Court Opinion

ID: 9847913
Source: CourtListenerOpinion
Date Created: 2023-09-24 04:09:47.738948+00
Date Added: 2024-06-11T09:17:45.688380
License: Public Domain

Opinion
MOSK, J.
Section 3600 of the Labor Code provides that an employer is liable for injuries to its employees arising out of and in the course of employment, and section 3601 declares that where the conditions of *468workers’ compensation exist, the right to recover such compensation is the exclusive remedy against an employer for injury or death of an employee.1 The issue to be decided in this proceeding is whether an employee is barred by these provisions from prosecuting an action at law against his employer for the intentional torts of fraud and conspiracy in knowingly ordering the employee to work in an unsafe environment, concealing the risk from him, and, after the employee had contracted an industrial disease, deliberately failing to notify the state, the employee, or doctors retained to treat him, of the disease and its connection with the employment, thereby aggravating the consequences of the disease.
*469We conclude that while the workers’ compensation law bars the employee’s action at law for his initial injury, a cause of action may exist for aggravation of the disease because of the employer’s fraudulent concealment of the condition and its cause.
Reba Rudkin, real party in interest (hereinafter plaintiff), brought an action against Johns-Manville Products Corporation, his employer for 29 years (defendant) and others,2 alleging as follows:
Defendant is engaged in mining, milling, manufacturing, and packaging asbestos. Plaintiff worked in its Pittsburg, California, plant for 29 years beginning in February 1946, and he was continuously exposed to asbestos during that period. As a result of the exposure, he developed pneumoconiosis, lung cancer, or other asbestos-related illnesses.
The defendant corporation has known since 1924 that long exposure to asbestos or the ingestion of that substance is dangerous to health, yet it concealed this knowledge from plaintiff, and advised him that it was safe to work in close proximity to asbestos. It failed to provide him with adequate protective devices and did not operate the plant in accordance with state and federal regulations governing dust levels.
In addition, the doctors retained by defendant to examine plaintiff were unqualified, and defendant did not provide them with adequate information regarding the risk of asbestos exposure. It failed to advise these doctors of the development of pulmonary disease in plaintiff or of the fact that the disease was the result of the working conditions at the plant, although it knew that his illness was caused by exposure to asbestos. Finally, defendant willfully failed to file a First Report of Occupational Injury or Illness with the State of California regarding plaintiff’s injury, as required by law. Had this been done, and if the danger from asbestos had been revealed, plaintiff would have been pro*470tected. Each of these acts and omissions was done falsely and fraudulently by defendant, with intent to induce plaintiff to continue to work in a dangerous environment. Plaintiff was ignorant of the risks involved, and would not have continued to work in such an environment if he had known the facts.
In a separate cause of action plaintiff alleged that defendant knowingly conspired with others to perpetrate the acts set forth above.
The complaint sought compensatory and punitive damages, including compensation for the cost of medical care which plaintiff was required to obtain in order to treat his illness.
Defendant filed an answer alleging, inter alia, that the action was barred under section 3601. It requested the trial court to take judicial notice of an application filed by plaintiff seeking workers’ compensation benefits for disability caused by “[ejxposure to asbestos.” Defendant moved for judgment on the pleadings on the ground that section 3601 bars the action. The trial court denied the motion. In this proceeding for a writ of mandate, defendant seeks to set aside the trial court’s order.
According to a brief filed on plaintiff’s behalf, he died of lung cancer after the petition for writ of mandate was filed. The issues presented are not moot, however, since an action for personal injuries survives the death of the plaintiff. (Prob. Code, § 573.)3
For purposes of reviewing the trial court’s denial of defendant’s motion, we must accept as true the allegations of plaintiff’s complaint. (Colberg, Inc. v. State of California ex rel. Dept. Pub. Wks. (1967) 67 Cal.2d 408, 411-412 [62 Cal.Rptr. 401, 432 P.2d 3].)
The primary focus of the dispute between the parties centers upon the question whether section 4553 is intended to cover the intentional acts of employers which cause employee injuries.4 The section provides *471that “compensation otherwise recoverable shall be increased one-half where the employee is injured by reason of the serious and willful misconduct” of the employer, not to exceed $10,000. Defendant urges that the penalty imposed upon employers by this section is a substitute for a common law right of action against an employer whose intentional misconduct results in injury, while plaintiff argues that such misconduct is distinguishable from the “serious and willful misconduct,” described in section 4553, and therefore his complaint alleging intentional acts by defendant is cognizable in an action at law.
Defendant relies upon both the legislative history of the Workers’ Compensation Act and cases interpreting the words “serious and willful misconduct” in support of its position.
Prior to 1917, the law allowed an employee a choice of remedies if an injury was caused by an employer’s gross negligence or willful misconduct. He could either claim workers’ compensation benefits or maintain an action at law for damages. (Stats. 1913, ch. 176, § 12(b), pp. 283-284.) In that year, however, this provision was deleted and a new section added specifying a one-half increase in compensation in the event of serious and willful misconduct by the employer. (Stats. 1917, ch. 586, § 6(b), p. 834.) This history, contends defendant, demonstrates that the right to seek additional compensation for injuries caused by the serious and willful misconduct of the employer was intended by the Legislature as a substitute for the right to seek damages in an action at law for such conduct.
Plaintiff claims that the reason for the amendment was a desire by the Legislature to equalize the treatment of employer and employee with regard to the commission of acts of serious and willful misconduct.5 However, the argument is not convincing because it does not account for the repeal of the provision allowing an employee to bring an action at law for the employer’s willful misconduct.
*472We find the historical background cited by defendant to be persuasive. The clear implication is that the addition in 1917 of the “exclusive remedy” limitation and the provision for a penalty for the willful misconduct of the employer was a substitute for the previous right of an employee to bring an action at law.
Next, defendant contends that the term “serious and willful misconduct” as used in section 4553 has the same meaning as intentional misconduct, and plaintiff may not avoid the bar of section 3601 merely by characterizing defendant’s conduct as intentional. Defendant relies on Mercer-Fraser Co. v. Industrial Acc. Com. (1953) 40 Cal.2d 102, 117 [251 P.2d 955], in which the term “willful misconduct” as used in section 4553 was defined as conduct which “‘necessarily involves deliberate, intentional, or wanton conduct in doing or omitting to perform acts, with knowledge or appreciation of the fact. . . that danger is likely ' to result therefrom.’ [¶] ‘Wilfulness necessarily involves the performance of a deliberate or intentional act or omission regardless of the consequences.’”6 This definition expressly includes intentional conduct within the purview of section 4553.
Plaintiff counters that the Legislature recognized a difference between intentional misconduct and serious and willful misconduct because it has provided that an employee who is guilty of the former is precluded from recovering workers’ compensation (§ 3600, subds. (d), (e), (f), (g)), whereas if he is injured as the result of his own serious and willful misconduct he only suffers a one-half reduction in compensation benefits (§ 4551).
The contention misconstrues these provisions. The only intentional misconduct of an employee which excludes his right to compensation is the deliberate infliction of injury upon himself, his participation in an *473altercation in which he is the aggressor, or where his injuries are caused by intoxication. (See fn. 1, ante, p. 468.) These provisions were obviously designed, at least in part, to prevent an employee from injuring himself in order to collect compensation, to deter physical aggression by employees, and to prevent injuries due to intoxication. The fact that the Legislature chose to except these particular types of intentional acts from compensation coverage does not imply that all types of employee misconduct which may be described as intentional will preclude recovery of compensation. If, for example, the employee deliberately performs an act “with knowledge or appreciation of the fact. . . that danger is likely to result therefrom”—conduct which constitutes serious and willful misconduct under section 4551 (Mercer-Fraser Co. v. Ind. Acc. Com., supra, 40 Cal.2d 102, 117)—he is not precluded from recovering compensation but is only subject to a reduction of his recovery by one-half.7
In sum, the provisions of section 4553 were designed to penalize intentional misconduct of an employer, and the injuries which result from such acts are compensable under that section.
However, while the case law cannot be described as consistent, it reveals that in some exceptional circumstances the employer is not free from liability at law for his intentional acts even if the resulting injuries to his employees are compensable under workers’ compensation. Indeed, in one unusual situation, despite the “exclusive remedy” provision of section 3601, an action at law was allowed for injuries incurred in the employment where the employer’s conduct was negligent rather than intentional.8
First we consider cases in which the intentional acts of the employer have been held not to justify an action at law. Compensation was determined to be the exclusive remedy for injuries suffered in a case in *474which the employer concealed the dangers inherent in the material the employees were required to handle (Wright v. FMC Corp. (1978) 81 Cal.App.3d 111, 119 [146 Cal.Rptr. 740]) or made false representations in that regard (Buttner v. American Bell Tel. Co. (1940) 41 Cal.App.2d 581, 584 [107 P.2d 439].) The same conclusion was reached on the basis of allegations that the employer was guilty of malicious misconduct in allowing an employee to use a machine without proper instruction. (Law v. Dartt (1952) 109 Cal.App.2d 508, 509 [240 P.2d 1013].)
The reason for the foregoing rule seems obvious. It is not uncommon for an employer to “put his mind” to the existence of a danger to an employee and nevertheless fail to take corrective action. (See, e.g., Rogers Materials Co. v. Ind. Acc. Com., supra, 63 Cal.2d 717, 723.) In many of these cases, the employer does not warn the employee of the risk. Such conduct may be characterized as intentional or even deceitful. Yet if an action at law were allowed as a remedy, many cases cognizable under workers’ compensation would also be prosecuted outside that system. The focus of the inquiry in a case involving work-related injury would often be not whether the injury arose out of and in the course of employment, but the state of knowledge of the employer and the employee regarding the dangerous condition which caused the injury. Such a result would undermine the underlying premise upon which the workers’ compensation system is based. That system balances the advantage to the employer of immunity from liability at law against the detriment of relatively swift and certain compensation payments. Conversely, while the employee receives expeditious compensation, he surrenders his right to a potentially larger recovery in a common law action for the negligence or willful misconduct of his employer. This balance would be significantly disturbed if we were to hold, as plaintiff urges, that any misconduct of an employer which may be characterized as intentional warrants an action at law for damages.  It seems clear that section 4553 is the sole remedy for additional compensation against an employer whose employee is injured in the first instance as the result of a deliberate failure to assure that the physical environment of the work place is safe.
Thus, if the complaint alleged only that plaintiff contracted the disease because defendant knew and concealed from him that his health was endangered by asbestos in the work environment, failed to supply *475adequate protective devices to avoid disease, and violated governmental regulations relating to dust levels at the plant, plaintiffs only remedy would be to prosecute his claim under the workers’ compensation law.
But where the employer is charged with intentional misconduct which goes beyond his failure to assure that the tools or substances used by the employee or the physical environment of a workplace are safe, some cases have held that the employer may be subject to common law liability. A physical assault by the employer upon the employee has been held to justify an action at law against the employer. (Magliulo v. Superior Court (1975) 47 Cal.App.3d 760, 779 [121 Cal.Rptr. 621]; see Meyer v. Graphic Arts International Union (1978) 88 Cal.App.3d 176, 178 [151 Cal.Rptr. 597]; contra, Azevedo v. Abel (1968) 264 Cal.App. 2d 451, 458-460 [70 Cal.Rptr. 710].) In Ramey v. General Petroleum Corp. (1959) 173 Cal.App.2d 386, 402 [343 P.2d 787], it was held that an action for fraud could be maintained against an employer who made misrepresentations regarding the employee’s right to medical care and conspired with a third party to conceal from the employee that his injuries, which occurred while he was working, were caused by the third party against whom he had recourse. And in Unruh v. Truck Insurance Exchange (1972) 7 Cal.3d 616, 630 [102 Cal.Rptr. 815, 498 P.2d 1063], we allowed an action at law against an insurer for assault, battery, and intentional infliction of emotional distress, based upon its deceitful conduct in investigating a workers’ compensation claim.9
The reasons given in these cases for allowing a common law action for intentional misconduct of the employer vary. In Magliulo the rationale was based, at least in part, on the ground that since an employee may sue a fellow employee at law for assault (§ 3601, subd. (a)(1)), he should have the same right against his employer, and that an intentional assault by the employer has a questionable relationship to the general conditions of employment.
*476Ramey held that even though the employee had previously recovered workers’ compensation for the physical injury arising from the employment, the injury from the fraudulent concealment of his cause of action was distinct from the industrial injury and did not occur while he was performing services growing out of or incidental to his employment. The court declared that the Legislature never intended that an employer’s fraud was a risk of the employment.
In Unruh, we recognized that an insurer ordinarily stands in the shoes of the employer when it investigates a claim for compensation (§§ 3850, 3852), and that its negligence in carrying out this duty must be remedied under the compensation law. However, we held that the immunity from common law liability was lost insofar as the insurer did not “remain in its proper role” but, rather, acted deceitfully in investigating the claim. A separate cause of action was allowed against the insurer for aggravation of the initial industrial injury, for which the plaintiff had already received compensation.10
The parties attempt to distinguish, harmonize, or explain these holdings. While we do not purport to find in them a tidy and consistent rationale, we perceive in Magliulo, Meyer and Unruh a trend toward allowing an action at law for injuries suffered in the employment if the employer acts deliberately for the purpose of injuring the employee or if the harm resulting from the intentional misconduct consists of aggravation of an initial work-related injury. In Magliulo, Meyer, Unruh, and Ramey, the alleged misconduct consisted of assault or fraud and deceit. Ramey and Unruh distinguished between an initial injury and a later injury which is separate from but related to the first injury (Ramey) or aggravates the initial injury (Unruh).
*477In the present case, plaintiff alleges that defendant fraudulently concealed from him, and from doctors retained to treat him, as well as from the state, that he was suffering from a disease caused by ingestion of asbestos, thereby preventing him from receiving treatment for the disease and inducing him to continue to work under hazardous conditions. These allegations are sufficient to state a cause of action for aggravation of the disease, as distinct from the hazards of the employment which caused him to contract the disease.
This approach is not inconsistent with cases which hold that aggravation of an industrial injury by negligent treatment or the negligent failure to provide treatment may not be made the basis of an action at law against the employer or its insurer. (Deauville v. Hall (1961) 188 Cal.App.2d 535, 543-544 [10 Cal.Rptr. 511]; Noe v. Travelers Ins. Co. (1959) 172 Cal.App.2d 731, 735-737 [342 P.2d 976]; Hazelwerdt v. Industrial Indem. Exchange (1958) 157 Cal.App.2d 759, 761-765 [321 P.2d 831].) Unruh distinguished between negligent and intentional misconduct in this regard holding, as we have seen, that an insurer which engages in intentional misconduct following a compensable injury may be held liable in an action at law for aggravation of the injury. (7 Cal.3d 616 at pp. 626-628.)
In Magliulo it was said that although an employee might be willing to surrender his right to an action at common law for the ordinary type of work-related injuries, it is not equally clear that when he accepts employment he contemplates his employer might assault him or if an assault occurs he must be satisfied with the additional compensation provided by section 4553. So, here, it is inconceivable that plaintiff contemplated defendant would, as he alleges, intentionally conceal the knowledge that he had contracted a serious disease from the work environment, thereby aggravating the disease, and by accepting employment he would surrender his right to damages at law for such conduct.11__
*478Moreover, defendant’s alleged actions are more blameworthy than the insurer’s conduct in using “evidence perfidiously” procured in Unruh, and, if established at trial, are so egregious and the societal interest in deterring similar conduct in the future is so great that there is justification for awarding punitive damages. Such a penalty, however, may be afforded only in an action at law.12
It bears emphasis that in allowing an action at law in this case we do not quarrel with the courts which have strictly construed section 3601 so as to “preserve the spirit of the act and to prevent distortion of its purposes.” (Eckis v. Sea World Corp. (1976) 64 Cal.App.3d 1, 7 [134 Cal.Rptr. 183]; Saala v. McFarland (1965) 63 Cal.2d 124, 130 [45 Cal.Rptr. 144, 403 P.2d 400]; Deauville v. Hall, supra, 188 Cal.App.2d 535, 546-547; Noe v. Travelers Ins. Co., supra, 172 Cal.App.2d 731, 737.) But we do not subscribe to the fears of defendant that a holding in plaintiff’s favor would open up a Pandora’s box of actions at law seeking damages for numerous industrial diseases. Restricting plaintiff’s damages to aggravation of the disease caused by the alleged fraud of defendant would substantially limit the number of such actions.
We conclude the policy of exclusivity of workers’ compensation as a remedy for injuries in the employment would not be seriously undermined by holding defendant liable for the aggravation of this plaintiff’s injuries, since we cannot believe that many employers will aggravate the effects of an industrial injury by not only deliberately concealing its existence but also its connection with the employment. Nor can we believe that the Legislature in enacting the workers’ compensation law intended to insulate such flagrant conduct from tort liability. Finally, although plaintiff filed an application for workers’ compensation and may receive an award in that proceeding, double recovery may be avoided by allow*479ing the employer a setoff in the event plaintiff is awarded compensation for the aggravation of his injury in that proceeding and in the present case as well. (See Unruh v. Truck Insurance Exchange, supra, 7 Cal. 3d 616, 636.)
The writ is denied.
Bird, C. J., Tobriner, J., Manuel, J., and Newman, J., concurred.

 All references are to the Labor Code, unless otherwise noted.
Section 3600 provides in part: “Liability for the compensation provided by this division, in lieu of any other liability whatsoever to any person except as provided in Section 3706, shall, without regard to negligence, exist against an employer for any injury sustained by his employees arising out of and in the course of the employment and for the death of any employee if the injury proximately causes death, in those cases where the following conditions of compensation concur: “(a) Where, at the time of the injury, both the employer and the employee are subject to the compensation provisions of this division.
“(b) Where, at the time of the injury, the employee is performing service growing out of and incidental to his employment and is acting within the course of his employment.
“(c) Where the injury is proximately caused by the employment, either with or without negligence.
“(d) Where the injury is not caused by the intoxication of the injured employee.
“(e) Where the injury is not intentionally self-inflicted.
“(f) Where the employee has not willfully and deliberately caused his own death.
“(g) Where the injury does not arise out of an altercation in which the injured employee is the initial physical aggressor.”
Section 3601 provides in part: “(a) Where the conditions of compensation exist, the right to recover such compensation, pursuant to the provisions of this division is. . .the exclusive remedy for injury or death of an employee against the employer or against any other employee of the employer acting within the scope of his employment, except that an employee, or his dependents in the event of his death, shall, in addition to the right to compensation against the employer, have a right to bring an action at law for damages against such other employee, as if this division did not apply, in either of the following cases:
“(1) When the injury or death is proximately caused by the willful and unprovoked physical act of aggression of such other employee.
“(2) When the injury or death is proximately caused by the intoxication of such other employee. . . .
“(b) An act which will not sustain an independent action for damages against such other employee under paragraph (1) or (2) of subdivision (a) of this section may nevertheless be the basis of a finding of serious and willful misconduct under Section 4553 or 4553.1, if (1) such other employee is established to be one through whom the employer may be charged under Section 4553; (2) such act of such other employee shall be established to have been the proximate cause of the injury or death; and (3) such act is established to have been of a nature, kind, and degree sufficient to support a finding of serious and willful misconduct under Section 4553 or 4553.1.
*469“(c) In no event, either by legal action or by agreement whether entered into by such other employee or on his behalf, shall the employer be held liable, directly or indirectly, for damages awarded against, or for a liability incurred by such other employee under paragraph (1) or (2) of subdivision (a) of this section.
“(d) No employee shall be held liable, directly or indirectly, to his employer, for injury or death of a coemployee except where the injured employee or his dependents obtain a recovery under subdivision (a) of this section.”

Also joined in the action are several other Johns-Manville corporations, two doctors who treated plaintiff for his illness, and numerous persons sued fictitiously. The complaint contains nine causes of action, but only the third and fourth, alleging that defendant was guilty of fraud and conspiracy as plaintiff’s employer, are at issue here.

The present action was consolidated with several others filed by former employees at defendant’s Pittsburg plant. The allegations of all these complaints are identical, and our conclusion here will determine whether the plaintiffs in the additional actions may proceed to trial.

The Department of Industrial Relations, and others have filed amicus curiae briefs on behalf of plaintiff, while the California Workers’ Compensation Institute has filed *471an amicus curiae brief in support of defendant. For literary convenience, this opinion will treat assertions made on behalf of both parties by amicus as though they had been made by the parties themselves.

The act provided that an employee who is guilty of serious and willful misconduct would have his compensation reduced by 50 percent. (Stats. 1917, ch. 586, § 6(a)(4), p. 834.) That provision appears in section 4551, which sets forth some exceptions to the reduction penalty.

Plaintiff asserts that decisions both before and after Mercer-Fraser found serious and willful misconduct on facts which did not meet the strict definition set forth in that case. (Citing, e.g., Rogers Materials Co. v. Ind. Acc. Com. (1965) 63 Cal.2d 717, 723 [48 Cal.Rptr. 129, 408 P.2d 737]; Vega Aircraft v. Industrial Acc. Com. (1946) 27 Cal.2d 529, 533-534 [165 P.2d 665]; Parkhurst v. Industrial Acc. Com. (1942) 20 Cal.2d 826, 829 [129 P.2d 113]; E. Clemens Horst Co. v. Industrial Acc. Com. (1920) 184 Cal. 180, 189 [193 P. 105, 16 A.L.R. 611].) We fail to comprehend how this circumstance assists plaintiffs argument that intentional acts may be distinguished from willful misconduct. In virtually all of the cases cited by plaintiff, it is recognized that an employer is guilty of serious and willful misconduct under section 4553 if he knows he is placing his employees in a dangerous position and fails to take precautions for their safety.

Hawaiian Pineapple Co. v. Ind. Acc. Com. (1953) 40 Cal.2d 656, 664 [255 P.2d 431], holds that the term “serious and willful misconduct” is to be given the same meaning in sections 4551 and 4553. However, it does not discuss the provisions of subdivisions (d), (e), (f), and (g) of section 3600 or their relationship to section 4551.

In Duprey v. Shane (1952) 39 Cal.2d 781, 793 [249 P.2d 8], a nurse who was employed by a chiropractor was treated by him for an industrial injury. We held that she could sue her employer for malpractice because in committing the tortious acts he was acting in his capacity as a doctor rather than as an employer. (See also Baugh v. Rogers (1944) 24 Cal.2d 200, 214 [148 P.2d 633, 152 A.L.R. 1043]; Douglas v. E. & J. Gallo Winery (1977) 69 Cal.App.3d 103, 110 [137 Cal.Rptr. 797].)

lt has also been held that damages for intentional infliction of emotional distress unaccompanied by physical injury may be sought in an action at law as an implied exception to the exclusive remedy provisions of the workers’ compensation law because that system provides no remedy for a nonphysical injury in the employment. The court reasoned that the Legislature did not intend to deny an employee all redress for that tort. (Renteria v. County of Orange (1978) 82 Cal.App.3d 833, 841-842 [147 Cal.Rptr. 447].) Conversely, cases holding that workers’ compensation is the sole remedy for such an injury are based upon the fact that physical injury resulted from the tort, and therefore the injury was compensable under workers’ compensation. (Gates v. Trans Video Corp. (1979) 93 Cal.App.3d 196, 206 [155 Cal.Rptr. 486].)'

The holding that the insurer could be sued as a “person other than the employer” (§ 3852) was based upon the “dual capacity” doctrine enunciated in Duprey v. Shane, supra, 39 Cal.2d 781, and followed in Douglas v. E. & J. Gallo Winery, supra, 69 Cal.App.3d 103. By analogy to Duprey, it was determined that the insurer in Unruh was “invested with a dual personality” so that while it was performing its proper role within the compensation system it stood in the position of plaintiffs employer and was immune from suit, but when it stepped outside that role by committing an intentional tort, it “became a person other than the employer” like the doctor in the Duprey case, and subject to liability at law. We recognize that Unruh involved the liability of the insurer as the alter ego of the employer rather than, as here, the employer itself. Nevertheless, the distinction between liability for negligent conduct which aggravates an industrial injury and intentional conduct which has the same result is significant in the context of the present case.

Although our holding herein is based in part on an analogy to the Magliulo-Ramey-Unruh line of decisions, we are not to be understood thereby as resolving any conflict between Magliulo and Azevedo v. Abel (1968) supra, 264 Cal.App.2d 451, 458-460, as to an employee’s right to maintain an action at law against his employer for a physical assault by the latter related to the employment. That issue is not presented in this case, and we do not purport to address it.
Since the question at issue here was decided on the pleadings the record contains no evidence as to the difficulty of separating the damage caused by the onset of the disease suffered by plaintiff from its subsequent aggravation. There is a considerable body of medical literature regarding disease caused by the ingestion of asbestos (see Borel v. Fibreboard Paper Products Corporation (5th Cir. 1973) 493 F.2d 1076, 1083-1085), and at trial the parties will undoubtedly introduce medical evidence in support of their *478contentions regarding causation and aggravation. We note for the guidance of the court on retrial that if plaintiff is successful in establishing that his injury was aggravated by the wrongful acts of defendant as alleged in the complaint, the burden of apportioning damages between the initial contracting of the disease and its subsequent aggravation is upon defendant, since the problem of apportionment emanates from defendants’ wrongful acts. (Cf. Pullman Kellogg v. Workers’ Comp. Appeals Bd. (1980) 26 Cal.3d 450, 455-456 [161 Cal.Rptr. 783, 605 P.2d 422]; Summers v. Tice (1948) 33 Cal.2d 80, 88 [199 P.2d 1, 5 A.L.R.2d 91].)

The 50 percent increase in the award authorized by section 4553 is additional compensation and does not represent exemplary damages. (State Dept, of Corrections v. Workmen’s Comp. App. Bd. (1971) 5 Cal.3d 885, 891 [97 Cal.Rptr. 786, 489 P.2d 818]; E. Clemens Horst Co. v. Industrial Acc. Com., supra, 184 Cal. 180, 193.)