Court Opinion

ID: 4173186
Source: CourtListenerOpinion
Date Created: 2017-05-31 19:12:54.652997+00
Date Added: 2024-06-11T14:25:15.862622
License: Public Domain

REPORTED

  IN THE COURT OF SPECIAL APPEALS

            OF MARYLAND

                 No. 655

          September Term, 2016

______________________________________

     MARRICK HOMES LLC, ET AL

                    v.

      ADAM RUTKOWSKI, ET AL.

______________________________________

     Graeff,
     Berger,
     Salmon, James P.
         (Senior Judge, Specially Assigned),

                    JJ.

______________________________________

          Opinion by Berger, J.
______________________________________

     Filed: May 31, 2017
       This case is before us on appeal from a jury verdict of the Circuit Court for Calvert

County in a personal injury action brought by Adam Rutkowski and Sara Mastropole,

appellees, husband and wife. Adam Rutkowski was injured on November 11, 2012, when

a safety guardrail in his home failed, causing him to fall twelve to thirteen feet to the

concrete below. The appellees filed suit against Marrick Properties, Inc. (“Marrick”), the

builder and general contractor that constructed their home, as well as against Creative Trim,

Inc. (“Creative Trim”), the subcontractor that was responsible for the construction and

installation of the failed safety guardrail. The appellees also brought suit against the

individual owners of Creative Trim and the previous owners of the home. All parties other

than Marrick were dismissed prior to trial. The jury returned a verdict for the appellees,

and Marrick appealed.

       On appeal, Marrick presents four issues for our review, which we have consolidated

as three issues and rephrased 1 as follows:

       1
           The issues, as presented by Marrick, are:

               1. Under Maryland law, does the general contractor/builder of
                  a house owe a nondelegable duty to unknown future
                  owners, when it subcontracts the relevant work, is not the
                  owner of the property, and the evidence shows it had a
                  supervisor on site?

               2. Under Maryland law, does any duty of a seller survive the
                  sale of the property when the first purchaser of the home
                  had nearly seven years to inspect the home and discover
                  any defect and the second owner had an additional two
                  months thereafter?
             1.     Whether, under Maryland law, a general
                    contractor/builder bears a nondelegable duty to comply
                    with the relevant provisions of the building code.

             2.     Whether sufficient evidence supports the jury’s finding
                    that Marrick was negligent in the construction and/or
                    the supervision of the construction of the safety
                    guardrail.

             3.     Whether, as a matter of law, Rutkowksi assumed the
                    risk and/or was contributorily negligent by leaning on
                    the safety guardrail.

For the foregoing reasons, we shall affirm the judgment of the Circuit Court for Calvert

County.

                            FACTS AND PROCEEDINGS

      In 2005, Marrick completed construction of a home in Dunkirk, Maryland. Marrick

served as the general contractor/builder for the home originally owned by Mark and Sandra

Smith. Marrick entered into a contract with Creative Trim to perform certain trim work on

the home, including the construction and installation of guardrails.       The home was

constructed with a sliding glass door in the kitchen to allow access to a potential future

deck. Although the kitchen was located on the first story of the home, the sliding door

             3. Under Maryland law, does causation exist when an injury
                occurs seven years after the construction of a railing by a
                subcontractor, which gave way, with no discernable
                changes during that time?

             4. Under Maryland law, is the home owner contributorily
                negligent and did he assume the risk, as a matter of law,
                when he fails to inspect the safety railing on his home, leans
                his body against the railing, reaches beyond the railing, all
                while aware he will fall if the rail does not hold?
                                            2
opening was approximately twelve to thirteen feet above the ground due to the slope of the

lot. The home did not have a deck at the time it was constructed, so a safety guardrail was

installed on the exterior of the house outside of the sliding glass door. Creative Trim was

a subcontractor that built and installed guardrails on Marrick properties, and Marrick

identified Creative Trim as the subcontractor that constructed the railing at the appellees’

home. After the house was completed, the Smith family moved into the home in 2005 and

lived in it for approximately seven years.

       In 2012, the appellees purchased the home from the Smiths and moved into the

home with their one-year-old son.         Thereafter, approximately two months later, on

November 11, 2012, Rutkowski opened the sliding glass door in order to shake out a

kitchen mat. He extended his arms over the guardrail while holding the mat and his body

pushed against the guardrail. The guardrail gave way, causing Rutkowski to fall onto the

concrete patio below. Rutkowski suffered multiple broken bones and a traumatic brain

injury as a result of the fall.

       The appellees filed a complaint in the Circuit Court for Calvert County against

Marrick, Creative Trim, Richard and Donna Haupt (the owners of Creative Trim), and

Mark and Sandra Smith.            The appellees alleged, inter alia, negligence, negligent

supervision, and loss of consortium against Marrick. Marrick raised the affirmative

                                               3
defenses of contributory negligence and assumption of risk. Prior to trial, all parties other

than Marrick were dismissed. 2

       The case was tried before a jury over a period of five days in February 2016. The

parties presented evidence relating to, inter alia, the role of Marrick and Creative Trim in

the design and construction of the safety guardrail, the standard of care required for general

contractors, the way in which the safety guardrail was constructed, the requirements for

construction of the guardrail pursuant to the Calvert County building code, the cause of the

failure of the safety guardrail, and the extent of Rutkowski’s injuries. The appellees

presented evidence that the safety guardrail was affixed to the home with non-structural

finishing nails, rendering it incapable of withstanding the 200 pounds of lateral force

required by the relevant building code. The finishing nails were concealed by the use of

wood trim.

       At the close of the plaintiff’s case, the circuit court denied Marrick’s motion for

judgment as to the claims alleging negligence, negligent supervision, and loss of

consortium. The circuit court further denied Marrick’s motion for judgment as to its

defenses of contributory negligence and assumption of risk. Marrick renewed its motion

for judgment at the close of all evidence, and the court again denied the motion.

       2
          Marrick filed cross-claims against the Smiths and Creative Trim. Prior to trial,
all parties voluntarily dismissed their claims against the Smiths, and the appellees
dismissed their claims against the Haupts. On the morning of trial, the circuit court granted
Creative Trim’s motion to dismiss on the grounds that Creative Trim lacked the capacity
to be sued, having forfeited its corporate charter in 2005.
                                              4
       The jury returned a verdict in favor of the appellees and against Marrick, awarding

$1,306,700.00 in damages. Marrick filed a motion for judgment notwithstanding the

verdict, for new trial, and remittitur. The circuit court denied Marrick’s motion except that

the court applied the statutory cap on noneconomic damages to the jury’s verdict. The

damage award was further amended on May 20, 2016 due to a clerical error, resulting in a

final judgment of $976,700.00. Marrick noted a timely appeal. Additional facts shall be

discussed as necessitated by our discussion of the issues on appeal.

                               STANDARD OF REVIEW

       We review a circuit court’s order granting a motion for judgment notwithstanding

the verdict applying a de novo standard of review. Lowery v. Smithsburg Emergency Med.

Serv., 173 Md. App. 662, 682-83 (2007). We have explained:

              Whether the trial court applied the correct standard of proof in
              adjudging its grant of appellees’ motion for judgment is a
              question of law that we review de novo. Coleman v. Anne
              Arundel County Police Dept., 369 Md. 108, 121, 797 A.2d 770
              (2002). “We review the grant of a motion for judgment under
              the same standard as we review grants of motions for judgment
              notwithstanding the verdict.” Tate v. Bd. of Educ. of Prince
              George’s County, 155 Md. App. 536, 544, 843 A.2d 890
              (2004) (citing Johnson & Higgins of Pa., Inc. v. Hale Shipping
              Corp., 121 Md. App. 426, 450, 710 A.2d 318 (1998)). The
              Court assumes the truth of all credible evidence on the issue
              and any inferences therefrom in the light most favorable to
              appellants, the nonmoving parties. Id. (citation omitted).
              “Consequently, if there is any evidence, no matter how slight,
              that is legally sufficient to generate a jury question, the case
              must be submitted to the jury for its consideration.” Id. at 545,
              843 A.2d 890 (citing Washington Metro. Area Transit Auth. v.
              Reading, 109 Md. App. 89, 99, 674 A.2d 44 (1996)).

Lowery, supra, 173 Md. App. at 682-83.

                                             5
                                              I.

       In a negligence action, a plaintiff bears the burden of proving: “1) that the defendant

was under a duty to protect the plaintiff from injury, 2) that the defendant breached that

duty, 3) that the plaintiff suffered actual injury or loss, and 4) that the loss or injury

proximately resulted from the defendant’s breach of the duty.” Rowhouses, Inc. v. Smith,

446 Md. 611, 631 (2016). Marrick’s first allegation of error is based upon the first element

of the appellees’ negligence claim. Specifically, Marrick contends that it owed no duty to

the appellees to ensure the proper construction of the safety guardrail because the

responsibility for the construction of the guardrail had been delegated to Creative Trim.

The appellees respond that the duty to comply with the building code was nondelegable by

Marrick.

       Maryland follows the general rule that the employer of an independent contractor is

not liable for physical harm caused to another by an act or omission of the contractor or his

employees. Rowley v. Mayor & City Council of Baltimore, 305 Md. 456, 461 (1986) (citing

Restatement (Second) of Torts § 409 (1965)). The Court of Appeals has explained,

however, that the general rule of non-liability for an employer of an independent contractor

“is riddled with a number of common-law exceptions that have practically subsumed the

rule.” Id. See also Gardenvillage Realty Corp. v. Russo, 34 Md. App. 25, 36 (1976)

(explaining that “the established rule has appended to it some twenty exceptions as set out

in the Restatement (Second) of Torts §§ 410-429”). The exceptions to the general rule fall

into three broad categories: (1) negligence of the employer in selecting, instructing, or

supervising the contractor; (2) nondelegable duties of the employer, arising out of some

                                              6
relation toward the public or the particular plaintiff; and (3) work which is specially,

peculiarly, or inherently dangerous. Rowley, supra, 305 Md. at 462.

       The extent to which general contractors and owners are liable for the negligence of

subcontractors due to a violation of the building code has been addressed in a series of

cases over the past several decades. In Gardenvillage, supra, a tenant and her mother, an

invitee, were injured when a concrete slab that formed the base of a porch gave way and

the porch collapsed at their residence. 34 Md. App. 25. The collapse occurred six years

after the slab had been constructed. Id. at 28. The tenant and invitee sued the owner, the

general contractor, 3 and the subcontractor responsible for the construction of the slab. Id.

at 26. The evidence demonstrated that the concrete slab had been built in a manner that

violated the relevant building code and that the collapse of the porch was a direct result of

the defective slab. Id. at 35.

       We considered “whether social policy and fairness will allow an imposition of

liability on the [owner and general contractor/permit holder] where their negligence was

passive when opposed to the negligence of the subcontractor.” Id. We noted that “[i]f the

statute imposes a strict liability on the owner and permit holder, then there is no distinction

between active and passive negligence” and “liability attaches if the violation of the

[building c]ode was the cause of the injury.” Id. We held, based upon the Restatement

(Second) of Torts, § 424, that “the Building Code places a nondelegable, affirmative duty

       3
           The general contractor also held beneficial title to the property.

                                                7
on the owner-permit holder at the time of construction, to insure compliance with the

Code.” Id. at 39. 4

       The holding of Gardenvillage was reaffirmed by the Court of Appeals in Council of

Co-Owners Atlantis Condo., Inc. v. Whiting-Turning Contracting Co., 308 Md. 18 (1986).

In Whiting-Turner, the owners of 198 separate condominium units in a 21-story building

brought an action against the general contractor/builder, developer/owner, and architects

for negligent design, construction, and inspection of the building’s utility shafts. Id. at 22.

       4
          We also discussed whether general consumer protection policies and products
liability law supported a holding assigning liability to the general contractor and owner,
but “decline[d] to decide this case on those grounds as the question was not raised or argued
by either side.” Id. Nonetheless, we commented as follows:

              [I]t does appear that the Court of Appeals has adopted the
              policy of protecting the consumers when they are not in a
              position to protect themselves. The Court stated in Phipps,
              supra, that the reasons for adopting strict liability for the
              manufacturer and seller of defective products were (1) that the
              cost of injuries should in equity be borne by those who
              manufacture or sell such products rather than the injured
              person who was powerless to protect himself; (2) because it
              shifts the loss to those better able financially to bear the loss;
              (3) that the consumer relies on the seller in expecting the
              product to be safe for the uses for which it has been marketed
              and the expectation is better fulfilled by strict liability than
              negligence or warranty theories. Although not applicable to the
              instant case the fourth reason would be a reason to apply the
              rule in most cases; (4) the showing that the product is
              unreasonably dangerous is a sufficient showing of fault to
              impose liability without placing an almost impossible burden
              on the plaintiff of proving specific acts of negligence.

Id.

                                              8
The owners contended that the utility shafts and related electrical work were not installed

properly and constituted a fire hazard. Id. Neither the architect defendants nor the general

contractor/builder defendants argued that their duties were delegated to independent

subcontractors. 5 The Court of Appeals commented on this issue as it pertained to the

developer/owner, who had asserted that the duty to abide by the code had been delegated

to an independent contractor. The Court held that the duty of the developer/owner to abide

by the building code was nondelegable. Id. at 40. The Court explained:

                      The third potential source of a tort duty with respect to
              the dangerous condition of the building lies in the status of the
              developer as the creator of the building project. The developer
              is, in a sense, the builder of the project, even though he may
              delegate to others the physical acts of construction. Given the
              current trend of expanding the exceptions to the rule of
              nonliability of one who has employed an independent
              contractor, and given the policy considerations favoring the
              imposition of at least initial liability upon the person who sits
              at the top of the pyramid of those who create the improvement,
              a strong argument may be advanced in favor of the recognition
              of a nondelegable duty on the part of the developer with respect
              to unreasonably dangerous conditions created as a result of the
              development. We express no opinion on that issue because the
              pleadings suggest a narrower ground upon which a

       5
          These defendants argued that the plaintiffs’ recovery was barred due to lack of
contractual privity. Whiting-Turner is frequently cited for its discussion of the economic
loss doctrine, which is applicable in certain cases involving purely economic loss. Indeed,
the Court of Appeals recently addressed the economic loss doctrine in Balfour Beatty
Infrastructure, Inc. v. Rummel Klepper & Kahl, LLP, 451 Md. 507 (2017), in which the
Court held that, in the absence of contractual privity, physical injury, or risk of physical
injury, design professionals in large government construction projects do not owe a tort
duty to those who bid for and contract with a government entity. In the instant case, the
economic loss doctrine is inapplicable because Rutkowski suffered significant physical
injury including broken bones and traumatic brain injury as a result of Marrick’s
negligence. In light of Rutkowski’s physical injuries, nothing in our opinion should be
read to limit the effect of the application of the economic loss doctrine in appropriate cases.
                                              9
nondelegable duty of the developer may be found — the
requirement of a statute or ordinance.

      Recognition of the nondelegable nature of a duty
imposed by certain types of statutes is discussed at 5 F. Harper,
F. James and O. Gray, The Law of Torts, supra, § 26.11 at 83-
84:

       There are . . . situations wherein the law views a
       person’s duty as so important and so peremptory
       that it will be treated as nondelegable.
       Defendants who are under such a duty “ . . .
       cannot, by employing a contractor, get rid of
       their own duty to other people, whatever that
       duty may be.” Duties imposed by statute are
       often found to be of this kind . . . [S]tatutory
       duties that have been held nondelegable include
       . . . various building code provisions . . . .
       (Footnotes omitted.)

      The principle is recognized in § 424 of the Restatement
(Second) of Torts:

       One who by statute or by administrative
       regulation is under a duty to provide specified
       safeguards or precautions for the safety of others
       is subject to liability to the others for whose
       protection the duty is imposed for harm caused
       by the failure of a contractor employed by him to
       provide such safeguards or precautions.

        In Gardenvillage Realty v. Russo, 34 Md. App. 25, 366
A.2d 101 (1976), the Court of Special Appeals applied the
principle to affirm a judgment entered in favor of tenants and
their invitee against the developer-owner (and against the
general contractor) for injuries resulting from the collapse of a
defective concrete porch slab. The slab had been constructed
and installed by a subcontractor, and the defect resulted from
the improper placement of reinforcing bars within the slab, so
that the defect defied detection. The Court of Special Appeals
held that the Baltimore City Building Code imposed a duty on
the owner of the premises at the time the structure was built to
erect it in accordance with the Code, and that the duty could

                               10
              not be delegated by employing independent contractors to
              accomplish the work.

                     We agree that where, as alleged here, there is a violation
              of a provision of a building code that was intended as a safety
              measure, and where that violation has produced death or
              personal injury, the duty imposed by the Code is nondelegable.

Whiting-Turner, supra, 308 Md. at 39-40.

       Marrick urges us to conclude that a duty imposed by a building code is only

nondelegable by the owner or developer, not by a general contractor. In our view, this is

an unreasonably narrow reading of Gardenvillage, Whiting-Turner, and the Restatement.

To be sure, as the general contractor, Marrick was required to comply with the building

code, and it is unassailable that the code provisions alleged to have been violated in this

case were intended as safety measures. Pursuant to § 424 of the Restatement (Second) of

Torts, “[o]ne who by statute or by administrative regulation is under a duty to provide

specified safeguards or precautions for the safety of others is subject to liability to the

others for whose protection the duty is imposed for harm caused by the failure of a

contractor employed by him to provide such safeguards or precautions.” In this case,

Marrick, the general contractor responsible for the construction of the appellees’ home,

bore the statutory duty to provide specified safeguards or precautions. Marrick, therefore,

is subject to liability to the appellees for harm caused by the failure of its employee Creative

Trim to provide such safeguards.

       Marrick points to a passage from Whiting-Turner in which the Court commented

that “[a]s the owner and occupier of land, a developer owes a nondelegable duty to those

who may come upon the land, and the nature and extent of that duty is fixed by that status

                                              11
of the person claiming it.” Id. at 37. First, we emphasize that this passage is dicta. Second,

we observe that this passage was offered in the context of the Court’s discussion of various

potential alternative theories of liability and was discussed before the Court adopted the

reasoning of § 424 of the Restatement. Accordingly, we reject Marrick’s narrow reading

of Whiting-Turner as imposing a nondelegable duty imposed by a building code only on

an owner of the property.

       Furthermore, as in Whiting-Turner, we need not address whether liability may be

assigned to a general contractor for unreasonably dangerous conditions caused by a

subcontractor absent a statutory violation. In this case, the general rule of nonliability does

not control because the requirement of a statute or ordinance exception applies. We

observe, however, as in Whiting-Turner, that policy considerations “favor[] the imposition

of at least initial liability upon the person who sits at the top of the pyramid of those who

create the improvement.” Id. at 39. Policy considerations, therefore, support a finding of

potential liability on the general contractor. Nevertheless, we need not rely on policy

considerations because of the express exception outlined in the Restatement applies to the

facts of this case. Accordingly, we hereby adopt § 424 of the Restatement, apply the § 424

exception to general contractors, and hold that Marrick, as general contractor, can be held

liable for harm caused by its employee subcontractor when evidence was presented to

demonstrate that the subcontractor violated the building code and the provisions of the

building code alleged to have been violated were intended as safety measures.

       We further reject Marrick’s assertion that our opinion in Brady v. Ralph M. Parsons

Co., 82 Md. App. 519 (1990), aff’d, 327 Md. 275 (1992), requires us to rule in Marrick’s

                                              12
favor and hold that the § 424 exception and nondelegable duty theory applies only to an

action against an owner. In our view, Brady is distinguishable from the present case. In

Brady, an employee died as result of a construction accident after required safety measures

were not followed at a building site. The decedent had been employed by a subcontractor

that had been hired by the general contractor. The general contractor was hired by the

owner. The owner had also hired a separate company, the Ralph Parsons Co. (“Parsons”),

to provide inspection and safety services for the project. Id. at 521. The decedent’s

survivors and personal representative asserted that because Parsons had assumed

responsibility for implementing required safety measures pursuant to its contract with the

owner, Parsons was liable for the decedent’s death. Parsons raised the affirmative defenses

of contributory negligence and assumption of risk, and the jury found that the decedent was

contributorily negligent and assumed the risk, barring recovery. Id. at 523-24.

       On appeal, the decedent’s survivor and personal representative argued that

(1) Parsons’ duty to assure compliance with the safety regulations was nondelegable, and

(2) the defenses of assumption of risk and contributory negligence cannot bar a plaintiff’s

recovery when the defendant had breached a nondelegable duty. Id. at 524. We expressly

held that the source of Parsons’ duty was not statutorily imposed, but undertaken “pursuant

to its contract with” the owner. Id. at 534. We emphasized that Parsons had “assumed a

duty to exercise reasonable care in performing [its contractual] obligation.” Id. We further

held that “Parsons’ negligence resulted from its failure to exercise due care in its duty to

the decedent to monitor safety” and “[s]ince contributory negligence and assumption of

risk are normally complete bars to an action for negligence and since we are cited to no

                                            13
Maryland authority to the contrary,” the defenses of contributory negligence and

assumption of risk were available to Parsons and were properly submitted to the jury. Id.

at 534-35.

       We explained why the facts of Gardenvillage differed from the facts presented in

Brady, observing that “[i]n Gardenvillage a statutory nondelegable duty was imposed on

the owner for the benefit and protection of innocent members of the public.” Id. at 536.

We commented that, “[b]y contrast, Parsons was not the owner of the project, nor was the

decedent an innocent member of the public.” Id. According to Marrick, this language in

Brady limits the holding of Gardenvillage as imposing a nondelegable duty only on an

owner, rather than, as in this case, on a general contractor. 6

       We make two observations about our analysis on this issue in Brady. First, we

emphasize that the facts of Brady and the source of the duty in Brady are factually

dissimilar to the facts of the instant case. In this case -- as in Gardenvillage -- the source

of Marrick’s duty stemmed from the building code, and not, as in Brady, from a contractual

relationship.   Second, as discussed supra, we understand the analysis set forth in

Gardenvillage to be applicable to a broader range of situations including the circumstances

presented in this case. In our view, the reasoning set forth in § 424 of the Restatement is

       6
         The parties dispute whether or not Marrick was the owner of the property when
the house was constructed. Because this issue is not relevant to our analysis of the issues,
and because this issue was not submitted for the jury’s determination, we shall not address
it herein.

                                              14
equally applicable to assign liability to a general contractor for injury caused by a

subcontractor’s violation of safety measures found in the building code. 7

       We next turn our attention to Marrick’s assertion that any duty was extinguished as

a matter of law by the passage of approximately seven years between the construction of

the home and the accident that resulted in Rutkowski’s injury. Marrick argues that the

appellees had owned the home for over seventy days prior to the incident. In Marrick’s

       7
         Other cases cited by Marrick are similarly distinguishable. In Parker v.
Neighborhood Theatres, Inc., 76 Md. App. 590, 596 (1988), we rejected the argument that
a general contractor should be liable for injuries to a subcontractor’s employee. We
explained:

              The imposition of vicarious liability by the creation of the
              exceptions to the general rule is primarily a policy decision, the
              purpose being the protection of the public generally. While
              some jurisdictions hold that the contractor’s employees are
              within the class to whom the owner owes a duty, the majority
              of jurisdictions hold that an owner’s vicarious liability does not
              extend to employees of independent contractors.

Id. The rule pertaining to employees of subcontractors is inapplicable to the present case.

       In Wilbur v. Suter, 126 Md. App. 518, 529 (1999), we observed that Gardenvillage
and Whiting-Turner both “involve[d] injury to persons while upon the premises of the
owner.” That reasoning, however, was irrelevant to our determination in Wilbur, when we
rejected the appellant’s nondelegability argument on a separate basis. See id. (“[L]iability
may not be imposed for the negligence of a person who is merely passive while the
negligence of another is the moving and effective cause of the injury . . . Arguably, the
appellant might have been able to obtain a judgment against both appellees, who would
then be jointly and severally liable for the whole. Since the jury found no negligence on
the part of Suter, who performed the renovations, there is no basis for Gibson's liability.”)
(internal citations omitted). Furthermore, as explained supra, the reasoning of
Gardenvillage and Whiting-Turner is applicable to the present case despite the different
factual circumstances.

                                             15
view, this constituted ample time for the appellees to inspect the property and discover any

defects. Marrick asserts that it would be unreasonable to hold that a builder has a

continuing duty to every possible owner of a home, in perpetuity.

       We reject Marrick’s contention that its duty was extinguished as a matter of law due

to the passage of time. First, Marrick misstates the law by suggesting that assigning

liability in this case would be akin to holding that a builder has a continuing duty in

perpetuity. Under Maryland law, a ten-year statute of repose applies to claims against

contractors for defective and unsafe improvements to real property. Md. Code (2006, 2013

Repl. Vol.), § 5-108(b) of the Courts and Judicial Proceedings Article (“Except as provided

by this section, a cause of action for damages does not accrue and a person may not seek

contribution or indemnity from any architect, professional engineer, or contractor for

damages incurred when wrongful death, personal injury, or injury to real or personal

property, resulting from the defective and unsafe condition of an improvement to real

property, occurs more than 10 years after the date the entire improvement first became

available for its intended use.”). To the extent that a factual question existed relating to

whether the appellees should have discovered the defect earlier and taken appropriate steps

to avoid injury, Marrick was permitted to argue that issue to the jury in the context of its

defenses of contributory negligence and assumption of risk. The passage of time may

                                            16
indeed make a claim against a contractor less likely to succeed, but it does not preclude

such a claim as a matter of law. 8

                                              II.

       Having established that Marrick bore a duty to the appellees, we next consider

whether sufficient evidence supports the breach and causation elements of the negligence

claim. 9 “In a civil case, the evidence is legally sufficient to support a finding in support of

the prevailing party if, on the facts adduced at trial viewed most favorably to that party,

any reasonable fact finder could find the existence of the elements of the cause of action

by a preponderance of the evidence.” Univ. of Maryland Med. Sys. Corp. v. Gholston, 203

Md. App. 321, 329 (2012). We have explained:

              In a jury trial, the quantum of legally sufficient evidence
              needed to create a jury question is slight. If there is legally
              sufficient evidence to support a finding in favor of the party
              bearing the burden of proof, it would be error on the part of the
              trial judge to grant a motion for judgment in favor of the
              opposing party and withhold the case from the jury for
              decision.

       8
         Marrick argues that its duty is relieved as a matter of law because a vendor’s duty
to third parties “remains with the vendor only until the vendee has notice of the condition
and a reasonable opportunity to take precautions against it.” Whiting-Turner, supra, 308
Md. 37. Liability was not assigned to Marrick in this case as a vendor of dwelling units,
but rather, as the party responsible for the construction of the home in compliance with the
building code.
       9
         In this appeal, Marrick does not dispute that the appellees incurred damages as a
result of the failed safety guardrail.

                                              17
Id. (internal citation omitted). Marrick asserts that no facts addressed at trial support a

finding of negligent supervision. Marrick further asserts there was insufficient evidence

of proximate cause due to the lapse in time between construction and the accident. As we

shall explain, the record reflects that there was evidence presented at trial to support the

jury’s verdict.

A. Breach of the Duty of Care

       The verdict sheet listed the following four questions with respect to Marrick’s claim

of negligence, 10 all of which the jury answered affirmatively:

              1. A. Do you find more likely than not that the construction of
              the railing violated the building code?

              1. B. Do you find more likely than not that the violation of the
              building code was a proximate cause of Adam Rutkowski’s
              injuries?

              2. A. Do you find more likely than not that Marrick Properties
              was negligent in the construction and/or supervision of the
              construction of the railing?

              2. B. Do you find more likely than not that Marrick Properties’
              negligence was a proximate cause of Adam Rutkowski’s
              injuries?

       The jury was not asked to identify whether it found Marrick negligent based upon a

negligent supervision theory or upon a general negligence theory. 11 Indeed, the two

       10
        The verdict sheet inquired separately as to the issues of contributory negligence,
assumption of risk, and damages.
       11
          Marrick does not raise any challenge with respect to the verdict sheet or the jury
instructions. We comment briefly on this issue, however, because Marrick raises separate
arguments as to the sufficiency of the evidence for negligence and negligent supervision.

                                             18
theories of negligence are somewhat conflated in this case, given the role Marrick played

in the construction of the safety guardrail. 12      Regardless of whether the claim is

characterized as negligent supervision or general negligence, both theories support a single

claim of negligence. Critically, the elements of negligent supervision are identical to the

elements of a general negligence claim. Fid. First Home Mortg. Co. v. Williams, 208 Md.

App. 180, 198 (2012) (“As in any action for negligence, a plaintiff asserting a cause of

action for negligent supervision or retention must prove duty, breach, causation, and

damages.”). For these reasons, it was reasonable for the jury to be presented with a single

question addressing whether Marrick “was negligent in the construction and/or supervision

of the construction of the railing.”

       The appellees presented evidence that the safety guardrail was constructed

inappropriately and that the improper construction of the safety guardrail caused

Rutkowski’s fall. Jeff Bayer, an expert in residential construction and homebuilding,

testified that it is the role of a general contractor to hire and supervise subcontractors. He

explained that the general contractors “definitely double check[s] what’s done . . . by the

subcontractor [with whom] they contract.” Mr. Bayer testified that Marrick should have

inspected the work of Creative Trim and that “there should have been supervision on the

job to make sure the rails were put together properly.”

       12
         The issue before the jury was whether Marrick breached the standard of care
through its supervision of Creative Trim. On the one hand, this issue can be cast as a
negligent supervision claim, in that a general contractor can negligently supervise a
subcontractor. The issue can also be cast as a claim alleging general negligence (rather
than negligent supervision), because the role of a general contractor is to hire and
adequately supervise its subcontractors.
                                             19
       Mr. Bayer’s testimony about the standard of care for a builder/general contractor is

consistent with Maryland law. See Whiting-Turner, supra, 308 Md. at 32 (explaining that

architects and builders have a duty “to use due care in the design, inspection, and

construction” of a building). Mr. Bayer explained that, in his view, if a guardrail is

constructed with hidden fasteners, it is the responsibility of the general contractor to “find

out how [the guardrail] is constructed.” Mr. Bayer testified that if he became aware that a

guardrail had been attached with finishing nails on one of his projects, the guardrail “would

have come down and been redone.”

       Marrick presented evidence about Creative Trim’s role, including evidence that

Creative Trim was free to perform the work in the method of its choosing and that Creative

Trim had been a subcontractor of Marrick for over ten years, rendering close supervision

unnecessary. 13 Marrick also presented testimony from an engineering expert who testified

that a guardrail constructed with finishing nails could withstand the requisite amount of

force under the residential building code. The jury, however, was free to credit or discredit

the evidence presented and to weigh the evidence as it saw fit. Gholston, supra, 203 Md.

App. at 338. The inquiry on appeal is whether there was sufficient evidence to support the

jury’s verdict, not to evaluate the weight of conflicting evidence. Id. A reasonable fact-

finder could have determined that Marrick breached its standard of care by failing to inspect

       13
         Marrick did not, however, present expert testimony to counter Mr. Bayer’s
testimony as to the standard of care for a general contractor.

                                             20
the guardrail and inquire as to the way the guardrail was affixed to the home. Accordingly,

we hold that sufficient evidence exists to support the jury’s negligence determination. 14

       Marrick separately asserts that insufficient evidence supports a finding of

negligence through a negligent supervision theory, arguing that Marrick cannot be liable

because it did not exercise control over the construction of the guardrail. First, we reject

Marrick’s assertion that it must actually exercise control over a subcontractor in order to

be held liable for negligent supervision. The pertinent question is whether Marrick had

“the right to control the details of his [contractors’] movements.” Appiah v. Hall, 183 Md.

App. 606, 622 (2008). Richard Haupt, owner of Creative Trim, testified that Marrick had

the final say as to how anything was to be done at a Marrick property. Mr. Haupt further

testified that he learned how to attach safety guardrails by looking at other homes

constructed by Marrick, and that he taught his employees how to construct safety guardrails

based upon the way Marrick liked them to be constructed. Mr. Haupt’s testimony provides

the evidentiary support for a finding that Marrick had the right to control the details of

Creative Trim’s activity. Furthermore, as discussed supra, the distinction between direct

negligence and negligent supervision is blurred given the specific facts of this case and the

role of a general contractor. In our view, sufficient evidence was presented upon which a

reasonable fact-finder could have found that Marrick breached the standard of care for

general contractors through its supervision of the construction of the safety guardrail.

       14
         Because evidence was presented as to a specific breach of the standard of care by
Marrick, we need not address whether the general contractor would be vicariously liable
for a subcontractor’s negligence in the absence of any negligent conduct on the part of the
general contractor.
                                             21
B. Causation

       Marrick further asserts that there was insufficient evidence to demonstrate the

causation element of the negligence claim. Marrick characterizes Rutkowski’s accident as

so remote in time from the date the guardrail was constructed that the jury would have to

speculate as to whether the 2012 fall was caused by the condition created in 2005. We

disagree with Marrick’s characterization and hold that sufficient evidence as to causation

was presented at trial.

       There are two subparts that comprise the element of proximate cause. Yonce v.

SmithKline Beecham Clinical Labs., Inc., 111 Md. App. 124, 137 (1996). “‘The element

of proximate cause is satisfied if the negligence is 1) a cause in fact of the injury and 2) a

legally cognizable cause.’” Id. (quoting Baltimore Gas & Elec. Co. v. Lane, 338 Md. 34,

51 (1995)). The Court of Appeals has explained:

               It should be clarified at this point that our inquiry is directed
               specifically to the issue of ‘causation in fact’ which has been
               regarded as an aspect of ‘proximate cause.’ W. Prosser,
               Handbook of the Law of Torts, § 41, at 240 (3d ed. 1964), 2 F.
               Harper and F. James, The Law of Torts, § 20.2, at 1110 (1956).
               Proximate cause ultimately involves a conclusion that someone
               will be held legally responsible for the consequences of an act
               or omission. This determination is subject to considerations of
               fairness or social policy as well as mere causation. Thus,
               although an injury might not have occurred ‘but for’ an
               antecedent act of the defendant, liability may not be imposed
               if for example the negligence of one person is merely passive
               and potential, while the negligence of another is the moving
               and effective cause of the injury. Bloom v. Good Humor Ice
               Cream Co., 179 Md. 384, 18 A.2d 592 (1941), or if the injury
               is so remote in time and space from defendant’s original
               negligence that another’s negligence intervenes. Dersookian v.
               Helmick, 256 Md. 627, 261 A.2d 472 (1970); Liberto v.
               Holfeldt, 221 Md. 62, 155 A.2d 698 (1959).

                                              22
Peterson v. Underwood, 258 Md. 9, 16 (1970).

       Marrick asserts that the length of time between the construction of the home and the

failure of the guardrail serves to sever the causal link between any negligent act on the part

of Marrick and Rutkowski’s injury. Marrick analogizes the facts of this case to Peterson,

supra, 258 Md. 9. As we shall explain, Peterson is readily distinguishable from the instant

appeal.

       In Peterson, a child died after an exterior wall collapsed. 15 Id. at 11. The decedent’s

mother brought suit against the current owner and previous owner of the property at which

the accident occurred. Id. at 12. At trial, evidence was presented that the wall had not been

constructed in conformance with the relevant building code in that it “had no steel

reinforcing rods, no but[t]resses or pilasters, and no subsurface footing.” Id. at 14. No

evidence was presented, however, as to the cause of the wall’s collapse. Id. at 15.

       The Court of Appeals held that the decedent’s mother had presented sufficient

evidence that the wall was negligently constructed and that the child’s death was the result

of the collapse of the wall, but the Court “f[ou]nd to be a fatal defect” the “lack of any

evidence casually linking defendants’ negligence to the injury suffered.”            Id.   The

plaintiff’s expert witness presented evidence as to the wall’s negligent construction, but

“did not give his opinion on what caused the wall to fall.” Id. at 18. The Court recognized

that “slight proof is all that is necessary” for the element of causation to be submitted to

the jury, but emphasized that “[t]o allow a jury of laymen to attempt to answer the question

       15
            The wall was built of masonry blocks and separated the rear yard from an alley.
                                              23
of what caused the wall to fall four and a half years after its construction without any

evidence as a guide would permit the rankest kind of guesswork, speculation and

conjecture.” Id. at 21 (internal quotation and citation omitted) (emphasis supplied).

       In this case, unlike in Peterson, the appellees presented evidence that the negligent

construction of the safety guardrail was a cause of the guardrail’s failure and Rutkowski’s

injury. The appellee’s home construction expert, Jeff Bayer, testified that the use of

finishing nails rather than screws to affix the guardrail to the building was “why [the

guardrail] failed.” Mr. Bayer explained that the use of the finishing nails as fasteners was

“the big problem with the railing.” In addition, the appellee’s engineering expert, Greg

Harrison, testified that the safety guardrail would not have been able to withstand 200

pounds of force, as required by the building code, on the day it was built. Dr. Harrison

estimated that the amount of weight Rutkowski would have pressed against the guardrail

when he leaned against it to shake out the kitchen floor mat was between thirty-five and

forty-five pounds. Furthermore, Dr. Harrison identified the place where finishing nails

were used as the point of failure for the guardrail. Indeed, Marrick’s engineering expert,

Brian Bramel, agreed that the place where finishing nails were used was the point at which

the guardrail failed. 16

       This is not a case like Peterson, in which a jury was tasked with determining the

cause of an incident “without any evidence” presented as to causation. Id. at 21. In this

       16
          Bramel disagreed with Dr. Harrison’s opinion on other issues. Bramel testified
that, based upon his structural analysis, he had concluded that the guardrail was structurally
compliant with the housing code and constructed in a manner that would allow it to
withstand the requisite amount of weight.
                                             24
case, the jury heard testimony from multiple witnesses as to the ways in which the safety

guardrail was improperly constructed and that the improper construction is what caused

the guardrail to fail.

       As in Peterson, several years passed between construction and injury. Peterson,

however, does not stand for the principle that the passage of time alone is enough to

extinguish proximate cause. Id. at 20 (“Nothing we say in this opinion is meant to imply

that time or space alone will insulate a negligent wrongdoer from liability.”). See also

Gardenvillage, supra, 34 Md. App. at 35 (holding that there was “sufficient evidence . . .

to show that the collapse of the porch was a direct result of the defect in the concrete slab”

when the injury occurred six years after the defective construction). The appellees

presented ample evidence on the issue of causation before the trial court. We hold,

therefore, that the issue was properly submitted to the jury.

                                             III.

       Last, we address Marrick’s contention that it was entitled to judgment as a matter

of law because Rutkowski assumed the risk and/or was contributorily negligent when he

leaned his body against the safety guardrail without first examining the guardrail or testing

the integrity of the guardrail. In our view, the affirmative defenses of contributory

negligence and assumption of risk were properly submitted to the jury.

       Contributory negligence and assumption of risk are two related, but distinct,

defenses to a primary negligence claim. Schroyer v. McNeal, 323 Md. 275, 280 (1991)

(“Assumption of the risk and contributory negligence are closely related and often

overlapping defenses.”). The Court of Appeals has explained that “‘[t]he distinction

                                             25
between contributory negligence and voluntary assumption of the risk is often difficult to

draw in concrete cases, and under the law of this state usually without importance, but it

may be well to keep it in mind.’” Id. (quoting Warner v. Markoe, 171 Md. 351, 359

(1937)). The Court continued:

              “Contributory negligence, of course, means negligence which
              contributes to cause a particular accident which occurs, while
              assumption of risk of accident means voluntary incurring that
              of an accident which may not occur, and which the person
              assuming the risk may be careful to avoid after starting.
              Contributory negligence defeats recovery because it is a
              proximate cause of the accident which happens, but
              assumption of the risk defeats recovery because it is a previous
              abandonment of the right to complain if an accident occurs.”

Schroyer, supra, 323 Md. at 281 (quoting Warner, supra, 171 Md. at 359-60). The Court

explained that regardless of “[w]hether [the two defenses] overlap or not, the critical

distinction between contributory negligence and assumption of the risk is that, in the latter,

by virtue of the plaintiff’s voluntary actions, any duty the defendant owed the plaintiff to

act reasonably for the plaintiff’s safety is superseded by the plaintiff’s willingness to take

a chance.” Id. at 282. Assumption of risk does not require proof of negligence by the

plaintiff, but only that the plaintiff “be aware of the risk, which he or she then voluntarily

undertakes.” Id.at 283.

       Marrick asserts that Rutkowski assumed the risk of his injuries because he

acknowledged in his testimony that he appreciated at the time of the incident that he could

be injured if the guardrail failed. Marrick presented no evidence, however, to show that

Rutkowski had any reason to believe that the guardrail was likely to fail. Marrick’s logic

would suggest that an individual who knew that he could be injured if a stairway were to

                                             26
collapse beneath him would assume the risk of injury by walking on the stairway regardless

of whether there was any reason to believe the stairway was dangerous. Marrick’s position

that this amount of knowledge on Rutkowski’s part entitles Marrick to judgment as a matter

of law would require us to adopt an illogical extension of the assumption of risk doctrine.

Assumption of risk “‘rests upon an intentional and voluntary exposure to a known danger,

and therefore, consent on the part of the plaintiff to relieve the defendant of an obligation

of conduct toward him and to take his chances from harm from a particular risk.’” Crews v.

Hollenbach, 358 Md. 627, 640-41 (quoting Rogers v. Frush, 257 Md. 233, 243 (1970)).

For the assumption of risk doctrine to bar recovery, a plaintiff must voluntarily expose him

or herself to a known danger, not a foreseeable consequence of an unknown danger.

       Rutkowski testified at trial that he had no reason to believe that the safety guardrail

would fail because he assumed that it was constructed properly. Furthermore, evidence

was adduced that the guardrail appeared sturdy and that trim concealed the use of finishing

nails. Whether a plaintiff had knowledge and appreciation of a particular risk is a

determination for the jury “unless the undisputed evidence and all permissible inferences

therefrom clearly establish that the risk of danger was fully known to and understood by

the plaintiff.” Thomas v. Panco Management of Maryland, LLC, 423 Md. 387 (2011)

(internal citation omitted). In this case, whether Rutkowski assumed the risk of his injuries

was properly submitted to the jury, and the circuit court properly denied Marrick’s motion

for judgment on this issue.

       Similarly, we hold that whether Rutkowski was contributorily negligent was a jury

question.   “Ordinarily, the question of whether the plaintiff has been contributorily

                                             27
negligent is for the jury, not the judge, to decide.” Campbell v. Baltimore Gas & Elec. Co.,

95 Md. App. 86, 93 (1993). The Court of Appeals has explained that the contributory

negligence determination should only be taken from the jury in very narrow circumstances:

              To justify the withdrawal of a case from the jury on the ground
              of contributory negligence, the evidence must show some act
              so decisively negligent as to leave no room for difference of
              opinion thereon by reasonable minds . . . Where there is a
              conflict of evidence as to material facts relied upon to establish
              contributory negligence, or the act is of such a nature that
              reasonable minds, after considering all the circumstances
              surrounding the accident, may draw different conclusions as to
              whether it constituted contributory negligence, it is not for the
              court to determine its quality as a matter of law, but it is for the
              jury to pass upon it.

Heffner v. Admiral Taxi Serv., 196 Md. 465, 473-74 (1950) (internal citations omitted).

       In the circuit court, Marrick argued to the jury that a reasonable person would have

inspected the condition of a guardrail before leaning his or her weight against it. The

appellees countered that it was reasonable for Rutkowski to assume that the guardrail was

properly constructed and would support his weight. This determination is a classic jury

issue. Accordingly, we hold that the circuit court properly denied Marrick’s motion for

judgment as a matter of law with respect to contributory negligence. We, therefore, affirm

the judgment of the Circuit Court for Calvert County.

                                    JUDGMENT OF THE CIRCUIT COURT FOR
                                    CALVERT COUNTY AFFIRMED. COSTS TO BE
                                    PAID BY APPELLANTS.

                                              28