez, supra, 29 Cal.4th at p. 484.)
We
observe that the Supreme Court in Jimenez, supra,
29 Cal.4th 473 also
had no occasion to address the significance of the negligence theory of recovery predicated on Biakanja v.
Irving (1958)
49 Cal.2d 647 and
J'Aire, supra,
24 Cal.3d 799 (the
Biakanja/J'Aire theory), a theory upon which the trial court in the matter before us relied in establishing
liability. Inasmuch as Jimenez was a strict liability case, the application of the Biakanja/J'Aire
theory was not at issue. Therefore, nothing in Jimenez precludes recovery under the Biakanja/J'Aire
theory, in the case before us.
Finally,
we note the Supreme Court in Jimenez, supra,
29 Cal.4th 473,
discussed some foundational underpinnings of the economic loss rule that are of particular importance in the case
before us. The court reiterated that, as it had explained in Aas, supra,
24 Cal.4th 627,
recovery of damages would be precluded by the economic loss rule, absent "'appreciable, nonspeculative, present
injury . . . .' [Citation.]" (Jimenez, supra, 29 Cal.4th at p. 483.) Thus, it stressed the importance of
proof of "appreciable harm" as a predicate to recovery of damages. We thus turn our attention to the discussion of
that principle, as well as the Biakanja/J'Aire theory, contained in Aas, supra,
24 Cal.4th 627.
3.
Aas, supra, 24 Cal.4th 627
In
Aas, supra,
24 Cal.4th 627 homeowners
and a homeowners association filed actions against the developers, general contractors and many subcontractors
involved in the construction of homes. They alleged a variety of construction defects, although we do not have all
the particulars. It would appear that many of the construction defects were in the nature of deviations from
industry standards and applicable building codes. For example, some of the purported building code violations
included improperly constructed shear walls and fire protection walls, improperly supported electrical cables and
light fixtures, and improperly labeled electrical circuits. {Slip Opn. Page 27} (Id. at p. 633, fn. 1.) The
plaintiffs asserted negligence, strict liability, and other causes of action. They sought the cost of repairing the
alleged defects and damages for the diminution in value of their homes.
As
mentioned previously, the plaintiffs in Aas, supra,
24 Cal.4th 627 admitted
that many of the defects had not actually caused property damage. (Id. at p. 633.) Accordingly, the trial
court granted the defendants' motions in limine to exclude evidence of the alleged construction defects that had
not resulted in physical property damage. (Id. at pp. 633-634.) The Supreme Court took review of
consolidated writ proceedings. Treating the motions in limine as motions for judgment on the pleadings, the court
framed the issue of law as "whether plaintiffs may state a cause of action for construction defects that have not
caused property damage. [Citation.]" (Id. at p. 635.) It concluded that the economic loss rule barred
recovery. (Id. at p. 632.) However, the court expressly stated that it did not address liability for any
construction defects that may have caused property damage. (Id. at p. 635.)
At
the outset of its analysis, the Supreme Court stated: "Speaking very generally, tort law provides a remedy for
construction defects that cause property damage or personal injury. Focusing on the conduct of persons involved
in the construction process, courts in this state have found such a remedy in the law of negligence. Viewing the
home as a product, courts have also found a tort remedy in strict products liability, even when the property
damage consists of harm to a sound part of the home caused by another, defective part. For defective products
and negligent services that have caused neither property damage nor personal injury, however, tort remedies have
been uncertain. Any construction defect can diminish the value of a house. But the difference between price paid
and value received, and deviations from standards of quality that have not resulted in property damage or
personal injury, are primarily the domain of contract and warranty law or the law of fraud, rather than of
negligence." (Aas, supra, 24 Cal.4th at pp. 635-636, fns. omitted.) {Slip Opn. Page 28}
In
continuing its discussion, the Supreme Court in Aas, supra,
24 Cal.4th 627 engaged
in a historical overview of the cases originating and developing the economic loss rule. The court mentioned that,
in Sabella v. Wisler (1963)
59 Cal.2d 21, it
had upheld a judgment for property damage when the negligent preparation of a residential lot was a factor in
causing subsidence and damage to a house. It noted that "[i]n the years following Sabella,
supra,
59 Cal.2d 21,
the law governing tort remedies for construction defects diverged into two distinct theories: (1) strict products
liability; and (2) the theory of negligence outlined in Biakanja, supra,
49 Cal.2d 647,
and further developed in J'Aire, supra,
24 Cal.3d 799."
(Aas, supra, 24 Cal.4th at pp. 638-639.) The court then addressed these two different theories.
It
first addressed the strict products liability theory. The Supreme Court in Aas noted that case law had
"applied the doctrine of strict liability to mass-produced homes, [but had] not create[d] a remedy for defects
that have not caused property damage or personal injury. Whatever the product, whether homes or automobiles,
strict liability affords a remedy only when the defective product causes property damage or personal injury. The
tort does not support recovery of damages representing the lost benefit of a bargain, such as the cost of
repairing a defective product or compensation for its diminished value." (Aas, supra, 24 Cal.4th at p.
639.)
The
Supreme Court in Aas, supra,
24 Cal.4th 627 then
considered its prior decision in Seely, supra,
63 Cal.2d 9, in
which it held that the plaintiff could not recover in either strict liability or negligence for the cost of
repairs for a defective truck. The Aas court then quoted its prior language from Seely, which did not
focus exclusively on strict liability: "'Even in actions for negligence,' we wrote, 'a manufacturer's liability is
limited to damages for physical injuries and there is no recovery for economic loss alone.' [Citation.]" (Aas,
supra, 24 Cal.4th at p. 640.) The Aas court acknowledged that this language could be construed as
dictum, but disposed of that argument. It stated that "the principle articulated in Seely has by critical
examination and application in {Slip Opn. Page 29} subsequent cases been confirmed as law." (Ibid.) The
court then proceeded to review subsequent cases relying on Seely, including Casey, supra,
74 Cal.App.4th 112,
Zamora, supra,
55 Cal.App.4th 204,
and Sacramento RTD, supra,
158 Cal.App.3d 289.
Following
that discussion, the Supreme Court addressed the development and application of the Biakanja/J'Aire
theory, on which the Aas plaintiffs had placed heavy reliance. The court in J'Aire, supra,
24 Cal.3d 799 addressed
the duty owed to a person not in privity with the defendant. Specifically, it asked whether a special relationship
existed that would permit the recovery of economic damages by a commercial tenant; the tenant had suffered business
losses due to the lack of diligence of a contractor with whom the tenant was not in privity. In pondering this
question, the J'Aire court stated: "Liability for negligent conduct may only be imposed where there is a
duty of care owed by the defendant to the plaintiff or to a class of which the plaintiff is a member. [Citation.] A
duty of care may arise through statute or by contract. Alternatively, a duty may be premised upon the general
character of the activity in which the defendant engaged, the relationship between the parties or even the
interdependent nature of human society. [Citation.] Whether a duty is owed is simply a shorthand way of phrasing
what is '"the essential question -- whether the plaintiff's interests are entitled to legal protection against the
defendant's conduct."' [Citations.]" (Id. at p. 803.)
In
order to determine whether a duty existed in the case before it, the court in J'Aire, supra,
24 Cal.3d 799 balanced
six factors, as first set forth in the Biakanja v. Irving, supra,
49 Cal.2d 647 decision.
Those factors were: "(1) the extent to which the transaction was intended to affect the plaintiff, (2) the
foreseeability of harm to the plaintiff, (3) the degree of certainty that the plaintiff suffered injury, (4) the
closeness of the connection between the defendant's conduct and the injury suffered, (5) the moral blame attached
to the defendant's conduct and (6) the policy of preventing future harm. [Citation.]" (J'Aire, supra, 24
Cal.3d at p. 804, fn. omitted.) Upon balancing those {Slip Opn. Page 30} factors, the J'Aire court held the
defendant did indeed owe a duty to the plaintiff. (Id. at p. 808.)
The
Aas court noted that lower courts had applied the Biakanja/J'Aire theory in a wide variety of
contexts. (Aas, supra, 24 Cal.4th at pp. 644-645.) It then proceeded to apply those six factors to the
case before it. The Aas plaintiffs' argument that the Biakanja/J'Aire factors permitted the
recovery of damages fell flat upon consideration of the third factor, i.e., "the degree of certainty that the
plaintiff suffered injury." (Biakanja v. Irving, supra, "49 Cal.2d at p. 650.) As the court in Aas,
supra, 24 Cal.4th at page 646 put it, "[c]onstruction defects that have not ripened into property damage, or
at least into involuntary out-of-pocket losses, do not comfortably fit the definition of '"appreciable harm"' --
an essential element of a negligence claim. [Citations.]" It emphasized that "appreciable, nonspeculative,
present injury" was a "fundamental prerequisite to a tort claim" and that J'Aire, supra,
24 Cal.3d 799 had
not dispensed with that requirement. (Aas, supra, 24 Cal.4th at p. 646.) The court concluded that, "applying
the J'Aire factors, we do not find they justify a broad rule permitting recovery of repair costs
unaccompanied by property damage or personal injury." (Id. at p. 647.)
As
California Portland sees it, this analysis is dispositive of the issues before us. California Portland maintains
that the Supreme Court in Aas, supra,
24 Cal.4th 627 made
clear that the Biakanja/J'Aire theory does not permit recovery in the context before us. We are not
persuaded.
The
Supreme Court in Aas, supra,
24 Cal.4th 627 laid
out a full analysis of the Biakanja/J'Aire factors. It concluded that one of them, i.e., the third factor,
was not satisfied, even assuming the other five factors were. It explained that, on the facts before it, there
could be no recovery for construction defects because those defects had not caused appreciable harm. Therein lies
the key. In the case before us, the existence of appreciable harm is clear. {Slip Opn. Page 31}
As
the decision in Aas, supra,
24 Cal.4th 627 reflects,
the trial court excluded evidence of defects that had not caused physical property damage or bodily injury. It
"illustrated the possible effect of its ruling with the example of 'a home with no resultant damages at all, but
everybody agrees that the flashing's not lapped properly under the industry standards, . . . but it hasn't resulted
in any leaks; everybody agrees that the tile is overextended, that is, it doesn't have the overlap of three inches
that's called for by the manufacturer; that you have a nailing pattern on the shear walls which does not comply
with the applicable provision in the [Uniform Building Code], but the house is still standing and hasn't started
swaying . . . .'" (Id. at p. 634.) There is a marked difference between those examples and the defect in the
case before us. If the flashing is not lapped properly, the tile is not set properly, or the nails are not placed
in the pattern of choice, that does not mean that the flashing, the tile or the nails are defective. Each item may
be in peak condition, having neither suffered nor caused damage. It is just that the manner in which each item has
been affixed to the structure is not optimum. This is a sharp contrast to the situation before us, in which the
concrete has begun to decay. The product itself is not sound.
These
examples aside, the opinion in Aas, supra,
24 Cal.4th 627 does
not contain a great deal of information about the actual defects alleged. However, in discussing the degree of
moral blame that should attach to conduct resulting in construction defects, the court indicated that little moral
blame should be assigned with respect to lesser defects "and to such flaws as doors that are out of plumb,
discolored drain stoppers, and inoperable garbage disposals, to take a few examples from this case." (Id. at
p. 647.) Once again, these items do not fall into a category showing appreciable harm. While a door may be out of
plumb, that does not mean the door itself is damaged. It may simply have been hung improperly and is a source of
annoyance. Discolored drain stoppers and inoperable garbage disposals may be inherently defective, but these small
{Slip Opn. Page 32} items can be easily replaced and are unlikely to cause significant structural damage if left in
place over time. These items differ markedly from a decaying foundation.
One
of the plaintiffs in Aas, supra,
24 Cal.4th 627 argued
that "the express purpose of the building codes [was] to 'provide minimum standards to safeguard life or limb,
health, property and public welfare . . . .' (U. Bldg. Code, § 102, Cal. Code Regs., tit. 24, former § 2-102.)"
(Id. at p. 647.) In response to this argument the Supreme Court stated: "Plaintiffs have not shown, however,
that any of the alleged defects actually poses a serious risk of harm to person or property. To say, as plaintiffs
do, that the purpose of construction standards for shear walls is to 'minimize property damage and personal injury
in the event of seismic and wind forces,' is not to say that any given defect is sufficiently grave to pose a
realistic risk of structural failure." (Ibid.)
The
situation before us, however, is significantly different. The foundations are decaying. As the ever-present
sulfate conditions continue to work their damage, the condition of the foundations will worsen. This is not a
case in which the structures will remain sound absent possible seismic events or catastrophic wind conditions.
The foundations will deteriorate over time because of the constant sulfate attack. Moreover, we are talking
about the foundations of the structures. Logic would indicate that as the foundations disintegrate, at some
point there may indeed be a realistic risk of structural failure.
In
sum, in the case before us, not only is there present, nonspeculative harm, in the form of current
submicroscopic damage to the concrete, there will be continued degradation of the foundations, possibly leading
to the loss of structural integrity of the homes in later years. The trial court, after reviewing the technical
evidence, found that unless the concrete is somehow repaired, it "will disintegrate." The harm here is certainly
appreciable. This being so, the third Biakanja/J'Aire factor is satisfied in this case, where it was not
in Aas, supra,
24 Cal.4th 627. We
turn now to the remaining five factors. {Slip Opn. Page 33}
We
are willing to assume, as was the Supreme Court in Aas, supra,
24 Cal.4th 627,
"that the conduct of a person engaged in construction is 'intended to affect' all foreseeable purchasers of the
property. (J'Aire, supra,
24 Cal.3d 799,
804 [factor (1)]; [citations].) We may also assume that a sufficiently 'close [] connection [exists] between . . .
defendant's conduct' and the alleged defects. (J'Aire, at p. 804 [factor (4)].)" (Aas, supra, 24
Cal.4th at pp. 646-647.) Surely, a foundation of a home is intended to benefit an owner of the home and it is
foreseeable that a crumbling foundation will affect that owner. Furthermore, there is a close connection between
the furnishing of concrete that is inappropriate for the soils conditions and the resultant damage to the concrete.
Thus, the first, second and fourth Biakanja/J'Aire factors are easily satisfied.
The
fifth and sixth factors have to do with moral blame and the policy of preventing future harm. As the court in
Aas, supra, 24 Cal.4th at page 647 indicated, some moral blame may attach to "many deviations from the
building codes ([citation] [factor (5)]), the degree of blame would appear to depend upon the nature of the
deviation." On the one hand, "significant moral blame [may inhere] in negligent construction creating a risk of
likely structural failure leading to a notice of abatement [citation] . . . ." (Ibid.) On the other hand,
"reduced moral blame [may be assigned] to less serious defects not presenting that degree of risk . . . ."
(Ibid.) While no notice of abatement has been received in the case before us, in the scheme of things a
deteriorating foundation certainly falls within the gambit of more serious defects. If the foundation is treated
now, perhaps a notice of abatement can be avoided in the future. Given the fact California Portland ignored the
requirements of the Sulfate Table and considering the seriousness of the resulting concrete defects, we deem the
moral blame factor satisfied in this case.
With
respect to the final factor, the court in Aas, supra, 24 Cal.4th at page 649 stated that the policy of
preventing future harm was "probably plaintiffs' strongest argument." However, the court was concerned that
builders should not be made "the {Slip Opn. Page 34} insurers of building code compliance, even as to defects
that have not caused property damage or personal injury." (Ibid.) Here, of course, there is
property damage, whereas in Aas there was not. Moreover, the application of the Biakanja/J'Aire
factors is a balancing test. In Aas, supra,
24 Cal.4th 627 the
third factor was not met. Given that, the policy of preventing future harm was not enough to tip the scales in
favor of liability. Here, the third factor is met and, as to the sixth factor, we are concerned with the policy of
preventing harm which does cause property damage -- to the very foundation of a home. In this case, all six
factors weigh in favor of liability. Under the Biakanja/J'Aire theory, the economic loss rule does not
preclude recovery in this case.
(3)
Strict Liability
We
turn now to the cross-appeal. Mesa Vista filed an appeal from the portions of the statement of decision
pertaining to the dismissal of the strict liability cause of action and containing findings to the effect that
damage to flooring, stucco and certain other items was not caused by the defective concrete. However, a
statement of decision is not an appealable order. (Garat v. City of Riverside (1991)
2 Cal.App.4th 259,
279, disapproved on another point in Morehart v. County of Santa Barbara (1994)
7 Cal.4th 725,
743.) We construe the cross-appeal as being taken from the judgment and the order granting the motion for judgment
on the strict liability cause of action.
Mesa
Vista argues, as noted above, that the trial court erred in granting the motion for judgment on the strict
liability cause of action. In so ruling, the trial court relied primarily on Casey, supra,
74 Cal.App.4th 112,
for the proposition that a component supplier was not subject to strict liability in a construction defect context.
As we have already observed, Jimenez, supra, 29 Cal.4th at page 481 disapproved Casey on that point,
after judgment was entered in the case before us. Mesa Vista is correct, therefore, that the trial court's ruling
with respect to the strict liability cause of action was erroneous to the extent it relied on Casey. {Slip
Opn. Page 35}
However,
we need not address whether, Casey, supra,
74 Cal.App.4th 112 having
been disapproved, California Portland should have been held liable on a strict liability cause of action. The issue
is moot, inasmuch as we affirm the award of damages in this case, on the ground of negligence. We will not, as Mesa
Vista requests, order the trial court to modify its statement of decision. (Cf. Garat v. City of Riverside,
supra, 2 Cal.App.4th at p. 279.)
III.
DISPOSITION
The
judgment is affirmed. Mesa Vista shall recover its costs on appeal.
O'Leary,
Acting P. J., and Fybel, J., concurred.
FN 1. California
Portland does business as Catalina, one of its divisions, but the two are not separate legal entities. The
litigation concerned certain transactions with Catalina.
FN 2. Code
of Civil Procedure section 631.8, subdivision (a), provides in pertinent part: "After a party has completed his
presentation of evidence in a trial by the court, the other party, without waiving his right to offer evidence in
support of his defense or in rebuttal in the event the motion is not granted, may move for a judgment. The court as
trier of the facts shall weigh the evidence and may render a judgment in favor of the moving party . . . ."
FN 3. California
Portland makes no argument with respect to the order denying the motion for a new trial. Therefore, we deem the
appeal from that order to be waived. (Kim v. Sumitomo Bank (1993)
17 Cal.App.4th 974,
979.) California Portland's limited remarks with respect to the motion to vacate are consistent with its arguments
in connection with the judgment, so we do not address them separately.
FN 4. The
statement of decision indicates that Newport National Communities was the general contractor for the Mesa Vista
South project, although Mesa Vista states in its reply brief that Newport National Construction was the general
contractor. Kluger testified that he was hired by Newport National Construction. We are unaware of the exact
relationship between these two entities and Newport National Development Company. For ease of reference, we shall
refer to the general contractor hereinafter as simply "Newport National."
FN 5. It
is unclear from the record whether the concrete was supplied by CDR Unlimited or CDR Concrete, Incorporated, its
successor. Both entities were named as defendants in the second amended complaint. The statement of decision
references "CDR Concrete" as the installer.
FN 6. California
Portland has not demonstrated trial court error with respect to the general negligence holding and the findings in
support of it. Because the court properly held California Portland liable on a general negligence theory, we need
not address California Portland's argument that the court erred in holding it liable, in addition, on a negligence
per se theory, for the purported violation of section 2604(c)(1) of the 1991 Uniform Building Code. That provision,
as addressed by the court, stated: "Concrete to be exposed to sulfate-containing solutions or soils shall conform
to the requirements of Table No. 26-A-3 or be made with a cement that provides sulfate resistance and used in
concrete with maximum water-cement ratio or minimum compressive strength from Table 26-A-3."
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