Court Opinion

ID: 4184562
Source: CourtListenerOpinion
Date Created: 2017-07-07 20:06:00.788352+00
Date Added: 2024-06-11T14:39:34.214502
License: Public Domain

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                                    Supreme Court                             Date: 2017.07.06
                                                                              14:08:24 -05'00'

                     Carney v. Union Pacific R.R. Co., 2016 IL 118984

Caption in Supreme     PATRICK JOSEPH CARNEY, Appellee, v. UNION PACIFIC
Court:                 RAILROAD COMPANY, Appellant.

Docket No.             118984

Filed                  October 20, 2016
Rehearing denied       January 23, 2016

Decision Under         Appeal from the Appellate Court for the First District; heard in that
Review                 court on appeal from the Circuit Court of Cook County, the Hon.
                       Randye A. Kogan, Judge, presiding.

Judgment               Appellate court judgment reversed; circuit court judgment affirmed.

Counsel on             Hugh C. Griffin, of Hall Prangle & Schoonveld, LLC, of Chicago, and
Appeal                 George H. Brant, of Judge, James & Kujawa, LLC, of Park Ridge, for
                       appellant.

                       Michael W. Rathsack and Mark E. McNabola, of Chicago, for
                       appellee.

                       Andrew J. Martone and Adam C. Doerr, of Hesse Martone, P.C., of St.
                       Louis, Missouri, for amicus curiae Associated General Contractors of
                       Illinois.
                              Cassidy & Mueller P.C., of Peoria (David B. Mueller, Brian A.
                              Metcalf and Caroline J. Cassidy, of counsel), for amici curiae Illinois
                              Chamber of Commerce et al.

                              Robert E. Elworth, Jessica L. Galanos and Brian D. Lee, of
                              HeplerBroom, LLC, of Chicago, for amicus curiae Illinois
                              Association of Defense Trial Counsel.

                              Kirsten M. Dunne, of Goldberg Weisman Cairo, of Chicago, for
                              amicus curiae Illinois Trial Lawyers’ Association.

     Justices                 JUSTICE THEIS delivered the judgment of the court, with opinion.
                              Chief Justice Garman and Justices Freeman, Thomas, Karmeier, and
                              Burke concurred in the judgment and opinion.
                              Justice Kilbride dissented, with opinion.
                              Justice Kilbride dissented upon denial of rehearing.

                                               OPINION

¶1         Plaintiff, Patrick Joseph Carney, filed a negligence action in the Circuit Court of Cook
       County against defendant, Union Pacific Railroad Company, after he suffered severe personal
       injuries during the removal of an abandoned railroad bridge in Chicago. The circuit court
       granted defendant summary judgment. The appellate court held that fact issues precluded
       summary judgment and reversed the circuit court’s judgment and remanded for further
       proceedings. 2014 IL App (1st) 130105-U.
¶2         For the reasons that follow, we reverse the judgment of the appellate court and affirm the
       judgment of the circuit court.

¶3                                          BACKGROUND
¶4         The record discloses the following undisputed facts. In the spring of 2006, defendant
       invited various contractors to submit bids in connection with the purchase and removal of three
       abandoned railroad bridges that spanned Arthington, Polk, and Lexington Streets in Chicago.
       Among those invited to bid was Happ’s, Inc., a scrap contractor that had worked with
       defendant and other railroads for 25 years recycling steel and railroad ties.
¶5         Before submitting a bid, company president Steven Happ contacted Patrick Leo Carney,
       owner of Carney Group, Inc., which does business as Chicago Explosive Services. Happ and
       Carney had a 20-year business relationship, and Happ had frequently enlisted Carney’s
       assistance for bridge removal jobs. Carney attended the on-site pre-bid meeting with Happ, and
       the two came to some agreement as to Carney Group’s involvement in the bridge removals
       should defendant accept the bid from Happ’s. As they had in the past, Happ and Carney had a
       handshake agreement.

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¶6         Defendant ultimately accepted the bid from Happ’s, and on July 19, 2006, defendant and
       Happ’s entered into a “Purchase and Removal Agreement.” Under the agreement, Happ’s,
       which was identified as an independent contractor, purchased the three bridges from defendant
       and agreed to provide all the labor, tools, and material necessary for the bridge removals.
       Defendant was unaware of the agreement between Happ’s and Carney Group.
¶7         The dismantling and removal of the Arthington Street bridge proceeded without incident,
       and work commenced on the Polk Street bridge. Although all three bridges were of the same
       “through-plate steel girder” design, the Polk Street bridge was by far the largest of the three. To
       remove that bridge, Happ’s first removed the rails and ties. Thereafter, workers from Happ’s
       and Carney Group removed the steel crossbeams that connected the bridge’s east and west
       horizontal girders (the bridge walls), along with the steel deck or floor plate that the
       crossbeams supported. A few crossbeams at the north and south ends of the bridge were left
       intact for support.
¶8         On July 31, 2006, Carney called plaintiff, his son, to the job site to help thread four steel
       cables through holes that had been torched in the bridge’s east girder. The cables, in turn, were
       attached to a spread bar on a crane supplied by Gatwood Crane Services. A worker from
       Carney Group then made the cuts that severed the connections between the remaining
       crossbeams and the east girder so that the crane could lift the girder and lower it onto Polk
       Street. When the crane operator attempted to lift the east girder, only the south end would lift.
       A crossbeam on the north end of the bridge was “pinched” against the east girder preventing
       the north end of that girder from lifting. While a worker made an additional cut in the
       crossbeam to free it, the crossbeam snapped, and the west girder, which was not secured or
       supported, fell to the east. At the time, plaintiff was standing north of the bridge on a
       gravel-covered steel plate.1 When the west girder fell, the steel plate moved up, and plaintiff
       slid forward under the west girder. Plaintiff’s legs were severed below his knees.
¶9         The dismantling and removal of the Polk Street bridge was completed without further
       incident under the direction of the Occupational Safety and Health Administration. As to the
       Lexington Street bridge, Happ’s hired another contractor, DMD Services, to remove it.
¶ 10       On August 8, 2007, plaintiff filed a complaint against Happ’s, which plaintiff amended
       shortly thereafter to add defendant, Union Pacific Railroad. Various third-party claims and
       counterclaims were filed. All claims were settled with the exception of plaintiff’s claim against
       defendant. In his “revised second amended complaint at law” (hereinafter, the complaint),
       plaintiff alleged that defendant was negligent in failing to discover and disclose to Happ’s or
       plaintiff the presence of the “planking,” i.e., the steel plate at the north end of the bridge.
       Plaintiff further alleged that defendant retained control over the work and safety of the
       demolition project but negligently failed to develop a demolition plan and to supervise the
       work. Finally, plaintiff alleged that defendant was negligent in hiring Happ’s.
¶ 11       Defendant filed a motion for summary judgment, which the trial court granted. Plaintiff
       appealed, and the appellate court reversed and remanded. 2014 IL App (1st) 130105-U.
¶ 12       The appellate court held that although an employer is typically not liable for acts of an
       independent contractor, an exception exists where the employer “ ‘retains the control of any

           1
            Defendant refers to this plate as the “north end floor plate.” Plaintiff refers to it as a “bridge
       transition plate.”

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       part of the work’ ” (emphasis omitted) (id. ¶ 23 (quoting Restatement (Second) of Torts § 414
       (1965))), and that a genuine issue of material fact exists as to whether defendant retained such
       control over the work performed by Happ’s to become vicariously or directly liable to plaintiff
       (id. ¶ 32).
¶ 13        As to plaintiff’s negligent hiring claim, the appellate court recognized that “ ‘[a]n
       employer is subject to liability for physical harm to third persons caused by his failure to
       exercise reasonable care to employ a competent and careful contractor’ ” (id. ¶ 37 (quoting
       Restatement (Second) of Torts § 411 (1965))) and agreed with the trial court that a fact issue
       exists as to whether defendant exercised reasonable care in selecting Happ’s (id. ¶ 38).
       Although the trial court found that plaintiff was not a “third person” to whom liability for
       negligent hiring would extend, the appellate court declined to reach that issue, holding that a
       fact issue exists as to whether plaintiff was an employee of Carney Group at the time of the
       accident or whether he was simply “hanging around.” Id. ¶ 40.
¶ 14        Finally, the appellate court considered plaintiff’s claim that defendant was liable as a
       possessor of land for injury to plaintiff by failing to warn about a dangerous condition on
       defendant’s land, namely, the steel floor plate on which plaintiff was standing at the time of the
       accident. Id. ¶¶ 42-43 (citing Restatement (Second) Torts § 343 (1965)). The appellate court
       held that a genuine issue of fact exists as to whether defendant should have known that workers
       would fail to discover how far the floor plate extended. Id. ¶ 46.
¶ 15        We allowed defendant’s petition for leave to appeal. Ill. S. Ct. R. 315 (eff. Jan. 1, 2015).
       We also allowed the following groups to file amicus curiae briefs in support of defendant’s
       position: the Illinois Chamber of Commerce, Illinois Construction Industry Committee, and
       Associated Builders and Contractors; the Associated General Contractors of Illinois; and the
       Illinois Association of Defense Trial Counsel. We further allowed the Illinois Trial Lawyers’
       Association to file an amicus curiae brief in support of plaintiff’s position. Ill. S. Ct. R. 345
       (eff. Sept. 20, 2010).

¶ 16                                            ANALYSIS
¶ 17                                                   I
¶ 18       We first consider plaintiff’s request that we dismiss this appeal as improvidently granted.
¶ 19       Grounds typically advanced for dismissal of an appeal once taken include the following:
       (1) the underlying judgment is not a final judgment (Phelps v. Elgin, Joliet & Eastern Ry. Co.,
       28 Ill. 2d 275, 279 (1963); Wilkey v. Illinois Racing Board, 96 Ill. 2d 245, 251 (1983)); (2) the
       issues have become moot (In re Marriage of Peters-Farrell, 216 Ill. 2d 287, 291 (2005)); and
       (3) the petition for leave to appeal was not timely filed (Roth v. Illinois Farmers Insurance Co.,
       202 Ill. 2d 490, 497 (2002)). Plaintiff does not rely on any of these grounds for dismissal of this
       appeal. Instead, he contends that this case falls outside the “commonly accepted grounds” for
       review by this court. Plaintiff explains that because the underlying facts are disputed, we will
       not be able to establish bright-line rules of general applicability. Plaintiff further explains that,
       contrary to defendant’s position, no conflict exists between the appellate court decision here
       and other appellate court decisions involving construction-related negligence claims.
¶ 20       Where, as here, the case is not appealable as a matter of right, Rule 315(a) governs review
       by this court. Ill. S. Ct. R. 315(a) (eff. Jan. 1, 2015). Under this rule, whether a petition for

                                                     -4-
       leave to appeal will be granted “is a matter of sound judicial discretion.” Id. Rule 315 further
       provides:
               “The following, while neither controlling nor fully measuring the court’s discretion,
               indicate the character of reasons which will be considered: the general importance of
               the question presented; the existence of a conflict between the decision sought to be
               reviewed and a decision of the Supreme Court, or of another division of the Appellate
               Court; the need for the exercise of the Supreme Court’s supervisory authority; and the
               final or interlocutory character of the judgment sought to be reviewed.” Id.
¶ 21       This court, exercising its judicial discretion, initially denied defendant’s petition for leave
       to appeal. Defendant was granted leave to file a motion to reconsider that denial. On
       reconsideration, defendant’s petition garnered the necessary votes to proceed. We are not
       inclined to again reconsider our decision simply because, as plaintiff argues, the facts are
       disputed. We were well aware at the time we considered and reconsidered defendant’s petition
       that the facts might be in dispute. The appellate court, after all, had held that genuine issues of
       material fact precluded summary judgment. 2014 IL App (1st) 130105-U, ¶ 1.
¶ 22       We are also not inclined to reconsider our decision because, according to plaintiff, a
       conflict in appellate decisions, on which defendant relied in its reconsideration motion, does
       not really exist. Although the existence of a conflict between the decision sought to be
       reviewed and a decision of another division of the appellate court is an adequate basis for
       review under Rule 315, it is not a necessary one.
¶ 23       Having twice exercised our judicial discretion as to whether the issues raised in
       defendant’s petition warrant the attention of this court and having concluded that they do, we
       decline to dismiss the appeal as improvidently granted. We thus turn to the merits of
       defendant’s appeal.

¶ 24                                                 II
¶ 25       Summary judgment is appropriate only where “the pleadings, depositions, and admissions
       on file, together with the affidavits, if any, show that there is no genuine issue as to any
       material fact and that the moving party is entitled to a judgment as a matter of law.” 735 ILCS
       5/2-1005(c) (West 2012). In determining whether a genuine issue of material fact exists, we
       construe the pleadings, depositions, admissions, and affidavits strictly against the moving
       party and liberally in favor of the opponent. Mashal v. City of Chicago, 2012 IL 112341, ¶ 49.
       A genuine issue of material fact exists “where the material facts are disputed or, if the material
       facts are undisputed, reasonable persons might draw different inferences from the undisputed
       facts.” Id. We review summary judgment rulings de novo. Bruns v. City of Centralia, 2014 IL
       116998, ¶ 13.
¶ 26       Where, as here, the plaintiff seeks recovery based on the defendant’s alleged negligence,
       the plaintiff must plead and prove the existence of a duty owed by the defendant to the plaintiff,
       a breach of that duty, and injury proximately resulting from the breach. Id. ¶ 12. Whether a
       duty exists is a question of law appropriate for summary judgment. Id. ¶ 13. “ ‘In the absence
       of a showing from which the court could infer the existence of a duty, no recovery by the
       plaintiff is possible as a matter of law and summary judgment in favor of the defendant is
       proper.’ ” Id. (quoting Vesey v. Chicago Housing Authority, 145 Ill. 2d 404, 411 (1991)).

                                                    -5-
¶ 27       The duty inquiry focuses on “whether defendant and plaintiff stood in such a relationship
       to one another that the law imposed upon defendant an obligation of reasonable conduct for the
       benefit of plaintiff.” Ward v. K mart Corp., 136 Ill. 2d 132, 140 (1990). The term
       “relationship” is a shorthand description for the sum of the following factors: “(1) the
       reasonable foreseeability of the injury, (2) the likelihood of the injury, (3) the magnitude of the
       burden of guarding against the injury, and (4) the consequences of placing that burden on the
       defendant.” Simpkins v. CSX Transportation, Inc., 2012 IL 110662, ¶ 18.
¶ 28       Here, plaintiff has alleged three theories under which he claims defendant owed him a duty
       of reasonable care. Although plaintiff did not specifically cite the Restatement (Second) of
       Torts in his complaint, defendant does not dispute that plaintiff has effectively invoked three
       sections of the Restatement: section 414 (“Negligence in Exercising Control Retained by
       Employer”); section 411 (“Negligence in Selection of Contractor”); and section 343
       (“Dangerous Conditions Known to or Discoverable by Possessor”). Restatement (Second) of
       Torts §¶ 343, 411, 414 (1965). We consider each in turn.

¶ 29                                    Section 414—Retained Control
¶ 30       Beginning in 1907 and continuing for over eight decades, construction-related personal
       injury claims were analyzed under the provisions of the Structural Work Act (Act) (740 ILCS
       150/1 et seq. (West 1994)). The Act coexisted with common-law negligence principles.
       Calderon v. Residential Homes of America, Inc., 381 Ill. App. 3d 333, 340 n.2 (2008); Bokodi
       v. Foster Wheeler Robbins, Inc., 312 Ill. App. 3d 1051, 1057-58 (2000). After the General
       Assembly’s repeal of the Act in 1995 (Pub. Act 89-2, § 5 (eff. Feb. 14, 1995)), plaintiffs
       looked to the common law, particularly as compiled in the Restatement (Second) of Torts, to
       pursue claims for construction-related negligence. Bokodi, 312 Ill. App. 3d at 1057-58; see
       also Peter Puchalski, Illinois Construction Negligence, Post-Structural Work Act: The Need
       for a Clear Legislative Mandate, 36 J. Marshall L. Rev. 531, 540 (2003).
¶ 31       Under the common law, one who employs an independent contractor is not liable for harm
       caused by the latter’s acts or omissions. Lawlor v. North American Corp. of Illinois, 2012 IL
       112530, ¶ 42; Gomien v. Wear-Ever Aluminum, Inc., 50 Ill. 2d 19, 21 (1971); Lee v. Six Flags
       Theme Parks, Inc., 2014 IL App (1st) 130771, ¶ 66; Restatement (Second) of Torts § 409
       (1965). The reason for this rule is apparent in the definition of an independent contractor:
               “An independent contractor is one who renders service in the course of an occupation
               representing the will of the person for whom the work is done only as to the result of the
               work and not as to the means by which it is accomplished, [citation] and is one who
               undertakes to produce a given result without being in any way controlled as to the
               method by which he attains that result. *** The test of the relationship is the right to
               control. It is not the fact of actual interference with the control, but the right to interfere,
               that makes the difference between an independent contractor and a servant or agent.”
               Hartley v. Red Ball Transit Co., 344 Ill. 534, 538-39 (1931).
       Accord Horwitz v. Holabird & Root, 212 Ill. 2d 1, 13 (2004).
¶ 32       Because the hiring entity has no control over the details and methods of the independent
       contractor’s work, it is not in a good position to prevent negligent performance, and liability
       therefor should not attach. Rather, the party in control—the independent contractor—is the
       proper party to be charged with that responsibility and to bear the risk. Fonseca v. Clark

                                                      -6-
       Construction Group, LLC, 2014 IL App (1st) 130308, ¶ 26; Pestka v. Town of Fort Sheridan
       Co., 371 Ill. App. 3d 286, 300 (2007); Restatement (Second) of Torts § 409 cmt. b (1965).
¶ 33       This does not mean, however, that one who hires an independent contractor is absolutely
       immune from tort liability for a plaintiff’s injuries. As section 414 of the Restatement explains,
       a hiring entity may yet be liable for its own negligence where it retains some control over the
       independent contractor. Section 414 states:
                   “One who entrusts work to an independent contractor, but who retains the control
               of any part of the work, is subject to liability for physical harm to others for whose
               safety the employer owes a duty to exercise reasonable care, which is caused by his
               failure to exercise his control with reasonable care.” Restatement (Second) of Torts
               § 414 (1965).
¶ 34       In Larson v. Commonwealth Edison Co., 33 Ill. 2d 316, 325 (1965), we implicitly
       recognized section 414 of the first Restatement of Torts as an expression of Illinois common
       law. Section 414 of the first Restatement is identical to section 414 of the second Restatement,
       with the exception that the latter contains an additional comment. Compare Restatement of
       Torts § 414 (1934), with Restatement (Second) of Torts § 414 (1965).
¶ 35       Numerous appellate court decisions, relying on Larson, have cited favorably to section 414
       of the second Restatement and applied section 414 in negligence cases involving
       construction-related injuries. E.g., Lee, 2014 IL App (1st) 130771, ¶ 66; Cain v. Joe
       Contarino, Inc., 2014 IL App (2d) 130482, ¶ 9; Garcia v. Wooton Construction, Ltd., 387 Ill.
       App. 3d 497, 505 (2008); Moiseyev v. Rot’s Building & Development, Inc., 369 Ill. App. 3d
       338, 344 (2006); Downs v. Steel & Craft Builders, Inc., 358 Ill. App. 3d 201, 204-05 (2005);
       Cochran v. George Sollitt Construction Co., 358 Ill. App. 3d 865, 873 (2005); Clifford v.
       Wharton Business Group, L.L.C., 353 Ill. App. 3d 34, 40 (2004); Bieruta v. Klein Creek Corp.,
       331 Ill. App. 3d 269, 275 (2002); Rangel v. Brookhaven Constructors, Inc., 307 Ill. App. 3d
       835, 838 (1999); Rogers v. West Construction Co., 252 Ill. App. 3d 103, 105 (1993). We see no
       reason to depart from Larson or the numerous appellate court opinions that recognize section
       414 of the Restatement as an expression of Illinois common law.
¶ 36       Many appellate court decisions, including the decision under review, have cited section
       414 of the Restatement as a basis for imposition of both direct liability and vicarious liability
       against the employer of an independent contractor. E.g., Cabrera v. ESI Consultants, Ltd.,
       2015 IL App (1st) 140933, ¶ 102; Lederer v. Executive Construction, Inc., 2014 IL App (1st)
       123170, ¶ 49; Lee, 2014 IL App (1st) 130771, ¶¶ 68-69; Ramirez v. FCL Builders, Inc., 2014
       IL App (1st) 123663, ¶¶ 123, 149; Maggi v. RAS Development, Inc., 2011 IL App (1st)
       091955, ¶¶ 44-45; Diaz v. Legat Architects, Inc., 397 Ill. App. 3d 13, 31 (2009). The rule set
       forth in section 414, however, articulates a basis only for imposition of direct liability. Because
       an employer of an independent contractor is typically not answerable for the contractor’s
       negligence, “the employer’s liability must be based upon his own personal negligence.”
       (Emphasis added.) Restatement (Second) of Torts, Ch. 15, Topic 1, Introductory Note, at 371
       (1965). Section 414 sets forth one way in which an employer of an independent contractor may
       be negligent and, thus, directly liable for physical harm to others. Id. (citing id. § 414).
¶ 37       Confusion as to the scope of section 414 appears to arise in connection with comment a,
       which states:

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                “If the employer of an independent contractor retains control over the operative detail
                of doing any part of the work, he is subject to liability for the negligence of the
                employees of the contractor engaged therein, under the rules of that part of the law of
                Agency which deals with the relation of master and servant. The employer may,
                however, retain a control less than that which is necessary to subject him to liability as
                master. He may retain only the power to direct the order in which the work shall be
                done, or to forbid its being done in a manner likely to be dangerous to himself or others.
                Such a supervisory control may not subject him to liability under the principles of
                Agency, but he may be liable under the rule stated in this Section unless he exercises
                his supervisory control with reasonable care so as to prevent the work which he has
                ordered to be done from causing injury to others.” Restatement (Second) of Torts
                § 414, cmt. a, at 387 (1965).
¶ 38       The first sentence of comment a does not explain when section 414 applies. Rather, it
       explains when section 414 does not apply. See Aguirre v. Turner Construction Co., 501 F.3d
       825, 829 (7th Cir. 2007). If the control retained by the employer is such that it gives rise to a
       master-servant relationship, thus negating the person’s status as an independent contractor, the
       employer may be liable for the negligence of the contractor’s employees under the law of
       agency. Agency law, under which an employer may be vicariously liable for the torts of its
       employees, is distinct from the principles encompassed in section 414, under which an
       employer is directly liable for its own negligence. In short, “section 414 takes over where
       agency law ends.” Id.
¶ 39       In the present case, the appellate court held, in connection with plaintiff’s claim predicated
       on section 414, that a genuine issue of material fact exists as to whether defendant retained
       such control over the work of Happ’s to become vicariously or directly liable to plaintiff. 2014
       IL App (1st) 130105-U, ¶ 32. Although plaintiff urges us to affirm the appellate court
       judgment, section 414, as already discussed, addresses only the direct liability of the employer
       for its own negligence and not vicarious liability, under agency principles, for the contractor’s
       negligence.
¶ 40       Moreover, we agree with defendant that plaintiff has not pursued a claim of vicarious
       liability. Count II of the complaint, applicable to defendant, speaks only to defendant’s own
       negligence and does not seek to hold defendant vicariously liable for any negligence of
       Happ’s. Because the complaint “frames the issues before the court” (Walker v. McGuire, 2015
       IL 117138, ¶ 39), we decline to consider a theory of liability not set forth therein. See Ross v.
       Dae Julie, Inc., 341 Ill. App. 3d 1065, 1069-70 (2003) (on review of summary judgment in
       favor of the defendant in a construction-related injury case, appellate court declined to
       consider theory of duty the plaintiff had not included in his complaint). Accordingly, we
       confine our analysis to whether defendant retained control over the work of its contractor,
       Happ’s, such that direct liability might attach under section 414.
¶ 41       The issue of a defendant’s retained control may be decided as a matter of law where the
       evidence is insufficient to create a factual question. O’Gorman v. F.H. Paschen, S.N. Nielsen,
       Inc., 2015 IL App (1st) 133472, ¶ 89; Bokodi, 312 Ill. App. 3d at 1059. The best indicator of
       whether the defendant retained control sufficient to trigger the potential for liability under
       section 414 is the written agreement between the defendant and the contractor. Cain, 2014 IL
       App (2d) 130482, ¶ 76. But even if the agreement provides no evidence of retained control by

                                                    -8-
       the defendant, such control may yet be demonstrated by evidence of the defendant’s conduct at
       variance with the agreement. Id. ¶¶ 84, 86.
¶ 42       Defendant argues that under its contract with Happ’s, supervision of the bridge removals
       was placed with Happ’s and that defendant’s conduct, including its post-accident conduct,
       does not create a question of fact as to whether it retained control over Happ’s for purposes of
       section 414. Thus, defendant urges this court to reverse the appellate court judgment and
       affirm the trial court’s order granting defendant summary judgment on this theory of liability.
¶ 43       Plaintiff responds that defendant’s contract with Happ’s, as well as engineering drawings
       prepared for defendant in connection with the bridge removal project, and testimony from
       defendant’s employees each provide an independent basis for finding that defendant exercised
       control over Happ’s. Accordingly, plaintiff requests that we affirm the appellate court
       judgment reversing the trial court’s grant of summary judgment to defendant.
¶ 44       We agree with defendant that no issue of fact exists as to whether it retained the control
       necessary to trigger the potential for liability under section 414 of the Restatement. It did not.
¶ 45       The contract between defendant and Happ’s expressly provides that Happ’s, along with its
       agents and employees, “are not and shall not be considered as employees of [defendant],” that
       Happ’s “shall be and remain an independent contractor,” and that “nothing herein contained
       shall be construed inconsistent with that status.” The contract required Happ’s to furnish, at its
       own expense, “all superintendence,” as well as all “labor, tools, equipment, materials, and
       supplies,” necessary to remove the bridges. These provisions do not evince an intent by
       defendant to retain control over Happ’s work. Indeed, the requirement that Happ’s provide “all
       superintendence” placed responsibility for supervision of the bridge removals with Happ’s, not
       defendant.
¶ 46       Plaintiff relies on other language in the contract that he argues gave defendant “unfettered
       control” over Happ’s. Plaintiff points to a provision allowing defendant to terminate the
       contract if defendant deemed Happ’s services to be unsatisfactory, a provision requiring the
       work by Happ’s to be done in a workmanlike manner to the satisfaction of defendant, and a
       provision giving defendant the right to stop the work or make changes, as the interests of
       defendant may require. We agree with defendant that these provisions are part of the general
       rights reserved to someone, like defendant, who employs a contractor, rather than evidence
       that defendant retained control over the manner in which work by Happ’s was performed. As
       comment c to section 414 explains:
               “In order for the rule stated in this Section to apply, the employer must have retained at
               least some degree of control over the manner in which the work is done. It is not
               enough that he has merely a general right to order the work stopped or resumed, to
               inspect its progress or to receive reports, to make suggestions or recommendations
               which need not necessarily be followed, or to prescribe alterations and deviations. Such
               a general right is usually reserved to employers, but it does not mean that the contractor
               is controlled as to his methods of work, or as to operative detail. There must be such a
               retention of a right of supervision that the contractor is not entirely free to do the work
               in his own way.” Restatement (Second) of Torts § 414 cmt. c, at 388 (1965).
¶ 47       Plaintiff also relies on provisions in the contract touching on job safety. Plaintiff cites, for
       example, a provision under which defendant could require the removal of equipment used by
       Happ’s that defendant determined was unsafe for use on its right-of-way, a provision under

                                                    -9-
       which defendant could require Happ’s to remove any employee or subcontractor’s employee if
       not acceptable to defendant, and a provision identifying required protective gear, such as
       hardhats and reflective vests. A general right to enforce safety, however, does not amount to
       retained control under section 414. Joyce v. Mastri, 371 Ill. App. 3d 64, 74 (2007); Ross, 341
       Ill. App. 3d at 1071-73. Accord Cain, 2014 IL App (2d) 130482, ¶ 106. Moreover, the contract
       placed control of job safety with Happ’s. Specifically, Happ’s was required “to keep the job
       site free from safety and health hazards and ensure that its employees are competent and
       adequately trained in all safety and health aspects of the job.”
¶ 48        In sum, we find nothing within the four corners of the contract indicating that defendant
       retained control such that Happ’s was not entirely free to do the work in its own way.
¶ 49        Plaintiff cites to another document that he claims flatly required Happ’s to submit a
       step-by-step sequencing plan before performing bridge-removal work, thus indicating that
       defendant retained control for purposes of section 414. The document plaintiff cites is actually
       a set of engineering drawings prepared for defendant by Bowman, Barrett & Associates in July
       2004 in connection with the bridge removal project. A note on those drawings, under the
       heading “general requirements,” states: “The contractor must submit for approval his proposed
       sequence of operations prior to the start of construction.”
¶ 50        We have found no evidence in the record, and plaintiff cites to none, indicating that
       defendant intended to implement such a requirement with respect to the bridge removals at
       issue here. Rather, Thomas Campbell, defendant’s manager of bridge construction, testified
       that, in his experience, this kind of general requirement is applicable when a contractor
       removes a “mainline bridge” involving “live traffic.” The transportation group would review
       the construction sequence, together with a timeline, to determine when to “shut down traffic.”
       The bridges Happ’s purchased and agreed to remove were abandoned bridges and did not
       involve “live traffic.”
¶ 51        George Meyer, defendant’s former manager of special projects in the structures
       department, similarly testified that a sequencing plan was intended as a safety measure where
       old bridges involving “main line live tracks” were being removed. A sequencing plan ensured
       that the contractor was “not going to do anything that could hurt the structure, weaken the
       structure, and cause a derailment or slow [defendant’s] train operations.” Although Meyer
       acknowledged that one “could interpret” the engineering note to require Happ’s to provide a
       sequencing plan prior to dismantling the Polk Street bridge, Meyer also testified that he had
       never seen the contract between Happ’s and defendant. And, as plaintiff concedes, the contract
       did not incorporate any requirement that Happ’s submit a sequencing plan.
¶ 52        Further, plaintiff fails to cite any evidence indicating that defendant provided the
       engineering plans to Happ’s or that defendant otherwise conveyed to Happ’s that a sequencing
       plan was required. Indeed, Edward Benbow, defendant’s director of track maintenance,
       testified that to his knowledge removal of the Polk Street bridge did not require the contractor
       to submit a demolition plan or review engineering drawings before work began. Additionally,
       David Reagan, defendant’s supervisor of bridge construction in Illinois, who attended the
       pre-bid meeting, testified that to his knowledge no requirement existed that Happ’s provide
       any type of plan as to how the work would be done. Accordingly, we disagree with plaintiff
       that the note on the engineering drawings from Bowman, Barrett & Associates provides a basis
       for finding retained control under section 414.

                                                  - 10 -
¶ 53       We next consider evidence of defendant’s conduct prior to the accident. Specifically, we
       consider whether defendant’s conduct was at variance with the terms of defendant’s agreement
       with Happ’s, under which Happ’s agreed to provide “all superintendence” in connection with
       the bridge removals. We have carefully reviewed the record and find no evidence of retained
       control by defendant.
¶ 54       Toby Neuschwanger, an employee of Carney Group who worked on the bridge removals,
       testified that he received no instructions from defendant. According to Neuschwanger, John
       Pearson, another Carney Group employee, along with Steven Happ, directed his work on the
       Polk Street bridge. John Pearson, in turn, testified that he never spoke to anyone from
       defendant railroad prior to the accident and that Steven Happ was in charge. Pearson further
       testified that on the day of the accident, Patrick Carney, who was topside, told him when the
       girder was ready to be picked up and that he (Pearson) then signaled the crane operator. Jeff
       Happ testified that he was told by Steven Happ to take instruction from Carney Group
       employees at the job site. Rick Binder, the crane operator, as well as plaintiff himself, testified
       that they never spoke to anyone from defendant railroad prior to the accident. And no dispute
       exists that a representative of defendant was not even present at the Polk Street bridge at the
       time of the accident.
¶ 55       The only person involved in the bridge removal who had any interaction with a
       representative of defendant was Steven Happ. He testified only that on days they were
       working, a railroad representative would come by and “check out the jobs.” Defendant’s mere
       presence at the job site, without more, is insufficient evidence of retained control for purposes
       of section 414.
¶ 56       Finally, we consider evidence of defendant’s conduct following the accident. Although
       evidence of post-accident remedial measures is not admissible to prove prior negligence, such
       evidence may be admissible for other purposes, including establishing control of property or
       control of a contractor’s work where such control is at issue. Herzog v. Lexington Township,
       167 Ill. 2d 288, 300-01 (1995); Larson, 33 Ill. 2d at 323-24; see also Thomas M. Fleming,
       Admissibility of Evidence of Repairs, Change of Conditions, or Precautions Taken After
       Accident—Modern State Cases, 15 A.L.R.5th 119 (1993).
¶ 57       The evidence discloses that, following the accident, Edward Benbow and Thomas
       Campbell met with Steven Happ to discuss the removal of the Lexington Street bridge, the
       third and final bridge to be removed under defendant’s contract with Happ’s. Benbow
       indicated another incident “was not tolerable,” and they discussed “what was going to take
       place so it wouldn’t happen again.” Benbow testified that he left the details to Campbell and
       Happ, the “experts.”
¶ 58       Campbell created a list of steps to remove the Lexington Street bridge, which he discussed
       with Happ. Campbell testified that the steps were “suggestions.” Campbell explained: “[Happ]
       was the owner of that steel. It was up to him to do what he wanted. I was giving him
       suggestions on how I thought he should take it down that would not allow one girder to fall,”
       but Happ could have “secured the two girders in a different fashion than I suggested.” Thus,
       Campbell testified he would not necessarily have stopped work on the Lexington Street bridge
       if Happ did not follow his suggestions. Ultimately, Happ’s did not remove the Lexington Street
       bridge. Happ testified that he hired DMD Services, which removed the bridge by using
       hydraulic shears to chop it up.

                                                   - 11 -
¶ 59        Defendant argues that its post-accident conduct, as evidenced by the testimony of
       Campbell and Benbow, was not evidence of retained control but simply an attempt to promote
       worker safety and avoid another injury. Defendant contends that penalizing such conduct
       would hardly advance the goal of work site safety. See Martens v. MCL Construction Corp.,
       347 Ill. App. 3d 303, 318 (2004).
¶ 60        Plaintiff argues that defendant’s post-accident conduct demonstrates that defendant always
       had a right of control, including at the time of the accident. Plaintiff contends that defendant’s
       conduct here is very similar to the defendant’s pre-accident conduct in Wilkerson v. Paul H.
       Schwendener, Inc., 379 Ill. App. 3d 491 (2008), which the appellate court found sufficient to
       preclude summary judgment for the defendant. We disagree that defendant’s conduct here is
       similar to the defendant’s conduct in Wilkerson.
¶ 61        In Wilkerson, the record was replete with evidence that the defendant retained and
       exercised complete control over work site safety. Id. at 494-95. In the present case, in contrast,
       the evidence indicates that, pursuant to defendant’s contract with Happ’s, the latter was in
       charge of work site safety, and defendant only sought to avoid another accident by suggesting
       a way to secure the girders during the final bridge removal. Such conduct is insufficient, as a
       matter of law, to establish a duty under section 414 of the Restatement. To hold otherwise
       would penalize a defendant’s safety efforts by creating, in effect, strict liability for personal
       injury to any job site employee. See Connaghan v. Caplice, 325 Ill. App. 3d 245, 250 (2001)
       (holding that “the right to stop the work, tell the contractors to be careful, and change the way
       something [is] being done if [the defendant] felt something was unsafe” does not establish
       sufficient control for purposes of section 414); Fris v. Personal Products Co., 255 Ill. App. 3d
       916, 924-25 (1994) (holding that the imposition of a duty under section 414 where the
       defendant retained only a general right to require that work be done in a safe manner would
       result in strict liability for all injuries to employees of independent contractors).
¶ 62        Because the record contains no evidence that defendant retained at least some degree of
       control over the manner in which Happ’s performed the bridge removal work, we hold that the
       trial court did not err in granting defendant summary judgment on plaintiff’s retained-control
       theory of duty and liability.

¶ 63                        Section 411—Negligence in Selection of Contractor
¶ 64       We next consider plaintiff’s claim that defendant was negligent in its selection of Happ’s to
       remove the Polk Street bridge.
¶ 65       In Gomien v. Wear-Ever Aluminum, Inc., 50 Ill. 2d 19, 21 (1971), this court recognized that
       an employer may be liable in tort for failing to exercise reasonable care in selecting a careful
       and competent contractor. We applied the rule set forth in section 411 of the Restatement,
       which states:
                   “An employer is subject to liability for physical harm to third persons caused by his
               failure to exercise reasonable care to employ a competent and careful contractor
                   (a) to do work which will involve a risk of physical harm unless it is skillfully and
               carefully done, or
                   (b) to perform any duty which the employer owes to third persons.” Restatement
               (Second) of Torts § 411 (1965).
       A “competent and careful contractor” is a contractor who:

                                                   - 12 -
                “possesses the knowledge, skill, experience, and available equipment which a
                reasonable man would realize that a contractor must have in order to do the work which
                he is employed to do without creating unreasonable risk of injury to others, and who
                also possesses the personal characteristics which are equally necessary.” Id. cmt. a, at
                377.
¶ 66       The amount of care required in selecting an independent contractor “is that which a
       reasonable man would exercise under the circumstances.” Id. cmt. c, at 378. One factor to
       consider is “the character of the work to be done—whether the work lies within the
       competence of the average man or is work which can be properly done only by persons
       possessing special skill and training.” Id. In order to subject a defendant to liability, the harm
       must have resulted from some quality in the contractor that made it negligent for the defendant
       to entrust the work to him. Id. cmt. b, at 377; see also DiMaggio v. Crossings Homeowners
       Ass’n, 219 Ill. App. 3d 1084, 1090 (1991) (a plaintiff must establish that the defendant knew,
       or should have known, that a particular unfitness of the contractor created a danger of harm to
       third persons).
¶ 67       Here, the appellate court agreed with the trial court that plaintiff introduced sufficient
       evidence of Happ’s lack of competence to survive summary judgment. 2014 IL App (1st)
       130105-U, ¶ 38. Defendant challenges that ruling. Once again, we consider the record
       evidence.
¶ 68       Plaintiff’s engineering expert, Harvey Crouch, testified that the Polk Street bridge was a
       “through-plate steel girder bridge,” which required a special set of skills to take down that
       Happ’s did not possess. According to Crouch, girders on through-plate steel bridges are
       unstable, and the girders on the Polk Street bridge should have been secured prior to removing
       the majority of the floor beams.
¶ 69       Steven Happ’s testimony clearly revealed his lack of experience in the removal of steel
       bridges. Happ testified that the major focus of his company was recycling steel and railroad
       ties. Although Happ’s had taken down wooden trestle bridges and perhaps a small steel bridge
       with wooden approaches, his company had never taken down a steel bridge the size and
       magnitude of the Polk Street bridge.
¶ 70       The record also reveals that defendant was unaware that Happ’s had no experience in
       taking down steel bridges. Testimony from Abe Ghazai, a member of defendant’s engineering
       department, and Thomas Campbell, defendant’s manager of bridge construction, established
       that no inquiry was made into whether Happ’s had experience and that defendant selected
       Happ’s, which was on defendant’s list of approved contractors, because (1) Happ’s was in the
       right type of business, i.e., track and scrap removal; (2) Happ’s was local; and (3) Happ’s bid
       was the most economical.
¶ 71       Defendant argues that even if it should have further investigated Happ’s, such investigation
       would have disclosed that Happ’s had engaged a competent and experienced bridge demolition
       contractor, Carney Group, and that no liability could attach under section 411.
¶ 72       The record discloses that Carney Group did have extensive experience in bridge
       demolition. Indeed, Patrick Carney’s conduct at the job site, as plaintiff’s expert conceded,
       demonstrated Carney’s appreciation of the risk posed by the unsecured west girder. Carney
       testified that he measured the height of the girder to make certain that Toby Neuschwanger,
       who was making the final cuts to the crossbeams, was not in danger if the west girder fell.

                                                   - 13 -
       Carney also testified, however, that his expertise was in using explosives to bring down a
       bridge but that Happ did not want to use explosives. Happ wanted to “pick” the bridges.
       Carney testified that the last time he had been involved in picking a steel bridge like the Polk
       Street bridge was approximately 16 years prior to the incident in which plaintiff was injured.
¶ 73        Based on this record, we agree with the courts below that a fact question exists as to
       whether defendant failed to exercise reasonable care to employ a careful and competent
       contractor.
¶ 74        This conclusion does not end our analysis. The trial court ruled that plaintiff, as an
       employee of Carney Group, who had partnered with Happ’s, was not a “third person” to whom
       defendant owed a duty under section 411 and thus entered summary judgment in favor of
       defendant on plaintiff’s negligent hiring claim. The appellate court declined to take up that
       issue, holding that a fact question exists as to whether plaintiff was an employee of Carney
       Group or simply “hanging around” the job site. 2014 IL App (1st) 130105-U, ¶ 40.
¶ 75        We turn first to plaintiff’s employment status. Defendant argues that the record
       affirmatively establishes that, at the time of the accident, plaintiff was an employee of his
       father’s company, Carney Group. That company, as we earlier noted, did business under the
       assumed name of Chicago Explosive Services. In his deposition and his verified response to
       defendant’s interrogatories, plaintiff acknowledged that, as of the date of the accident, he was
       an employee of Chicago Explosive Services. Plaintiff also testified that on the day of the
       accident, his father called him to the job site as “extra labor” to connect the crane cables to the
       railroad bridge. That testimony was consistent with plaintiff’s verified complaint in which he
       alleged that he “helped hook crane cables to the eastern most girder” on the Polk Street bridge.
       Plaintiff’s testimony was also consistent with his response to defendant’s summary judgment
       motion where plaintiff, citing his own deposition testimony, maintained that he “worked for
       his father’s company, Chicago Explosive Services,” and that the “Polk Street bridge was [his]
       first involvement in dismantling train bridges.”
¶ 76        The record also reveals that, based on his status as an employee of Chicago Explosive
       Services, plaintiff filed a claim with Liberty Mutual Insurance Company (Liberty), Carney
       Group’s workers’ compensation insurer. Plaintiff supplemented his discovery responses in this
       case with a copy of his declaratory judgment action against Liberty. Therein he alleged that he
       was an employee of Chicago Explosive Services, which, on July 31, 2006, was working on one
       of the company’s job sites in Chicago in connection with the dismantling of a bridge. Plaintiff
       further alleged that “[a]t that time and place, and in the course of his employment with Chicago
       Explosive,” he suffered severe personal injuries. The record establishes that plaintiff
       eventually settled his workers’ compensation claim for $1,168,647 and that Chicago Explosive
       Services and Liberty agreed to waive their statutory liens.
¶ 77        We conclude that no fact issue exists as to whether plaintiff was an employee of Carney
       Group at the time of the accident. He was. Plaintiff’s claim that he was a “bystander” is not
       well taken. The question remains, however, whether plaintiff’s status as an employee of
       Carney Group places him outside the group of “third persons” to whom a duty under section
       411 applies.
¶ 78        In determining who a proper plaintiff is in an action based on negligent selection of an
       independent contractor, we turn first to the Restatement itself. Although the Restatement is
       not, of course, binding in any way on Illinois courts, because we implicitly adopted section 411

                                                   - 14 -
       of the Restatement in Gomien, we find it necessary to determine what section 411 does and
       does not provide.
¶ 79        Section 411 makes no attempt to define those persons who qualify as “third persons” to
       whom a duty extends. Section 411 does, however, provide several illustrations that, we
       observed in Gomien, “pinpoint” the varying scenarios that “give rise to liability or
       exoneration.” Gomien, 50 Ill. 2d at 23. As defendant here notes, not one of the illustrations to
       section 411 involves a plaintiff who was an employee of the negligently hired contractor or an
       employee of a subcontractor. Restatement (Second) of Torts § 411, illus. 1-8, at 377-81 (1965).
       Instead, the plaintiffs were a customer who was injured by the defendant’s violent collecting
       agent (illustration 1); a motorist who was injured by the negligence of a contractor the
       defendant hired to haul logs (illustration 2); a motorist whose car was hit by a bus hired by a
       hotel owner to transport guests, as well as the hotel guests riding on the bus who were injured
       in the collision (illustrations 3 and 4); a pedestrian who was run over by a teamster hired by the
       defendant builder to haul materials (illustration 5); a pedestrian who was injured by a cornice
       falling from the defendant’s house when the contractor the defendant hired failed to make
       timely repairs or was negligent in making the repairs (illustrations 6 and 7); and a motorist who
       was injured by falling brick from a building that abutted a public highway, owing to the shoddy
       work of the defendant’s contractor (illustration 8).
¶ 80        Similar to the illustrations in the Restatement, the plaintiff in Gomien was a motorist who
       was injured when a car driven by the defendant’s distributor collided with the plaintiff’s
       vehicle. Although we were not asked in Gomien to consider the reach of the duty set forth in
       section 411, nothing about the facts or analysis in that case suggest that this court, when it
       adopted section 411, intended to extend the duty thereunder to job site employees, a scenario
       not encompassed by the illustrations to section 411. This conclusion is reinforced by the fact
       that the only Illinois case prior to Gomien that favorably cited section 411 also involved a
       plaintiff who clearly fit within the illustrations to section 411. See Tansey v. Robinson, 24 Ill.
       App. 2d 227 (1960) (involving a plaintiff who was injured when the car in which she was
       seated was struck by a truck driven by a man hired to make deliveries for the defendant).
¶ 81        In the 45 years since Gomien was decided, only one reported Illinois case, Recio v.
       GR-MHA Corp., 366 Ill. App. 3d 48 (2006), involved a claim by a job-site employee alleging
       negligent selection of a contractor. In Recio, an employee of a subcontractor died after falling
       from a ladder. His widow sought compensation from the general contractor for negligently
       selecting her husband’s employer. The appellate court, from the outset, questioned whether an
       employee of a negligently retained entity may recover under section 411. Although
       recognizing contrary authority, the appellate court observed: “It would appear that such an
       employee is not within the class of third parties to whom a duty of care in hiring an
       independent contractor extends.” Id. at 58. The appellate court went on to hold that the
       widow’s claim failed, in any event, under a standard negligence analysis. Id. at 59.
¶ 82        Defendant argues that the distinction recognized in Recio, between third persons to whom
       the duty in section 411 extends and employees involved in the work of the contractor to whom
       the duty does not extend, has also been recognized by the majority of courts that have
       considered this issue. See Camargo v. Tjaarda Dairy, 25 P.3d 1096, 1100 (Cal. 2001)
       (collecting cases and observing that the “overwhelming majority of the courts of other
       jurisdictions that have addressed the question have concluded that an employee of a contractor

                                                   - 15 -
       is not a third person for the purposes of section 411” (emphasis in original)); Best v. Energized
       Substation Service, Inc., 623 N.E.2d 158, 162 (Ohio Ct. App. 1993) (collecting cases and
       holding that a “principal cannot be held liable by an independent contractor’s employee for
       negligent selection of the independent contractor”); but see Bagley v. Insight Communications
       Co., 658 N.E.2d 584, 588 (Ind. 1995) (plaintiff’s status as an employee of an independent
       contractor did not preclude him from pursuing a negligent hiring claim against contractor’s
       principal); Sievers v. McClure, 746 P.2d 885, 891 (Alaska 1987) (“employer’s duty to act
       reasonably in hiring a competent contractor runs to the employees of the contractor”).
¶ 83       Plaintiff counters that Recio and the out-of-state cases defendant cites are irrelevant
       because, unlike the plaintiffs in those cases, he is not an employee of the negligently hired
       independent contractor seeking to hold liable the contractor’s principal. Instead, he is, “at
       worst,” an employee of a subcontractor, seeking to hold liable the entity that negligently hired
       the subcontractor’s principal. Based on this distinction, plaintiff argues that he qualifies as a
       “third person” for purposes of section 411. We disagree.
¶ 84       Generally, courts that have held that an employee of a contractor cannot pursue a claim
       under section 411 against the contractor’s principal have identified the following reasons:
       (1) the illustrations and comments to section 411 make no provision for such liability
       (Mentzer v. Ognibene, 597 A.2d 604, 608 (Pa. Super. Ct. 1991); Payne v. Lee, 686 F. Supp.
       677, 679 (E.D. Tenn. 1988); Chapman v. Black, 741 P.2d 998, 1005 (Wash. Ct. App. 1987));
       (2) the purpose of section 411, assuring a remedy to an injured person, is already satisfied
       when that person receives workers’ compensation benefits (Jones v. Schneider National, Inc.,
       797 N.W.2d 611, 615 (Iowa Ct. App. 2011)); (3) because the cost of workers’ compensation
       coverage is typically included in the contractor’s price for the work that the employer of the
       contractor pays, holding the employer liable under section 411 would effectively make the
       employer pay twice for the injuries to the contractor’s employees (Lipka v. United States, 369
       F.2d 288, 293 (2d Cir. 1966)); (4) it would be inequitable to impose liability on the employer
       for negligent hiring when the liability of the contractor, who is primarily responsible for the
       worker’s on-the-job injuries, is limited to providing workers’ compensation coverage
       (Camargo, 25 P.3d at 1101); and (5) a contractor’s employees are better able to protect
       themselves against the negligence of an improperly hired contractor than members of the
       general public (Mentzer, 597 A.2d at 609; Payne, 686 F. Supp. at 679).
¶ 85       We note that in Urena v. Capano Homes, Inc., 930 A.2d 877 (Del. 2007), the Supreme
       Court of Delaware cited many of these same reasons for disallowing a claim under section 411
       brought by an injured employee similarly situated to plaintiff here. In Urena, the owner of the
       construction site property hired a general contractor who, in turn, hired a roofing
       subcontractor. The roofing subcontractor, in turn, subcontracted with two partners, one of
       whom hired the plaintiff.
¶ 86       The Delaware high court agreed with the majority view that employees of independent
       contractors have no negligent hiring claim:
                “First, employees, unlike members of the general public, are able to protect themselves
                from the risks of their work. Second, an employee’s recovery for work-related injuries
                generally is limited to workers’ compensation benefits. It would be ‘indefensible’ if
                employees of an independent contractor could recover in tort against the general
                contractor, but employees of the general contractor were limited to workers’

                                                  - 16 -
                compensation. The same anomaly would have the detrimental effect of encouraging
                contractors to use their own employees for hazardous work instead of hiring
                independent contractors with special skills. Finally, none of the illustrations to Section
                411 include employees of an independent contractor as ‘third persons.’ ” Id. at 880.
¶ 87        We also find guidance in a case from our appellate court. In Apostal v. Oliveri Construction
       Co., 287 Ill. App. 3d 675 (1997), the plaintiff was identically situated to plaintiff here; he was
       an employee of a subcontractor, injured on the job, who sought to hold the premises owner
       liable in tort under various sections of the Restatement. Apostal involved sections 413, 416,
       and 427, which recognize that independent contractors who perform dangerous work owe a
       duty of care to “others.” Restatement (Second) of Torts §§ 413, 416, 427 (1965). Although
       Apostal did not involve section 411 at issue here, we nonetheless find it significant that the
       appellate court held that the duty to “others” under the Restatement ran only to persons such as
       passersby or adjacent property owners and not to employees of independent contractors.
       Apostal, 287 Ill. App. 3d at 682. The appellate court noted that all of the illustrations to those
       three sections of the Restatement “refer to injuries occurring to third parties.” Id.
¶ 88        Based on the foregoing authorities, we conclude that plaintiff here is not a “third person” to
       whom the duty recognized in section 411 of the Restatement applies. Unlike members of the
       general public who might have been travelling on Polk Street on the day of the accident,
       plaintiff was in a position to protect himself against the risks involved in the bridge removal.
       Members of the general public who were in the area might not have even been aware of any
       risk to their persons. Further, because plaintiff was employed by Carney Group, Happ’s
       subcontractor, he could and did receive workers’ compensation benefits. A member of the
       public, had he or she been injured, would likely not be in that position and would, instead, be
       left to the risks and unpredictability of litigation to receive compensation for his or her injuries.
       Finally, as already discussed, we cannot conclude that Gomien, which adopted section 411,
       envisioned that the duty would extend to job site employees, where none of the several
       illustrations to section 411 include such a scenario. Accordingly, we hold that the trial court
       properly granted summary judgment to defendant on plaintiff’s claim under section 411 of the
       Restatement.

¶ 89                       Section 343—Dangerous Conditions on the Land
¶ 90      As a final matter, we turn to plaintiff’s premises liability claim under section 343 of the
       Restatement, which this court adopted in Genaust v. Illinois Power Co., 62 Ill. 2d 456, 468
       (1976). American National Bank & Trust Co. of Chicago v. National Advertising Co., 149 Ill.
       2d 14, 26 (1992). Section 343 states:
                  “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
                  (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.”
              Restatement (Second) of Torts § 343 (1965).

                                                    - 17 -
¶ 91       Here, the allegedly dangerous condition on the land was the steel plate that extended
       several feet into the roadbed on which plaintiff was standing at the time the west girder fell.
       The appellate court held that a fact question exists as to whether defendant should have known
       that workers would fail to discover how far the steel floor plate extended, thus precluding
       summary judgment for defendant. 2014 IL App (1st) 130105-U, ¶ 46. Defendant argues that
       the appellate court erred in reversing summary judgment because this case does not satisfy any
       of the criteria for liability under section 343.
¶ 92       The first criterion is that the condition of which plaintiff complains must be a “condition on
       the land.” Defendant maintains that the steel floor plate was not a condition on its land; it was a
       part of the bridge, which Happ’s purchased under its agreement with defendant, “AS IS,
       WHERE IS, AND WITH ALL FAULTS.”
¶ 93       The record demonstrates that the steel plate was, in fact, a part of the bridge. Thomas
       Campbell, defendant’s manager of bridge construction, and George Meyer, defendant’s then
       manager of special projects in the structures department, testified that a steel plate, sometimes
       referred to as a “closure plate” or “transition plate,” is typically used in the construction of
       through-plate steel bridges like the Polk Street bridge. Its purpose is to create a transition from
       the bridge deck to the roadbed and to keep the ballast in place. Plaintiff’s own expert, Harvey
       Crouch, testified that the plate, which he referred to as an “end plate,” is “an extension of the
       [bridge] floor.” Thus, the steel plate, as Meyer testified, “belonged to the bridge,” and the
       bridge, as Happ testified, belonged to him, pursuant to the purchase and removal agreement.
¶ 94       Plaintiff argues, however, that because the steel plate extended into the roadbed, it must be
       deemed a condition on defendant’s land. Assuming, arguendo, that this fact alone is a
       sufficient basis on which to conclude that the steel plate constitutes a “condition on the land,”
       section 343 also requires that the defendant have actual or constructive knowledge of the
       condition. See, e.g., Recio, 366 Ill. App. 3d at 63; Tomczak v. Planetsphere, Inc., 315 Ill. App.
       3d 1033, 1038 (2000). Although the record demonstrates that defendant had knowledge that
       through-plate steel bridges typically have transition plates, no evidence was presented that
       defendant knew or should have known the extent to which the transition plate on the Polk
       Street bridge extended into the roadbed.
¶ 95       Thomas Zapler, defendant’s director of community relations, and Edward Benbow,
       defendant’s director of track maintenance, both testified that the Polk Street bridge was
       constructed in the 1900s. According to defendant’s verified answers to plaintiff’s discovery
       requests, defendant acquired the Polk Street bridge from the Consolidated Rail Corporation in
       1996 as part of a larger purchase. Defendant, the previous year, had acquired the railroad lines
       that ran through Polk Street, pursuant to its merger with the Chicago & North Western railway.
       None of those lines, however, ran over the Polk Street bridge at issue here. According to
       Benbow, there had not been any operations on the Polk Street bridge since at least 1982, when
       he first arrived in Chicago. Thus, the record demonstrates that defendant did not build the
       bridge and did not use the bridge.
¶ 96       Plaintiff claims, nonetheless, that defendant knew the steel floor plate extended several feet
       beyond the last bridge beam. But the only evidence plaintiff cites in support of this claim is
       testimony from Crouch, his own expert witness. Crouch’s estimate that the steel plate extended
       five to six feet beyond the last floor beam cannot be imputed to defendant, and plaintiff cites no
       testimony or other record evidence that defendant knew the plate extended five to six feet back

                                                   - 18 -
        or, if plaintiff’s testimony is given credence, seven to eight feet back. Rather, George Meyer
        and Thomas Campbell both testified that a transition plate typically extends only two feet
        beyond the last crossbeam. Campbell further testified that he had never seen a transition plate
        that extended as far back as the one on the Polk Street bridge. Additionally, plaintiff admits
        that defendant did not possess the original construction plans for the bridge, which may have
        shown the extent of the plate.
¶ 97        We note also that Crouch’s testimony that the steel plate extended five to six feet into the
        roadbed was based on post-accident photos of the bridge and not on any particular
        characteristic of the bridge. Indeed, Crouch testified that although he had seen end plates on a
        lot of through-plate steel girder bridges, “some of them you just can’t tell where they stop and
        start,” and that was true of the Polk Street bridge also.
¶ 98        Because the record affirmatively demonstrates that defendant did not build the bridge, did
        not possess the plans for the bridge, did not use the bridge, and had no reason to know that the
        steel floor plate extended several feet into the roadbed, we hold that the trial court did not err in
        entering summary judgment in favor of defendant on plaintiff’s premises liability claim.
¶ 99        In light of our holding, we need not consider defendant’s further argument that the inert
        steel floor plate, which had functioned without incident for numerous decades, did not create
        an “unreasonable risk of harm,” as section 343 also requires.

¶ 100                                         CONCLUSION
¶ 101       For the reasons set forth above, we reverse the judgment of the appellate court and affirm
        the judgment of the circuit court granting defendant’s motion for summary judgment.

¶ 102       Appellate court judgment reversed; circuit court judgment affirmed.

¶ 103       JUSTICE KILBRIDE, dissenting:
¶ 104       Plaintiff was seriously injured in a bridge-removal accident that resulted in both of his legs
        being severed beneath his knees. I disagree with the majority’s determination that plaintiff’s
        action against defendant, raising three independent negligence claims, is suitable for resolution
        by summary judgment. More specifically, I cannot join in the majority’s conclusion that
        defendant is entitled to summary judgment on all counts. Accordingly, I dissent.
¶ 105       Without question, summary judgment is a “drastic means of disposing of litigation.”
        Mashal v. City of Chicago, 2012 IL 112341, ¶ 49 (citing Adames v. Sheahan, 233 Ill. 2d 276,
        296 (2009)). Summary judgment is warranted only in the most limited circumstances, namely,
        when the movant’s right to relief is “clear and free from doubt.” Mashal, 2012 IL 112341, ¶ 49;
        see also Jackson Jordan, Inc. v. Leydig, Voit & Mayer, 158 Ill. 2d 240, 249 (1994) (concluding
        that “[w]here doubt exists as to the right of summary judgment, the wiser judicial policy is to
        permit resolution of the dispute by a trial”).
¶ 106       Reflecting on these principles, the Illinois Code of Civil Procedure permits entry of
        summary judgment only when “the pleadings, depositions, and admissions on file, together
        with the affidavits, if any, show that there is no genuine issue as to any material fact and that
        the moving party is entitled to a judgment as a matter of law.” 735 ILCS 5/2-1005(c) (West
        2012). This court reviews de novo a ruling on a motion for summary judgment, and we must
        construe the pleadings, depositions, admissions, and affidavits strictly against the moving

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        party and liberally in favor of the opponent. Seymour v. Collins, 2015 IL 118432, ¶ 42.
        Summary judgment should not be entered when (1) there is a dispute related to a material fact,
        (2) reasonable persons could make divergent inferences from undisputed material facts, or
        (3) reasonable persons could disagree on the weighing of relevant factors of a legal standard.
        Seymour, 2015 IL 118432, ¶ 42.
¶ 107        Here, plaintiff’s claims are based on allegations of negligence against defendant, requiring
        plaintiff to plead and prove (1) the existence of a duty owed by the defendant to the plaintiff,
        (2) a breach of that duty, and (3) injury proximately caused by the breach. Bruns v. City of
        Centralia, 2014 IL 116998, ¶ 12. This court recognizes that whether a duty exists is a question
        of law that can be resolved in a motion for summary judgment. Bruns, 2014 IL 116998, ¶ 13.
        As the majority opinion observes, plaintiff effectively relies on three sections of the
        Restatement (Second) of Torts to support his allegations that defendant owed him a duty of
        reasonable care: section 414 (Negligence in Exercising Control Retained by Employer);
        section 411 (Negligence in Selection of Contractor); and section 343 (Dangerous Conditions
        Known to or Discoverable by Possessor). Despite the complex factual circumstances
        underlying this case, the majority concludes that defendant is entitled to summary judgment on
        all three theories (supra ¶ 101). I do not agree.
¶ 108        Section 414 of the Restatement operates as an exception to the general rule that an
        individual who hires an independent contractor is not liable for the acts or omissions of that
        contractor. Specifically, section 414 imposes liability on the hiring entity for an independent
        contractor’s harmful conduct when the employer “retains the control of any part of the
        [independent contractor’s] work.” Restatement (Second) of Torts § 414 (1965). Comment c is
        particularly relevant to this case because it explains the concept of “retained control” as
        follows:
                “[T]he employer must have retained at least some degree of control over the manner in
                which the work is done. It is not enough that he has merely a general right to order the
                work stopped or resumed, to inspect its progress or to receive reports, to make
                suggestions or recommendations which need not necessarily be followed, or to
                prescribe alterations and deviations. Such a general right is usually reserved to
                employers, but it does not mean that the contractor is controlled as to his methods of
                work, or as to operative detail. There must be such a retention of a right of supervision
                that the contractor is not entirely free to do the work in his own way.” Restatement
                (Second) of Torts § 414 cmt. c, at 388 (1965).
¶ 109        This court implicitly adopted the substantively identical section 414 from the Restatement
        of Torts in Larson v. Commonwealth Edison Co., 33 Ill. 2d 316, 325 (1965). Restatement of
        Torts § 414 (1934). Subsequently, our appellate court has repeatedly applied section 414 of the
        Restatement (Second) of Torts in construction-related negligence cases. See supra ¶¶ 34-36
        (making same observation and collecting cases).
¶ 110        Although I agree with the majority that section 414 does not contemplate allegations of
        vicarious liability (supra ¶¶ 36-39), that distinction does not fundamentally alter the critical
        inquiry under section 414 required here—whether defendant retained sufficient control over
        Happ’s, the independent contractor involved in the bridge-removal project. For purposes of
        section 414, the question of whether the hiring entity retained sufficient control over an
        independent contractor is inherently fact intensive. As our appellate court has aptly observed in

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        the context of section 414, “[t]he demarcation between retained control and the lack thereof is
        not clear-cut.” Martens v. MCL Construction Corp., 347 Ill. App. 3d 303, 314 (2004); see also
        Bokodi v. Foster Wheeler Robbins, Inc., 312 Ill. App. 3d 1051, 1059 (2000) (noting that the
        trier of fact is typically responsible for determining whether the principal retained sufficient
        control over an independent contractor). This is particularly true under the circumstances of
        this case.
¶ 111        Like the majority, I initially focus on the written agreement between defendant and its
        contractor, Happ’s. See Cain v. Joe Contarino, Inc., 2014 IL App (2d) 130482, ¶ 76 (noting
        that “ ‘[t]he best indicator of whether a contractor has retained control over the subcontractor’s
        work is the parties’ contract, if one exists.’ ” (quoting Downs v. Steel & Craft Builders, Inc.,
        358 Ill. App. 3d 201, 205 (2005))). Here, the contract, inter alia, identified Happ’s as an
        “independent contractor” and required Happ’s to provide “all superintendence” for the
        bridge-removal project. The contract also reserved to defendant a general right to stop work or
        make changes. Under comment c, this general reservation is arguably the type considered
        insufficient for a finding of retained control by the employer. I observe, however, that the
        contract contained additional language not identified in comment c, particularly the
        requirement that Happ’s perform the project in a workmanlike manner “to the satisfaction and
        acceptance” of defendant’s representative. The contract also bestowed on defendant the
        authority to remove any of Happ’s employees that defendant deemed “not acceptable.” In my
        opinion, this contractual language evinces a higher level of control than the general
        reservations of rights described in comment c of section 414.
¶ 112        Furthermore, defendant’s conduct following the accident demonstrates its retention of
        control. See Herzog v. Lexington Township, 167 Ill. 2d 288, 300-01 (1995) (explaining that
        evidence of subsequent remedial measures is not admissible for proving prior negligence but is
        admissible for other purposes, including establishing control or ownership); Maggi v. RAS
        Development, Inc., 2011 IL App (1st) 091955, ¶ 72 (citing Herzog for same proposition).
        According to plaintiff’s allegations, defendant became involved in the post-accident activities
        almost immediately, and defendant’s representatives were intimately involved in the
        remainder of the bridge-removal project. In fact, defendant’s representatives directed Happ’s
        to provide a detailed plan for ongoing work on the project and indicated that another incident
        would not be tolerable. I agree with the appellate court’s assessment of this evidence—that it
        further illustrated the control defendant retained over Happ’s. 2014 IL App (1st) 130105-U,
        ¶ 32.
¶ 113        At a minimum, I believe that reasonable persons could make different inferences from the
        relevant evidence and disagree on the weight afforded to the contractual provisions when
        determining whether defendant retained sufficient control over Happ’s for purposes of section
        414. This is especially true when, as always, we are required to construe the pleadings,
        depositions, admissions, and affidavits liberally in favor of plaintiff, the party opposing
        summary judgment here. Seymour, 2015 IL 118432, ¶ 42. Because I believe that reasonable
        persons could make divergent inferences from the undisputed facts in this case and disagree on
        the weight of factors related to defendant’s retained control, I believe summary judgment was
        improper. Accordingly, I would affirm the appellate court’s judgment reversing the circuit
        court’s entry of summary judgment in favor of defendant on plaintiff’s section 414 allegations.

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¶ 114       Next, the majority considers plaintiff’s claim that defendant was negligent in its selection
        of Happ’s to remove the bridge. This claim implicates section 411 of the Restatement (Second)
        of Torts, titled “Negligence in Selection of Contractor.” Section 411 subjects an employer to
        liability for physical harm to third persons caused by the failure to exercise reasonable care to
        employ a competent and careful contractor to perform (1) work involving a risk of physical
        harm, unless it is skillfully and carefully done or (2) any duty that the employer owes to third
        persons. Restatement (Second) of Torts § 411 (1965); see also Gomien v. Wear-Ever
        Aluminum, Inc., 50 Ill. 2d 19, 21 (1971) (this court applying section 411 of the Restatement).
¶ 115       I agree completely with the majority’s thorough review of the facts pertaining to section
        411 and its ultimate conclusion that a fact question exists as to whether defendant failed to
        exercise reasonable care to employ a careful and competent contractor. Supra ¶¶ 67-73. I
        disagree, however, with the majority’s subsequent determination that plaintiff was not a “third
        person” to whom defendant owed a duty under section 411 based on plaintiff’s status as an
        employee of Carney Group. Supra ¶ 88.
¶ 116       Section 411 does not define the term “third person” for purposes of the duty analysis.
        Because this court has never considered the issue, it is a matter of first impression. While some
        jurisdictions have interpreted the term to exclude employees of an independent contractor (see,
        e.g., Camargo v. Tjaarda Dairy, 25 P.3d 1096, 1100 (Cal. 2001) (collecting cases)), others
        have reached the opposite conclusion. See Bagley v. Insight Communications Co., 658 N.E.2d
        584, 588 (Ind. 1995) (holding that plaintiff’s status as employee of independent contractor did
        not preclude the plaintiff from advancing a negligent-hiring claim); Sievers v. McClure, 746
        P.2d 885, 891 (Alaska 1987) (holding that the “employer’s duty to act reasonably in hiring a
        competent contractor runs to the employees of the contractor”).
¶ 117       The majority here adopts a rule that precludes a contractor’s employee from seeking relief
        under section 411 in every instance, reasoning that an injured worker is entitled to seek
        workers’ compensation benefits and is better situated to protect himself from workplace
        dangers when compared to a bystander. Supra ¶ 88. Although the majority’s approach has the
        superficial appeal of a bright-line rule, I find it unnecessarily rigid. I would, therefore, adopt
        the rule of those jurisdictions that do not automatically exclude employees of independent
        contractors from the “third person” category under section 411. In my view, this approach is
        preferable because it permits a measured case-by-case analysis. It also provides adequate
        protection for employees injured by the negligent hiring of incompetent or careless
        contractors.
¶ 118       As the Supreme Court of Indiana has recognized, “public policy concerns militate against
        permitting an employer to absolve itself of all further responsibility by transferring its duties to
        an independent contractor,” and the law “encourage[s] the employer of the contractor to
        participate in the control of work *** in order to minimize the risk of resulting injuries.”
        Bagley, 658 N.E.2d at 588. Rejecting the suggestion that an injured employee is not similarly
        situated to an injured non-employee third party, the court explained:
                 “Our objective is no less to protect workers who may be exposed to such risks than it is
                 to protect non-employee third parties. The fact that partial remuneration through
                 worker’s compensation benefits may be available to an employee of an independent
                 contractor does not diminish the policy rationale of providing an additional incentive to

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                eliminate or minimize particular risks of injuries which arise from non-delegable
                duties.” Bagley, 658 N.E.2d at 588.
¶ 119       Likewise, the Supreme Court of Alaska explained that permitting an injured employee of
        an independent contractor to seek recovery based on a negligent-hiring theory under section
        411 “is not unduly burdensome, as in most cases it requires no additional effort from an
        employer who must act reasonably in the selection process in any event in order to protect third
        parties from harm.” Sievers, 746 P.2d at 891. It also has the added benefit of “further[ing] the
        goal of industrial safety by discouraging the employment of contractors notorious for cutting
        costs at the expense of their employees’ health and safety.” Sievers, 746 P.2d at 891.
¶ 120       I would adopt the rationale of those courts to reject a per se rule that prohibits a
        contractor’s employee from relying on section 411. Consistent with that authority, I would
        similarly conclude that plaintiff in this case is not precluded from seeking recovery on a
        negligent-hiring theory under section 411 as a matter of law. In turn, because a question of fact
        exists on whether defendant failed to exercise reasonable care to employ a careful and
        competent contractor when it hired Happ’s, I would affirm the appellate court’s decision that
        summary judgment was improper on plaintiff’s section 411 claim.
¶ 121       Lastly, the majority concludes that defendant was entitled to summary judgment on
        plaintiff’s premises liability claim under section 343 of the Restatement (Second) of Torts.
        Section 343 imposes liability on a landowner “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 (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.” Restatement (Second) of Torts § 343 (1965); see also Genaust v. Illinois Power
        Co., 62 Ill. 2d 456, 468 (1976) (adopting section 343).
¶ 122       The majority accepts, for purposes of plaintiff’s argument, that the underground steel plate
        of the bridge was a “condition on the land” but nonetheless concludes that there was no
        evidence defendant knew or should have known of that condition. Supra ¶ 94. Ultimately, the
        majority reasons that summary judgment in favor of defendant on plaintiff’s section 343 claim
        was proper “[b]ecause the record affirmatively demonstrates that defendant did not build the
        bridge, did not possess the plans for the bridge, did not use the bridge, and had no reason to
        know that the steel floor plate extended several feet into the roadbed.” Supra ¶ 98.
¶ 123       In my opinion, the majority’s conclusion overlooks an important and indisputable
        fact—defendant was, at all times, the owner of the land where the bridge was located and the
        accident occurred. See, e.g., Esser v. McIntyre, 267 Ill. App. 3d 611, 617 (1994) (recognizing
        that at common law the salient question for a premises liability claim is whether defendant
        maintained possession and control of the real property where the tort occurred). Moreover,
        having owned the bridge since 1996, defendant was arguably in a better position to know the
        location of the bridge’s underground steel plate than Happ’s, who acquired the bridge from
        defendant on July 19, 2006. The accident occurred shortly after, on July 31, 2006. In other
        words, at the time of the accident, defendant had owned the bridge for the preceding decade,
        while Happ’s had owned it for less than two weeks. Under these circumstances, I believe that
        reasonable minds could disagree on whether defendant knew or should have known about the
        underground steel plate and whether the plate posed an unreasonable risk of harm to the

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        construction workers involved in removing the bridge. Accordingly, I believe that summary
        judgment on plaintiff’s section 343 claims was improper, and I would affirm the appellate
        court’s judgment reaching the same conclusion.
¶ 124       In closing, it is worth reemphasizing the complicated factual disputes involved in this case.
        Indeed, the lower courts did not agree on whether this case could be resolved by summary
        judgment, an admittedly “drastic means of disposing of litigation” (Mashal, 2012 IL 112341,
        ¶ 49). Summary judgment should not be entered when (1) there is a dispute related to a
        material fact, (2) reasonable persons could make divergent inferences from undisputed
        material facts, or (3) reasonable persons could disagree on the weight of the relevant factors of
        the applicable legal standard. Seymour, 2015 IL 118432, ¶ 42. As explained in this dissent, I
        believe all three situations exist here, and thus, I agree with the appellate court that summary
        judgment was improper. I would affirm the appellate court’s judgment that reversed the circuit
        court’s order granting defendant’s motion for summary judgment.
¶ 125       For these reasons, I respectfully dissent.

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