Court Opinion

ID: 4434742
Source: CourtListenerOpinion
Date Created: 2019-08-29 22:03:54.952555+00
Date Added: 2024-06-11T14:53:08.500617
License: Public Domain

2019 IL App (1st) 180682
                                              No. 1-18-0682
                                      Opinion filed August 28, 2019
                                                                                    THIRD DIVISION
     ______________________________________________________________________________

                                                  IN THE
                                  APPELLATE COURT OF ILLINOIS
                                            FIRST DISTRICT
     ______________________________________________________________________________
     JENNIFER E. GARLAND, Independent Administrator of            )      Appeal from the
     the Estate of Scott A. Garland, Deceased,                    )      Circuit Court of
                                                                  )      Cook County
                           Plaintiff-Appellant,                   )
                                                                  )      No. 17 L 8307
         v.                                                       )
                                                                  )      The Honorable
     SYBARIS CLUBS INTERNATIONAL, INC.; SYBARIS                   )      Irwin J. Solganick,
     VENTURES ONE, LLC; HK GOLDEN EAGLE, INC.;                    )      Judge Presiding.
     RANDELL D. REPKE, Independent Executor of the                )
     Estate of Kenneth C. Knudson, Deceased; HOWARD D.            )
     LEVINSON; and HARK CORPORATION,                              )
                                                                  )
                           Defendants-Appellees.                  )

                PRESIDING JUSTICE FITZGERALD SMITH delivered the judgment of the court,
     with opinion.
                Justices Howse and Ellis concurred in the judgment and opinion.

                                                  OPINION

¶1        This is the fifth time that this case arising from a fatal airplane crash has come before this

     court. This appeal involves the trial court’s granting of summary judgment in favor of the

     defendants on the claims that the plaintiff asserted against them under a theory of negligent
     No. 1-18-0682

     entrustment. 1 It also involves the trial court’s striking of certain opinions from the affidavits of

     two of the plaintiff’s controlled expert witnesses, which the plaintiff submitted in opposition to

     the motions for summary judgment. For the following reasons, we affirm the judgment of the

     trial court.

¶2                                              I. BACKGROUND

¶3         On January 30, 2006, a Cessna 421B airplane crashed while in the process of landing at

     Palwaukee Municipal Airport (Palwaukee) in Wheeling, Illinois, killing the four occupants

     onboard. The pilot-in-command of that airplane for the flight at issue was Mark A. Turek, 2 and

     the three passengers onboard were Garland, Knudson, and Michael Waugh. Turek and Garland

     were both employees of Morgan Stanley & Co., Inc. (Morgan Stanley). They were traveling with

     Waugh, a potential Morgan Stanley client, to Kansas for a business trip. Knudson was one of the

     owners of the airplane. He was also the owner and founder of the Sybaris defendants. Knudson

     had a business meeting of his own in Kansas on behalf of Sybaris, and thus he accompanied the

     other three men on the flight. Another reason that Turek and Knudson were on the subject flight

     together was that Turek was interested in purchasing a partial share of the ownership of the

           1
            This court will identify and refer to the parties involved in this appeal in the following manner:
           This court will refer to Jennifer E. Garland, independent administrator of the estate of Scott A.
     Garland, deceased, as “plaintiff.” This court will refer to Scott Garland, the deceased, as “Garland.”
           This court will refer to Defendants Sybaris Clubs International, Inc., and Sybaris Ventures One,
     LLC, collectively, as “Sybaris.”
           “Knudson” will be used by this court to refer to the defendant, Randell D. Repke, independent
     executor of the estate of Kenneth C. Knudson, deceased, and to Kenneth C. Knudson prior to his death.
     When it is necessary to distinguish between the two, the former shall be referred to as “Estate of
     Knudson.”
           Defendant Howard Levinson shall be referred to as “Levinson.” Defendant HK Golden Eagle, Inc.,
     shall be referred to as “HK Golden Eagle.” Defendant Hark Corporation shall be referred to as “Hark
     Corporation.”
           2
            “Pilot in command” is a term of art in aviation, which “means the person who: (1) Has final
     authority and responsibility for the operation and safety of the flight; (2) Has been designated as pilot in
     command before or during the flight; and (3) Holds the appropriate category, class, and type rating, if
     appropriate, for the conduct of the flight.” 14 C.F.R. § 1.1 (2006).
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     No. 1-18-0682

     Cessna 421B airplane at issue. It had been initially purchased by Sybaris in August 2004. In May

     2005, its registration was transferred to defendant HK Golden Eagle, a corporation that had been

     formed by Knudson and defendant Levinson for the purpose of owning the airplane. The

     shareholders of HK Golden Eagle were Knudson and defendant Hark Corporation, which itself

     was a corporation created by Levinson and his wife for purpose of owning their shares in the

     subject airplane. Knudson and Levinson were interested in making Turek a potential partner in

     the ownership of the airplane, and thus one reason why Turek piloted the Cessna 421B at issue

     on the trip to and from Kansas that day with Knudson onboard was to allow Knudson to evaluate

     Turek as a potential partner in the ownership of the airplane.

¶4                                         A. Procedural History

¶5        Many claims arose from this incident, and this case has had an extensive procedural history

     at the trial and appellate level. The first appeal that this court addressed involving this incident

     was Waugh v. Morgan Stanley & Co., 2012 IL App (1st) 102653. In that case, this court affirmed

     the trial court’s granting of partial summary judgment in favor of Levinson, Hark Corporation,

     and other parties not involved in this appeal who had provided flight training to Turek, on the

     basis that certain allegations against them amounted to claims of educational malpractice, a tort

     that is not recognized under Illinois law. Id. ¶¶ 42-44. The second appeal addressed by this court

     was Garland v. Morgan Stanley & Co., 2013 IL App (1st) 112121. There, this court held that the

     exclusive remedy provision of the Workers’ Compensation Act (820 ILCS 305/1 et seq. (West

     2010)) barred the plaintiff’s common-law tort claims against Morgan Stanley and Turek’s estate,

     where Garland’s death was accidental and Morgan Stanley and Turek were not acting in the

     “dual capacity” of providing air transport services unrelated to their status as Garland’s employer

     and coemployee. Garland, 2013 IL App (1st) 112121, ¶¶ 31, 48-50.

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     No. 1-18-0682

¶6        The third appeal, Garland v. Sybaris Club International, Inc., 2014 IL App (1st) 112615

     (Garland I), involved the causes of action pled by the plaintiff in her ninth amended complaint.

     These causes of action included those at issue in this appeal, which are the plaintiff’s allegations

     that defendants Levinson and Knudson were negligent in entrusting the Cessna 421B airplane to

     Turek to pilot, when they knew or should have known that Turek was not qualified to fly that

     particular type of airplane in the conditions present on the night of the incident. Id. ¶¶ 2, 51, 68.

     The complaint also alleged that Knudson was negligent in failing to supervise Turek during the

     flight itself. Id. ¶ 72. The plaintiff alleged theories of vicarious liability against Hark Corpora-

     tion, HK Golden Eagle, and Sybaris. Id. ¶ 2. The trial court dismissed the causes of action in the

     ninth amended complaint under section 2-619 of the Code of Civil Procedure (735 ILCS 5/2-619

     (West 2010)). Garland I, 2014 IL App (1st) 112615, ¶ 2. On appeal, this court affirmed in part

     and reversed in part. Id. ¶ 104. The court affirmed the dismissal of the allegations involving

     negligent supervision against the Estate of Knudson. Id. ¶ 82. However, this court reversed the

     circuit court’s dismissal of the causes of action alleging negligent entrustment by Levinson, Hark

     Corporation, and the Estate of Knudson and the causes of action alleging vicarious liability for

     negligent entrustment against HK Golden Eagle and Sybaris. Id. ¶¶ 61, 70.

¶7        In the fourth appeal, Garland v. Sybaris Clubs International, Inc., 2017 IL App (1st)
160745-U (Garland II), this court reversed the trial court’s granting of summary judgment in

     favor of Sybaris on the claims alleging vicarious liability for negligent entrustment. The court

     held that genuine issues of material fact existed about whether Sybaris was liable under

     principles of respondeat superior for the acts of negligent entrustment by Knudson, which

     occurred while he was acting within the scope of his employment for Sybaris. Id. ¶¶ 39-42.

¶8        Following the remand of Garland II, all of the defendants moved for summary judgment in

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       No. 1-18-0682

       their favor on all claims in the plaintiff’s ninth amended complaint alleging negligent

       entrustment. The defendants’ general argument was that no genuine issue of material fact existed

       about whether Levinson or Knudson had acted negligently in entrusting the subject airplane to

       Turek for the flight at issue. They further argued that no genuine issue of material fact existed

       about whether their entrustment was a proximate cause of the crash. After striking certain

       portions of the affidavits of the plaintiff’s controlled expert witnesses, the trial court granted

       summary judgment in favor of all the defendants.

¶9                                         B. Summary Judgment Record

¶ 10        According to evidence in the summary judgment record, the crash at issue occurred at 6:29

       p.m. on January 30, 2006. The weather conditions at Palwaukee that day involved a mixture of

       freezing precipitation and snow that started at 6:49 a.m., turning to light snow and mist that

       continued intermittently through 4:48 p.m. No major accumulation of ice or snow was reported.

       The National Weather Service provided a “current icing potential” for 6 p.m. depicting “a

       probability of icing conditions over the Chicago area which ranged from about 10 percent at

       3,000 feet, to about 70 percent at 5,000 feet.” Several pilot reports of icing were recorded in the

       hours surrounding the accident time. As reported at 5:53 p.m. and 6:36 p.m., visibility was

       unrestricted at 10 statute miles.

¶ 11        Radar data showed the airplane as it approached Palwaukee and entered a left-hand traffic

       pattern to runway 34. The radar data showed that, as the airplane made a left turn, its calibrated

       airspeed decreased from 110 knots to 82 knots in the final 30 seconds of data available before the

       impact occurred. The owner’s manual for the Cessna 421B at issue specifies a landing approach

       speed of 103 knots-indicated airspeed. It also lists stall speeds for the airplane ranging from 94

       knots-calibrated airspeed to 83 knots-calibrated airspeed depending on the configuration of the

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       No. 1-18-0682

       landing gear, flaps, and bank angle. Vortex generators added to the airplane may have had the

       effect of lowering some of these airspeed numbers. Radar data also showed that, in the final 30

       seconds of data, the pressure altitude of the airplane went from 1400 feet to 1200 feet above

       mean sea level (MSL). As the runway at Palwaukee was 643 feet above ground level (AGL), this

       would indicate the altitude of the airplane declined from about 757 feet to 557 feet AGL during

       this time. Video images showing the airplane on approach were captured from a local security

       camera. Three frames of video capture the airplane in left wing low, near-vertical descent. The

       record contains no cockpit or air-traffic control recordings of what was said or occurred inside

       the cockpit of the airplane on the flight at issue.

¶ 12        As of the date of the crash, Turek was licensed by the Federal Aviation Administration

       (FAA) to fly airplanes such as the Cessna 421B at issue, as he had a private pilot certificate with

       single-engine land, multiengine land, and instrument ratings. Turek was the owner of a Baron

       B55, in which he had substantial flight experience. As calculated by the National Transportation

       Safety Board (NTSB), Turek’s flight logbooks reflected that he had accumulated a total of

       1284.05 hours of total flight experience. This included 161.2 hours in single-engine airplanes,

       1052.65 hours in multiengine airplanes, and 70.2 hours in flight-simulator devices. He had

       logged 32.75 hours in Cessna 421 airplanes, of which 18.2 hours were logged prior to his having

       received the instruction required to act as pilot-in-command of a pressurized airplane. Also, of

       the 32.75 hours logged in Cessna 421 airplanes, 27.5 hours were obtained prior to Turek’s

       having received dual instruction in a Cessna 421 airplane, and 5.25 hours of logged dual

       instruction in Cessna 421 airplanes were recorded.

¶ 13        As this court discussed in greater detail in Waugh, 2012 IL App (1st) 102653, ¶¶ 4-11, prior

       to the crash, Turek had undergone training and instruction on the piloting of a Cessna 421B. This

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       No. 1-18-0682

       included flight simulator training in 2005 with Arr-ow II, Inc. (Arr-ow), which we summarized

       in Waugh as follows:

                    “In 2005, Turek successfully completed 33 hours of recurrent twin-engine

              instrument proficiency training with Eugene Littlefield, his instructor at Arr-ow.

              According to Littlefield’s deposition testimony, Turek was already a qualified and

              proficient twin-engine pilot at that time. In Littlefield’s opinion, Turek was always in

              control of the airplane, displayed good techniques, procedures, and cockpit management,

              and was a very proficient pilot. Littlefield opined that Turek was a fully trained, safe,

              competent, and qualified multi-engine pilot.” Id. ¶ 10.

       However, Littlefield further testified in his deposition that the training that Turek had received at

       Arr-ow was generic simulation training, not tailored to any particular type of airplane such as a

       Cessna 421B. The flight simulator on which Turek was trained did not simulate motion, and

       Turek did not receive any experience pitching up or down, yawing, or dealing with the effects of

       vortex generators on a multiengine aircraft such as a Cessna 421B. Littlefield testified that Turek

       did not receive training on flying in icing conditions.

¶ 14        Also, earlier in the month of January 2006, Turek had undergone flight instruction at

       Recurrent Training Center (Recurrent), which we summarized in Waugh as follows:

              “From January 6 through January 9, 2006, Turek completed a flight training course with

              Recurrent to transition from his Baron B55 twin-engine plane to the Cessna 421B. ***

                       ***

                       *** Recurrent flight instructor Kyle Lyons testified at deposition that Turek,

              when completing his training coursework at Recurrent, demonstrated through

              performance and testing that he was fully proficient, competent, and prepared to fly. He

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       No. 1-18-0682

              also demonstrated that he was aware of the specifics of a Cessna 421B aircraft.

              Specifically, Turek completed a Cessna 421B workbook which was reviewed by a

              Recurrent instructor to verify that Turek was familiar with all information specific to the

              Cessna 421B. Turek was provided with information on Cessna 421B power settings,

              speeds, and other procedures for operating in the landing phase of flight. Additionally,

              Turek’s one-on-one training included operations and performance training specific to the

              Cessna 421B. There was no indication during the Recurrent coursework and evaluation

              that Turek had any difficulties with regard to descending, turning, speed, or otherwise

              controlling the aircraft in the airport environment. Turek was taught Cessna 421B stall

              speeds, proper engine operation, and fuel management.” Id. ¶¶ 7, 9.

¶ 15        We summarized additional deposition testimony by Lyons in Garland I, in the context of

       addressing the allegations of negligent entrustment at issue in that case:

                    “Kyle Lyons *** testified at deposition that the training Turek received with him

              was tailored specifically to a Cessna 421B aircraft. Recurrent provided Turek with a

              certificate of completion for the flight training. He testified that the pilot students who

              seek training at Recurrent are experienced pilots. He testified that Turek was an attentive

              and serious student who showed aptitude and proficiency in the areas covered by the

              course, including the critical power settings, speed settings and stall speeds for an aircraft

              in approach and arrival in the landing environment, and instruction regarding the

              electrical system, power plant, engines, emergency procedures, fuel system and

              limitations of the Cessna 421B. Reviewing the notes he took during the training, Lyons

              commented that Turek had needed more full procedure approaches. Lyons testified that

              Turek demonstrated proficiency in slow flight and stalls. Lyons testified that Turek also

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       No. 1-18-0682

              received instruction from other instructors at Recurrent, including instruction regarding

              approaches, and Turek demonstrated diligence, competency, and proficiency in those

              maneuvers, with nothing to indicate problems with regard to speed or power settings in

              an airport environment, problems with speeds or power settings with the gear up or down,

              or in turns with the gear up or down, and nothing to indicate he was unaware of stall

              speeds or how to properly manage the engine and fuel. In reviewing notes taken by other

              flight instructors at Recurrent, Lyons acknowledged that another instructor had noted that

              Turek entered turns too steeply and that he needed more training on full procedure

              approaches.” Garland I, 2014 IL App (1st) 112615, ¶ 28.

       Lyons also testified concerning other notations by instructors at Recurrent. One such notation

       was that Turek’s tracking of his approach was “erratic,” and another stated that Turek “needs to

       work on altitude control,” as it appeared that “he was still having a little trouble flying the flight

       training device.” Lyons confirmed that in another note he had written that Turek needed help

       with the horizontal situation indicator, an instrument he was not previously familiar with. Lyons

       testified that Turek was not given any instruction at Recurrent related to flying in icing

       conditions, and there was no indication in Turek’s paperwork that he had viewed an elective

       video concerning icing while at Recurrent.

¶ 16        Finally, earlier in the month prior to the crash, Turek had undergone flight instruction and

       observation with defendant Levinson, who was himself a certified flight instructor. In Waugh, we

       summarized Levinson’s testimony on this topic as follows:

                    “After completing training at both Arr-ow and Recurrent, Turek flew the subject

              aircraft for an additional five hours in January 2006 under the observation of Levinson

              ***. Levinson testified at deposition that the purpose of the observation was for Levinson

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       No. 1-18-0682

               to observe Turek fly the subject aircraft and to provide the required hours to satisfy his

               insurance company requirements. At the time of the observation flight, Levinson was a

               certified flight instructor with an FAA rating as an airline transport pilot. *** Levinson

               testified at deposition that Turek was a qualified pilot with many hours of flying

               experience in a Cessna 421B. The accident aircraft crashed at night while in a landing

               traffic pattern to land at Palwaukee airport. Much of Turek’s in-flight training by

               Levinson in the accident aircraft was flying in the landing traffic pattern in the same

               location as the crash site.” Waugh, 2012 IL App (1st) 102653, ¶ 11.

       Levinson further testified in his deposition that he had not provided any night flight training to

       Turek. He testified that he knew as of the date of the incident that Turek had recently gone

       through training out of Recurrent and through simulation training at Arr-ow, and Levinson had

       spoken with Littlefield about Turek’s satisfactory completion of the training at Arr-ow.

¶ 17        Levinson testified that on the evening of the incident, before he knew that the crash had

       occurred, he commented to his wife, “I hope these guys know what they’re doing.” He explained

       that he made this comment because it was “kind of a rainy, drizzly night. It wasn’t freezing rain

       at that point, but it could have been at altitude, and I just felt that it was a little bit of a situation

       that it would take experience to handle.” He testified that, about 10 minutes after making this

       comment, he received a phone call informing him of the plane crash.

¶ 18        Raymond Chou, who was also a pilot and a friend of both Turek and Levinson, testified in a

       deposition that Levinson had said to him that Turek “liked to fly fast,” that he “flew kind of like

       a sports car driver,” and that he rode the brakes too much when flying. In the deposition of

       Turek’s wife, Donna Turek, she described her husband as a “risk taker.”

¶ 19        William McGuinn met with Knudson in Kansas on the day of the incident concerning some

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       No. 1-18-0682

       real estate there in which Sybaris was interested. McGuinn is also a licensed pilot. We previously

       summarized McGuinn’s deposition testimony concerning his conversations with Knudson that

       day as follows:

              “During that time, Knudson told McGuinn that he brought Turek on the flight so that

              Knudson could evaluate Turek’s flying and make sure he was competent to fly the

              aircraft. Knudson described to McGuinn a disagreement Turek and Knudson had on

              takeoff that day, when Knudson thought Turek was piloting the aircraft to climb too

              steeply after takeoff, that Turek ‘rotated and climbed out steeply without accelerating to a

              speed that would have allowed them to climb out safely.’ Additionally, Knudson told

              McGuinn that, en route from Chicago to Kansas City, they discovered the landing gear

              had inadvertently been left down. McGuinn testified that Knudson said he thought

              Turek’s flying skills were not up to par.” Garland I, 2014 IL App (1st) 112615, ¶ 30.

       McGuinn also testified concerning statements he had made to an investigator, in which he stated

       that Knudson had said to him “that he would have to keep a real close eye on Mr. Turek” and

       would “have to watch this guy real close.” Asked if he remembered Knudson saying this,

       McGuinn answered:

                   “They were my relation of the gist of what Mr. Knudson said. It was the airplane

              was Mr. Knudson’s baby, he had wash [sic] that airplane, maintained it, flew it, he knew

              every nook and cranny of the airplane, he was very proud of it and he was interested in

              making sure that someone had the same care for it that he did, and that’s why he—why

              he mentioned that he was going to keep a real close eye on it. He was interested in this

              guy treating the plane as he did.”

¶ 20        Wendy Lavezzi, M.D., was an assistant medical examiner with the office of the Cook

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       No. 1-18-0682

       County Medical Examiner who was involved in the autopsies of the four men killed in the

       subject airplane crash. Dr. Lavezzi testified in an evidence deposition that, based on seat-belt

       positioning, Turek was sitting in the left front seat, which would be the pilot’s seat of the Cessna

       421B. Dr. Lavezzi further testified that, based on her autopsy of Turek, she did not see any

       natural disease indicating that he had ever had a heart attack.

¶ 21        John Brannen, the investigator for the NTSB in its investigation of this crash, testified that

       in the process of investigating whether any mechanical problems existed with the airplane that

       may have led to the crash, no evidence was found indicating any problems with the airplane’s

       engines that would have prevented them from running. The engines were applying power to the

       propellers, and the propellers were rotating at the time of impact. Also, Brannen did not find any

       evidence of fuel starvation during the wreckage examination. Brannen further testified in his

       deposition that, in normal flight, one of the responsibilities of the pilot-in-command is to make

       sure that an airplane does not drop below the manufacturer’s recommended stall speeds. He also

       testified that, while travel patterns and altitudes can vary by airport, in general travel patterns for

       an airplane approaching and on the downwind leg are usually about 800 to 1000 feet above the

       elevation of an airport.

¶ 22        The summary judgment record includes two affidavits by the plaintiff’s controlled expert

       witnesses, Marc Fruchter and William Lawrence. The opinions set forth in these affidavits of

       Fruchter and Lawrence were largely the same as those submitted by the plaintiff in response to

       the motions to dismiss under section 2-619 of the Code of Civil Procedure (735 ILCS 5/2-619

       (West 2010)) that this court addressed in Garland I, 2014 IL App (1st) 112615, ¶¶ 25-27. In the

       motions to dismiss that were at issue in Garland I, the defendants did not move to strike any

       portion of the affidavits of Fruchter and Lawrence. However, with respect to the motions for

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       summary judgment at issue in this appeal, the defendants filed motions to strike both affidavits.

       The trial court conducted a hearing on these motions to strike prior to conducting a hearing on

       the motion for summary judgment, and it struck portions of the opinions of both Fruchter and

       Lawrence. Thus, certain portions of the affidavits of these two expert witnesses were not

       considered by the trial court in ruling on the motions for summary judgment.

¶ 23        Fruchter’s affidavit states that he is the founder and president of Aviation Consultants, Ltd.

       He has over 38 years of experience in various aspects of the aviation industry. He has flown in

       excess of 13,000 hours, with at least 11,500 of those as pilot-in-command. He holds multiple

       FAA licenses, ratings, and certifications for piloting, instructing, testing, and certification. He

       has experience piloting both the Cessna 421B model of airplane that is at issue in this case, as

       well as the Baron B55 aircraft that Turek owned and normally flew.

¶ 24        Fruchter’s affidavit includes 14 paragraphs under the heading of “Opinions,” which were

       the subject of the defendants’ motions to strike. These opinions were preceded by his discussion

       of those facts upon which his opinions were based. Those factual bases that are pertinent to our

       analysis are set forth in the discussion below. However, we set forth the full text of Fruchter’s

       opinions below, with the text in italic type showing those portions of Fruchter’s affidavit that the

       trial court struck from consideration on summary judgment and which the plaintiff appeals:

                    “1. The accident took place during the period identified in the [federal aviation

              regulations (14 C.F.R. § 1.1 et seq. (2006)) (FARs)] as night [citation] and Mr. Turek did

              not meet the requirement [citation] to serve as [pilot-in-command (PIC)] on the accident

              flight. Therefore Mr. Turek was negligent in showing himself as PIC on the instrument

              flight plan for the accident flight.

                    2. There is no evidence that Mr. Turek had satisfied the requirement [citation] for a

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No. 1-18-0682

      biennial flight review and was, therefore, not qualified to serve as PIC on the accident

      flight. Therefore it was negligent for Mr. Turek to file a flight plan showing himself as

      PIC for the accident flight or to serve as PIC on that flight.

           3. The vast majority of Mr. Turek’s multi-engine flight experience was obtained in

      the B-55 Baron aircraft that he owned. [Citation.] The Baron differs significantly from

      the Cessna 421B in numerous ways including, but not limited to: pressurization, geared

      engines, 44% more powerful engines, 49% greater maximum gross takeoff weight, and

      higher stall speeds for the Cessna. ***

           4. Mr. Turek had logged no flight experience in a Cessna 421B that included night

      and/or icing conditions—both of which were forecast *** on the accident flight. For this

      reason alone Mr. Turek should have declined to serve as PIC on the accident flight.

      Failing to insure that a competent and experienced pilot was controlling the aircraft

      created a very unsafe condition.

           5. From the radar data noted above, witness statements, and video of the accident it

      is apparent that Mr. Turek allowed the airspeed of N920MC [i.e., the FAA registration

      number of the Cessna 421B at issue] to decrease until the aircraft stalled causing a loss of

      control and impact with the ground.

           6. During his training at Recurrent Training Center (RTC) Mr. Turek exhibited a

      tendency to enter turns too steeply [citation], which would lead to an increased stall

      speed for the aircraft. This can cause a dangerous condition—especially if the aircraft is

      flying below the recommended speed for a segment of flight. This condition existed on the

      accident flight and most likely was the cause of the accident.

           7. Mr. Knudson, as an owner of the aircraft, had a duty to insure that Mr. Turek was

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No. 1-18-0682

      qualified, current, and proficient to perform the flight before allowing him to fly N920MC

      on the accident flight. Since Mr. Knudson was aware, or should have been aware, that

      the flight would operate during the hours of night he should not have allowed a pilot who

      had no experience in a Cessna 421B at night and was not night current to fly the accident

      flight. By allowing this, he was negligent and created a very dangerous condition for the

      accident flight.

                                                  ***

           10. From the above it is evident that neither Mr. Turek nor Mr. Knudson was

      qualified to act as PIC on the accident flight.

           11. Mr. Howard Levinson was aware that Mr. Turek was to pilot N920MC on the

      accident flight [citation]. As both Mr. Turek’s flight instructor and an owner of N920MC,

      Mr. Levinson had a duty to insure that Mr. Turek was qualified, current, and competent

      to fly the aircraft on the accident flight. If Mr. Levinson was aware that Mr. Turek was

      not qualified to serve as PIC on the accident flight he had a duty to insure that Mr.

      Knudson was qualified to serve as PIC. By failing to do so he failed in his duty to insure

      a safe flight.

           12. Mr. Howard Levinson had serious difficulty during a Cessna 421B training

      session at RTC in September 2007. [Citation.] His inability to fly a standard approach as

      part of this training brings into question the value of the five (5) hours he served as Mr.

      Turek’s flight instructor to allow Mr. Turek to qualify under the insurance policy for

      N920MC.

           13. HK Golden Eagle, as the registered owner of N920MC, through its principals

      Mr. Howard Levinson and Mr. Kenneth Knudson, had a duty to insure that a qualified,

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       No. 1-18-0682

              current, and competent pilot was flying N920MC on the accident flight.

                    14. For all of the above reasons, Messrs. Turek, Knudson, and Levinson were

              negligent by engaging in the above-noted conduct or failing to engage in the above-noted

              conduct. The negligent acts and omissions by Mark Turek, Kenneth Knudson, and

              Howard Levinson were all contributing causes to the accident involving N920MC and the

              death of the four persons onboard, including Scott Garland.”

¶ 25        Lawrence’s affidavit states that he had been a pilot for over 45 years and had accumulated

       about 4500 hours in over 100 different types, models, and series of helicopters and fixed-wing

       aircraft. He was a graduate of the United States Naval Test Pilot School and was an engineering

       and experimental test pilot from 1978 to 1991. He flew for the United States Marine Corps for 26

       years, and since his retirement in 1991 he had been flying as part of his second career as an

       aviation consultant.

¶ 26        Lawrence’s affidavit includes 13 paragraphs under the heading of “Opinions,” which were

       also the subject of the defendants’ motions to strike. As with Fruchter’s affidavit, Lawrence’s

       opinions were preceded by his discussion of the facts upon which his opinions were based. Those

       factual bases that are pertinent to our analysis are set forth in the discussion below. However, we

       again set forth the full text of Lawrence’s opinions, with the text in italic type showing those

       portions of his affidavit that the trial court struck from consideration on summary judgment:

                    “1. No material or information has been presented that the material or mechanical

              condition of N920MC contributed to this crash. The NTSB docket discusses the various

              mechanical inspections and observations made during the investigation. The findings

              included engine and propeller examinations that found no anomalies.

                    2. On January 30, 2006, Mr. Turek was not legally qualified to function as the pilot

                                                     - 16 -
No. 1-18-0682

         in command of N920MC. To function as the pilot in command, Mr. Turek would have to

         have logged 3 night landings in the previous 90 days. He logged one. Further, his biennial

         flight review had expired some six months earlier.

              3. On January 30, 2006, Mr. Knudson was not legally qualified to function as the

         pilot in command of N920MC. To function as the pilot in command, Mr. Knudson would

         have [had] to have flown 6 instrument approaches in the previous 6 months, flown 3

         takeoffs and landings in the previous 90 days and logged 3 night landings in the previous

         90 days. None of these activities were accomplished.

              4. Mr. Knudson was negligent in that he allowed Mr. Turek to occupy the left seat[3]

         of N920MC and to function as the pilot in command. As the owner of N920MC, Mr.

         Knudson was responsible to ensure a qualified aircrew was flying the airplane. Either he

         knew Mr. Turek was not qualified, or he did not check Mr. Turek’s qualifications. Either

         way, he was negligent. Further, he should have known that Mr. Turek was not

         aeronautically adapted to fly N920MC at night, having never flown a Cessna 421 at

         night. Even further, he should have factored in the deteriorating weather.

              5. Mr. Turek was not aeronautically adapted to fly as the pilot in command of

         N920MC. Mr. Turek was neither qualified to fly at night nor was he adapted to fly at

         night in a Cessna 421. He had logged only one night landing in the previous 90 days and

         had never flown a Cessna 421 at night.

              6. Mr. Turek was negligent in that he agreed to fly N920MC as the pilot in

         command in that he knew he did not have the necessary experience to ensure a safe

         flight. Pilots are individually responsible for maintaining their currency and Mr. Turek

     3
      In a preceding section of his affidavit, Lawrence stated that the left seat of most airplanes is
considered to be the command seat, and this was the situation in the Cessna 421B at issue.
                                                - 17 -
No. 1-18-0682

      certainly knew his qualifications better than anyone else. By agreeing to function as the

      pilot in command, he ignored both his inexperience in the Cessna 421 in general and his

      lack of recent night time as well. He also should have realized that his BFR [(biennial

      flight review)] had expired.

           7. During the approach to Palwaukee airport at about 1829 CST, Mr. Turek’s

      workload increased to the point that he reverted to the habit patterns formed in his Beech

      B55 Baron, N281R. Even in familiar aircraft, the workload increases when conditions

      such as nighttime and adverse weather conditions are present. Add unfamiliarity with a

      relatively new aircraft type and the pilot becomes easily overwhelmed. In such cases, the

      pilot will revert to old habit patterns.

           8. Mr. Turek flew a VFR [(visual flight rules)] downwind entry to runway 34 and

      arrived at an abeam position too close to the runway and too slow. The wind was right-

      gear quartering, blowing N920MC towards the runway and increasing the ground speed.

      Even if Mr. Turek had panned an appropriate distance from the runway for his abeam

      position, the wind would have served as a mechanism to place the airplane closer to the

      runway than desired. Since night vision is limited, especially in poor weather conditions,

      it would have been very difficult for Mr. Turek to perceive the improper alignment.

           9. Mr. Turek either tightened his turn to the point that he entered an approach turn

      stall, or increased the angle of attack and bank angle to the point that he stalled the

      aircraft. In either event, Mr. Turek stalled N920MC as he turned for final. More likely

      than not, Mr. Turek did not recognize the imminent danger posed by his poor approach

      to landing. Also, he did not want to ask for assistance from the man he was seeking to

      impress, so he continued the approach, and whether he simply slowed below stall speed,

                                                 - 18 -
No. 1-18-0682

      or pulled the airplane into an approach turn stall, the results were the same.

           10. Mr. Knudson was negligent in that he failed to take control of the N920MC

      when he should have recognized the approach was not being flown as necessary for a

      successful landing. The only pilot in N920MC with appropriate experience to recognize

      the danger of the approach that was being flown was Mr. Knudson, the owner of the

      airplane. Although conversation that occurred in the cockpit will never be known, it is

      obvious that Mr. Knudson either never took control of the aircraft or did not take control

      in time to prevent the stall and ensuing crash. Mr. Knudson’s experience in the Cessna

      421, and his ownership of N920MC, positioned him in a place of responsibility that he

      did not assume.

           11. At the altitude N920MC entered the stall, there was not sufficient time nor

      altitude to recover from the stall. N920MC stalled well below 1,000 feet AGL, more

      probably at about 650 feet AGL. (The NTSB docket radar information shows N920MC at

      about 1200 feet MSL below 85 KIAS; runway 16/34 elevation is 643 feet AGL.)

           12. Mr. Levinson was likewise negligent in that he should have known that neither

      Knudson nor Turek were qualified to function as pilot in command of N920MC.

      Levinson, as co-owner of N920MC, had an equal responsibility to Knudson to ensure the

      airplane was properly crewed. Levinson was a Certified Flight Instructor, and as such,

      clearly understood currency requirements. Having flown with Turek as a 421 checkpilot,

      he should have known that Turek was not current at night and had never flown a Cessna

      421 at night. He also should have checked Turek’s logbook for BFR currency. And, with

      regard to Knudson, he had flown with him many times. He was very knowledgeable

      concerning the time N920MC had spent in maintenance and should have been well aware

                                             - 19 -
       No. 1-18-0682

               that virtually all of Knudson’s currency requirements had expired.

                    13. N920MC crashed because of the combined negligence of [Messrs.] Knudson,

               Turek, and Levinson. The combination of the negligent acts of Knudson, Turek, and

               Levinson, as discussed in the paragraphs above, was responsible for, and was the cause

               of the crash of N920MC.”

¶ 27                                          C. Trial Court’s Ruling

¶ 28        On the record as set forth above, the trial court granted summary judgment in favor of all

       defendants on the claims of negligent entrustment. In doing so, the trial court reasoned that a

       factual dispute may exist on the issue of whether the defendants had been negligent in entrusting

       the subject airplane to Turek for the flight at issue. Nevertheless, the trial court concluded that

       the plaintiff had failed to present evidence necessary to demonstrate the existence of a genuine

       issue of material fact about whether their negligent entrustment of the airplane to Turek was a

       proximate cause of the crash. The trial court reasoned that the evidence did not show what Turek

       had done, if anything, to cause the crash of the airplane that and the plaintiff’s experts’ opinions

       about what Turek had done to cause the crash were based on speculation. The trial court further

       reasoned that the plaintiff’s experts had not shown a causal nexus between the reasons that they

       contended should have prevented the defendants’ entrustment to Turek and the crash itself. The

       plaintiff filed a timely notice of appeal.

¶ 29                                                II. ANALYSIS

¶ 30        All causes of action at issue in this appeal involve negligent entrustment. In summary, the

       plaintiff alleges in her ninth amended complaint that defendants Levinson and Knudson were

       negligent in entrusting the subject Cessna 421B airplane to Turek to pilot, when they knew or

       should have known that Turek was incompetent or inexperienced to fly that particular type of

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       No. 1-18-0682

       airplane in the conditions he was likely to encounter on the night of the crash. She alleges that

       defendants Hark Corporation, Sybaris, and HK Golden Eagle are vicariously liable for the acts of

       negligent entrustment by Levinson, Knudson, or both.

¶ 31        To prove negligent entrustment, a plaintiff must establish that “ ‘the defendant gave another

       express or implied permission to use or possess a dangerous article or instrumentality that the

       defendant knew, or should have known, would likely be used in a manner involving an

       unreasonable risk of harm.’ ” Garland I, 2014 IL App (1st) 112615, ¶ 53 (quoting Northcutt v.

       Chapman, 353 Ill. App. 3d 970, 974 (2004)). Although an airplane is not an inherently dangerous

       article, it may become so if operated by a pilot who is incompetent, inexperienced, or reckless.

       Id. ¶ 56.

¶ 32        In a claim for negligent entrustment, the liability of the defendant entrustor is not based on

       principles of vicarious liability for the actions of an entrustee with respect to the article at issue.

       See Seward v. Griffin, 116 Ill. App. 3d 749, 754 (1983). Rather, the defendant entrustor’s

       liability arises from his or her own independent act of negligence in the entrustment of the article

       at issue. Id. The supreme court has set forth, in a case involving the entrustment of an

       automobile, the “two primary considerations in negligent-entrustment analysis: (1) whether the

       owner of the vehicle entrusted the car to an incompetent or unfit driver, and (2) whether the

       incompetency was a proximate cause of a plaintiff’s injury.” Evans v. Shannon, 201 Ill. 2d 424,

       434 (2002) (citing Taitt v. Robinson, 266 Ill. App. 3d 130, 132 (1994)).

¶ 33        Though courts have phrased the proximate causation requirement in different ways, it has

       long been the law that the plaintiff must establish that the incompetency, inexperience, or

       recklessness on the part of the entrustee, about which the plaintiff alleges that the defendant

       knew or should have known so as to prevent the entrustment, is a proximate cause of the injury

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       No. 1-18-0682

       at issue. Bensman v. Reed, 299 Ill. App. 531, 534 (1939) (“The liability of the owner does not

       arise by merely proving that he gave permission to an incompetent driver to drive his automobile

       but it must also appear that the incompetency alleged was the proximate cause of the commission

       of the negligent act which caused the injury.”); Giers v. Anten, 68 Ill. App. 3d 535, 540-41

       (1978) (same); King v. Petefish, 185 Ill. App. 3d 630, 634 (1989) (same); Jones v. Beker, 260 Ill.

       App. 3d 481, 487 (1994) (“owner must knowingly entrust his automobile to an incompetent or

       unfit driver and that incompetency or unfitness must be a proximate cause of the accident that

       injured the third party”); McGath v. Price, 342 Ill. App. 3d 19, 28 (2003) (liability is established

       “if (1) the lender knows or should know that the one to whom he loaned it is incompetent,

       inexperienced or reckless in its use, and (2) it was this incompetence, inexperience or

       recklessness that was a proximate cause of the resulting accident”); Lulay v. Parvin, 359 Ill. App.
3d 653, 658 (2005) (same). Where a plaintiff fails to establish a causal nexus between the

       incompetence, inexperience, or recklessness that the plaintiff alleges should have prevented the

       entrustment and the entrustee’s act or omission that produced the injury, the element of

       proximate causation is not satisfied. See Bensman, 299 Ill. App. at 536 (judgment n.o.v. for

       defendant affirmed where no evidence showed that entrustee’s defective vision, which was the

       incompetency that plaintiff alleged should have prevented defendant’s entrustment of an

       automobile to him, caused the defendant’s act of negligent driving that injured the plaintiff).

¶ 34                                  A. Striking Expert Witness Opinions

¶ 35        Before addressing the merits of summary judgment, we first address the threshold issue

       raised by the plaintiff of whether the trial court erred in striking certain opinions in the affidavits

       of the plaintiff’s two controlled expert witnesses, Fruchter and Lawrence. The opinions that were

       stricken were not considered by the trial court in deciding the motions for summary judgment.

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       No. 1-18-0682

       The plaintiff argues on appeal that the trial court erred in striking these opinions and that they

       should have been considered by the trial court in determining the propriety of summary

       judgment. 4

¶ 36         As a preliminary matter, we summarily reject the plaintiff’s argument that the law-of-the-

       case doctrine should have prevented the defendants from moving to strike the opinions of

       Fruchter and Lawrence in the first instance. The plaintiff argues that, as four appeals have been

       decided in this case, the fact that the defendants had never previously objected to the use or

       admissibility of the opinions of the plaintiff’s expert witnesses should be viewed as a waiver by

       the defendants of the objections raised in their motions to strike. In Garland II, 2017 IL App

       (1st) 160745-U, ¶¶ 15-26, this court engaged in a lengthy discussion of the law-of-the-case

       doctrine in rejecting an almost-identical argument made by the plaintiff in that appeal. The

       doctrine provides that, where an issue has been litigated and decided, a reviewing court’s

       unreversed decision on that question of law or fact settles that question for all subsequent stages

       of the suit. Id. ¶ 16. “[I]n order for that doctrine to apply to an issue, the specific issue must have

       previously been decided.” Id. ¶ 26. Here, prior to the defendants’ filing of the motions to strike

       presently at issue, neither the trial court nor this court decided the issue of whether all or part of

       the affidavits of Fruchter and Lawrence should be stricken. Because these matters were not

       decided, the law-of-the-case doctrine has no application here.

¶ 37         The sufficiency of affidavits filed in opposition to a motion for summary judgment is

       governed by Illinois Supreme Court Rule 191(a) (eff. Jan. 4, 2013). Woolums v. Huss, 323 Ill.
4
              While the plaintiff’s brief argues generally that there was no basis for the trial court to strike any of
       the opinions of Fruchter or Lawrence and that all of their opinions were proper, we address only those
       stricken opinions about which the plaintiff makes a specific argument in her brief. To the extent the
       plaintiff intended to argue that the trial court erred in striking any opinions of her experts not specifically
       discussed, the failure to articulate a specific argument constitutes a forfeiture of the argument. Ill. S. Ct.
       R. 341(h)(7) (eff. May 25, 2018).
                                                           - 23 -
       No. 1-18-0682

       App. 3d 628, 635 (2001). In pertinent part, that rule requires that affidavits must (1) be made on

       the personal knowledge of the affiant, (2) set forth with particularity the facts on which the claim

       is based, (3) attach sworn or certified copies of documents that the affiant relied on, and

       (4) consist of facts admissible in evidence, not conclusions. Ill. S. Ct. R. 191(a) (eff. Jan. 4,

       2013). These requirements are based on a recognition that, in the context of summary judgment,

       an affidavit serves as a substitute for the testimony of a witness at trial. Robidoux v. Oliphant,

       201 Ill. 2d 324, 335-36 (2002). In addressing a motion for summary judgment, a trial court may

       not consider evidence or testimony that would not be admissible at trial. Berke v. Manilow, 2016
IL App (1st) 150397, ¶ 21. Therefore, affidavits submitted in opposition to a motion for

       summary judgment must consist of facts admissible in evidence and not of conclusions. Id.

¶ 38        While expert witnesses may testify and base opinions on facts assumed to be true, those

       facts must have support in the evidence. Woolums, 323 Ill. App. 3d at 635-36. While an expert

       witness at trial may give opinion testimony without disclosing the facts underlying his opinion

       (see Wilson v. Clark, 84 Ill. 2d 186, 194 (1981)), the same is not true of affidavits in summary

       judgment proceedings. Robidoux, 201 Ill. 2d at 333-34. This is due to the fact that at trial an

       expert may be cross-examined, but cross-examination is unavailable as a means to test an

       expert’s testimony submitted by affidavit on summary judgment. Id. Thus, the standard for

       admission of an expert’s affidavit in the context of summary judgment is higher than for the

       admission of an expert’s opinion at trial. Id. at 338. In the summary judgment context, a trial

       court may strike all or part of the affidavit of an expert witness where the conclusions of the

       expert expressed in the affidavit lack factual support in the evidence and are instead based on

       speculation or conjecture as to what might have happened. See Berke, 2016 IL App (1st) 150397,

       ¶¶ 21-25; Perona v. Volkswagen of America, Inc., 2014 IL App (1st) 130748, ¶¶ 49-53. The

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       No. 1-18-0682

       propriety of a trial court’s striking of all or part of an affidavit in the context of summary

       judgment is subject to de novo review on appeal. Berke, 2016 IL App (1st) 150397, ¶ 21.

¶ 39                                        1. Affidavit of Fruchter

¶ 40                                        a. Fruchter’s Opinion 4

¶ 41        The plaintiff first argues that the trial court erred in striking the italicized portion of

       Fruchter’s opinion 4, which states as follows:

                   “4. Mr. Turek had logged no flight experience in a Cessna 421B that included night

              and/or icing conditions—both of which were forecast *** on the accident flight. For this

              reason alone Mr. Turek should have declined to serve as PIC on the accident flight.

              Failing to insure that a competent and experienced pilot was controlling the aircraft

              created a very unsafe condition.”

¶ 42        The trial court struck the italicized sentence on the basis that it was argumentative. The

       plaintiff argues that, in other opinions not stricken by the trial court, Fruchter explained why

       Turek was not competent and qualified to fly the Cessna 421B, regardless of his experience

       flying other airplanes. Although this is not a negligence claim against Turek, we will consider

       this opinion in our de novo review of summary judgment and give it the weight that it deserves.

¶ 43                                        b. Fruchter’s Opinion 5

¶ 44        The trial court struck the word “allowed” from Fruchter’s opinion 5, reasoning that the

       word “allowed,” as italicized in the following sentence, constituted a conclusory statement:

                   “5. From the radar data noted above, witness statements, and video of the accident it

              is apparent that Mr. Turek allowed the airspeed of N920MC to decrease until the aircraft

              stalled causing a loss of control and impact with the ground.”

¶ 45        The plaintiff contends that this was a proper opinion, as Fruchter adequately explained that

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       No. 1-18-0682

       the factual basis for it was radar data, witness statements, and video of the accident. We agree

       that the trial court properly struck this opinion as a statement of what Turek “allowed” to happen

       to the airplane. Although the radar data, witness statements, and video provide a factual basis for

       Fruchter to express what happened to the airplane itself, the conclusion that Turek “allowed” this

       to happen to the airplane is mere speculation or conjecture as to what may have happened inside

       the cockpit of the airplane. As such, we agree that there is insufficient factual basis in the

       evidence to support this opinion as to what Turek “allowed.”

¶ 46                                         c. Fruchter’s Opinion 6

¶ 47        The trial court struck Fruchter’s opinion 6 in its entirety, which stated:

                    “6. During his training at Recurrent Training Center (RTC) Mr. Turek exhibited a

              tendency to enter turns too steeply [citation], which would lead to an increased stall speed

              for the aircraft. This can cause a dangerous condition—especially if the aircraft is flying

              below the recommended speed for a segment of flight. This condition existed on the

              accident flight and most likely was the cause of the accident.”

¶ 48        The trial court struck this opinion because it found that the word “tendency” was

       conclusory and without factual support. The plaintiff points out that Fruchter’s affidavit cites as

       factual support page 105 of the deposition of Lyons, Turek’s instructor at Recurrent. We have

       reviewed the deposition testimony of Lyons as cited to us by the plaintiff. The full extent of this

       testimony appears to be Lyons confirming that another instructor at Recurrent had made a

       notation during a training session with Turek on January 7, 2006, which stated, “entry in turns

       were too steep.” There is no further discussion of this notation. We thus agree with the trial court

       that the evidence provides insufficient factual support for opinion 6 as expressed by Fruchter,

       and it was properly stricken.

                                                      - 26 -
       No. 1-18-0682

¶ 49                                         d. Fruchter’s Opinion 7

¶ 50        The trial court struck Fruchter’s opinion 7 in its entirety, which stated:

                    “7. Mr. Knudson, as an owner of the aircraft, had a duty to insure that Mr. Turek

              was qualified, current, and proficient to perform the flight before allowing him to fly

              N920MC on the accident flight. Since Mr. Knudson was aware, or should have been

              aware, that the flight would operate during the hours of night he should not have allowed

              a pilot who had no experience in a Cessna 421B at night and was not night current to fly

              the accident flight. By allowing this, he was negligent and created a very dangerous

              condition for the accident flight.”

¶ 51        The trial court struck this opinion on the basis that any statement concerning Knudson’s

       knowledge was speculative. The plaintiff argues that this opinion does not call for speculation

       concerning Knudson’s knowledge. Rather, according to the plaintiff, Fruchter is stating that,

       before entrusting the plane to Turek, Knudson had to know whether Turek was qualified and

       current to safely operate the airplane, including at night. The plaintiff argues that, regardless of

       Knudson’s actual knowledge, it is evident that he was negligent because either (1) he knew

       Turek was unqualified and lacked currency but entrusted the airplane to him anyway or (2) he

       did not ascertain knowledge of Turek’s credentials and thus failed in his responsibility to obtain

       this information before entrusting the airplane to Turek.

¶ 52        We agree that this opinion was properly stricken. Initially, neither Fruchter’s affidavit nor

       the plaintiff’s brief cites any federal aviation regulation or similar law that imposes specific

       responsibilities on the owner of an airplane such as the subject Cessna to ensure that the pilot-in-

       command of that airplane meets certain qualifications or proficiencies. Cf. 14 C.F.R. § 91.3

       (2006) (responsibility and authority of pilot-in-command). As such, we interpret the first

                                                      - 27 -
       No. 1-18-0682

       sentence of this opinion as a general expression of the duty that an owner of a potentially

       dangerous article has to deny permission to another to use that article when the owner knows or

       should know that it is likely to be used in a manner involving an unreasonable risk of harm. See

       Garland I, 2014 IL App (1st) 112615, ¶ 53. Given this, we disagree with the plaintiff’s argument

       that Fruchter can express the opinion that Knudson breached this duty without factual support in

       the evidence of what Knudson actually knew or should have known about Turek’s incompetence,

       inexperience, or lack of qualifications to fly a Cessna 421B at night. As no such factual support

       exists in the evidence, Fruchter’s opinion 7 is conclusory and was properly stricken.

¶ 53                                        e. Fruchter’s Opinion 10

¶ 54        The trial court struck Fruchter’s opinion 10 in its entirety, which stated:

                    “10. From the above it is evident that neither Mr. Turek nor Mr. Knudson was

              qualified to act as PIC on the accident flight.”

¶ 55        The trial court did not articulate a specific reason for striking this opinion. The plaintiff

       argues that striking it was inconsistent with the trial court’s rulings on other opinions by Fruchter

       that the trial court had allowed to stand. Specifically, the plaintiff argues that portions of

       Fruchter’s opinions 1 through 4, which the trial court had allowed to stand, support opinion 10. It

       appears that opinion 10, as it pertains to Turek, is no different than the opinions that the trial

       court allowed Fruchter to express in his opinions 1 and 2, which were not stricken. Thus, the

       plaintiff suffered no prejudice from the striking of opinion 10 as it pertains to Turek. The

       plaintiff makes no argument that the trial court erred in striking opinion 10 as it pertains to

       Knudson, as the plaintiff is not appealing the striking of Fruchter’s opinion 9, which is the only

       preceding opinion by him pertaining to Knudson’s qualifications to serve as pilot-in-command.

¶ 56                                        f. Fruchter’s Opinion 12

                                                      - 28 -
       No. 1-18-0682

¶ 57        The trial court struck Fruchter’s opinion 12 in its entirety, which stated:

                    “12. Mr. Howard Levinson had serious difficulty during a Cessna 421B training

              session at RTC in September 2007. [Citation.] His inability to fly a standard approach as

              part of this training brings into question the value of the five (5) hours he served as Mr.

              Turek’s flight instructor to allow Mr. Turek to qualify under the insurance policy for

              N920MC.”

¶ 58        The trial court’s basis for striking this opinion was that it was conclusory and speculative.

       The plaintiff argues that it is factually supported by the deposition testimony of Lyons that

       Levinson had serious difficulty during his own training session in a Cessna 421B in September

       2007. The plaintiff argues that the essence of this opinion was that if Levinson himself was

       having serious difficulty operating the same kind of airplane during his own training, a year and

       eight months after he gave instruction to Turek, this calls into question the value of the five hours

       during which he served as Turek’s instructor in the weeks prior to the incident. We agree that

       this opinion by Fruchter is too speculative and conclusory on the issue of negligent entrustment

       by Levinson of the subject airplane to Turek for the flight at issue. We have previously affirmed

       the dismissal of the plaintiff’s claims that Levinson provided negligent flight instruction to

       Turek. Waugh, 2012 IL App (1st) 102653, ¶¶ 43-44. Thus, opinion 12 was properly stricken.

¶ 59                                        g. Fruchter’s Opinion 14

¶ 60        The trial court struck Fruchter’s opinion 14 in its entirety, which stated:

                    “14. For all of the above reasons, Messrs. Turek, Knudson, and Levinson were

              negligent by engaging in the above-noted conduct or failing to engage in the above-noted

              conduct. The negligent acts and omissions by Mark Turek, Kenneth Knudson, and

              Howard Levinson were all contributing causes to the accident involving N920MC and the

                                                      - 29 -
       No. 1-18-0682

              death of the four persons onboard, including Scott Garland.”

¶ 61        The trial court’s basis for striking this opinion was that the factual basis was insufficient for

       Fruchter to express an opinion on causation. The plaintiff argues that this ruling is inconsistent

       with the trial court’s rulings on other opinions by Fruchter that the trial court allowed to stand,

       specifically his opinions 1 and 2 stating that Turek was not qualified to serve as pilot-in-

       command on this flight. The plaintiff argues that this is a sufficient reason why Levinson and

       Knudson should not have entrusted their airplane to Turek and, had they not done so, Turek

       would never have been piloting the airplane and the crash would not have occurred. The plaintiff

       additionally points out that the trial court allowed most of Fruchter’s opinion 5 to stand, except

       for the word “allowed.” The plaintiff argues that, given the facts set forth in opinion 5 that the

       airplane’s speed decreased until it stalled on approach for landing, as well as the fact that it is

       undisputed that Turek was the pilot on the flight at issue, a sufficient factual basis exists for

       Fruchter to express the opinion that the defendants’ entrusting of their aircraft to Turek, despite

       his lack of experience, was a contributing cause of the crash in which Garland was killed.

¶ 62        Initially, we find that the first sentence of opinion 14 is essentially a restatement of the

       preceding opinions by Fruchter concerning the negligence of Turek and the defendants. Some of

       these preceding opinions on negligence were allowed to stand, and others were stricken. As such,

       this first sentence of opinion 14 is essentially cumulative of opinions Fruchter previously

       expressed, and the plaintiff suffered no prejudice on summary judgment by its being stricken.

¶ 63        As for the second sentence of opinion 14, which concerns causation, we find that this

       opinion was properly stricken. After carefully reviewing the facts set forth in Fruchter’s affidavit

       upon which he purports to rely in expressing his opinion that the negligent acts and omissions of

       Turek, Knudson, and Levinson were all causes of the crash at issue, we conclude that the

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       No. 1-18-0682

       summary judgment record lacks factual support for this opinion. We reiterate that the claims at

       issue involve negligent entrustment by Knudson and Levinson. As we discussed above (supra

       ¶ 33), establishing the element of causation in a negligent entrustment claim requires proof that

       the incompetency, inexperience, or recklessness on the part of Turek, about which the plaintiff

       alleges that Levinson and Knudson knew or should have known so as to prevent the entrustment

       of their airplane to him, is a proximate cause of the crash in which Garland was killed.

¶ 64        For purposes of summary judgment, Fruchter’s affidavit does cite evidence of

       incompetency or inexperience on the part of Turek. Specifically, Fruchter relies on evidence in

       Turek’s flight logbooks to support the proposition that Turek did not have sufficient takeoff and

       landing experience at night or a current biennial flight review, such as to be qualified under

       federal aviation regulations to serve as pilot-in-command of the Cessna on the subject flight.

       Further, Turek lacked experience flying a Cessna 421B at night. Fruchter’s affidavit also cites

       factually supported evidence from the radar data, witness statements, and video to support the

       opinion of what happened to the airplane itself. In other words, there is evidence that the plane’s

       airspeed decreased until the airplane stalled and the stall caused a loss of control and impact with

       the ground.

¶ 65        What is absent from Fruchter’s affidavit is a reference to any fact in the evidence upon

       which he relies to support the existence of a causal nexus between the specific incompetence or

       inexperience he identifies on the part of Turek and the decrease in airspeed, stall, and crash

       experienced by the subject airplane. Fruchter does not cite any fact of what Turek specifically

       did or failed to do as a result of his inexperience or incompetence that caused the airplane’s

       decrease in airspeed, stall, and crash. It is not sufficient to state simply that these things occurred

       while Turek was the airplane’s pilot, because this does not show that they were caused by his

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       No. 1-18-0682

       incompetence or inexperience. They may have been caused by an isolated error that had nothing

       to do with his competence or experience. For this same reason, we reject the plaintiff’s argument

       that causation can be shown simply based on the fact that, had the defendants not permitted

       Turek to fly as pilot-in-command, he would not have been flying the Cessna at such a slow speed

       that he caused it to stall and crash. Without evidence of what Turek specifically did or failed to

       do as a result of his inexperience or incompetence that caused the airplane to stall and crash,

       there is not a sufficient factual basis for Fruchter to express an opinion that the defendants’

       negligent entrustment of the airplane to Turek was a contributing cause of the crash. Thus, the

       second sentence of Fruchter’s opinion 14 was based on speculation and conjecture as to what

       might have happened to cause the crash, and it was properly stricken by the trial court.

¶ 66                                       2. Affidavit of Lawrence

¶ 67                                        a. Lawrence’s Opinion 1

¶ 68        The trial court struck the italicized portion of the following opinion by Lawrence:

                   “1. No material or information has been presented that the material or mechanical

              condition of N920MC contributed to this crash. The NTSB docket discusses the various

              mechanical inspections and observations made during the investigation. The findings

              included engine and propeller examinations that found no anomalies.”

¶ 69        The trial court’s basis for striking part of this opinion was that NTSB findings cannot be

       evidence in the case. The plaintiff argues that NTSB factual findings are admissible and

       therefore the trial court should not have stricken part the opinion on this basis. While reports

       containing the NTSB’s determinations including the probable cause of an accident are statutorily

       prohibited from being “admitted into evidence or used in a civil action for damages resulting

       from a matter mentioned in the report” (emphasis added) (49 U.S.C. § 1154(b) (2006)), factual

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       No. 1-18-0682

       accident reports containing the results of an NTSB investigator’s investigation of the accident are

       not subject to this bar. 49 C.F.R. § 835.2 (2006); see Brokaw v. Boeing Co., 137 F. Supp. 3d
1082, 1093 (N.D. Ill. 2015). As it appears the information referenced in Lawrence’s opinion 1 is

       part of the NTSB investigator’s factual findings of the accident, it is not subject to any bar on its

       “use” in civil ligation. Thus, it is information on which Lawrence can rely as a basis for his

       opinion under Illinois Rule of Evidence 703 (eff. Jan. 1, 2011), and we will consider it in our

       de novo review of summary judgment.

¶ 70                                        b. Lawrence’s Opinion 4

¶ 71        The trial court struck Lawrence’s opinion 4 in its entirety, which stated:

                    “4. Mr. Knudson was negligent in that he allowed Mr. Turek to occupy the left seat

              of N920MC and to function as the pilot in command. As the owner of N920MC, Mr.

              Knudson was responsible to ensure a qualified aircrew was flying the airplane. Either he

              knew Mr. Turek was not qualified, or he did not check Mr. Turek’s qualifications. Either

              way, he was negligent. Further, he should have known that Mr. Turek was not

              aeronautically adapted to fly N920MC at night, having never flown a Cessna 421 at

              night. Even further, he should have factored in the deteriorating weather.”

¶ 72        The trial court reasoned that any opinion concerning Knudson’s knowledge was speculative

       and unsupported by the evidence. The plaintiff makes a similar argument to that set forth above

       concerning Fruchter’s opinion 7. We find that this opinion by Lawrence is the same in all

       material aspects to Fruchter’s opinion 7, and for the same reasons we discussed above, we

       conclude that Lawrence’s opinion 4 was properly stricken.

¶ 73                                        c. Lawrence’s Opinion 5

¶ 74        The trial court struck the italicized portion of Lawrence’s opinion 5, as follows:

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       No. 1-18-0682

                    “5. Mr. Turek was not aeronautically adapted to fly as the pilot in command of

               N920MC. Mr. Turek was neither qualified to fly at night nor was he adapted to fly at

               night in a Cessna 421. He had logged only one night landing in the previous 90 days and

               had never flown a Cessna 421 at night.”

¶ 75        In striking this portion of this opinion, the trial court stated, “Again, *** I don’t know what

       aeronautically adapted means or that he was adapted to fly at night. *** So the first portion with

       regard to his qualifications to fly at night would be out.” The plaintiff argues that the phrase

       “aeronautically adapted” refers to the fact that most of Turek’s experience as pilot-in-command

       was in the Baron B55 airplane he owned and, as of the date of the crash, he was not yet adapted

       to flying in the Cessna 421B, especially at night. In a preceding part of his affidavit, Lawrence

       provides a factual explanation of the differences between piloting a Baron B55 and a Cessna 421.

       We will consider this opinion on our de novo review of the propriety of summary judgment.

¶ 76                                     d. Lawrence’s Opinions 8 and 9

¶ 77        The plaintiff’s brief addresses Lawrence’s opinions 8 and 9 together, both of which the trial

       court struck in their entirety:

                    “8. Mr. Turek flew a VFR downwind entry to runway 34 and arrived at an abeam

               position too close to the runway and too slow. The wind was right-gear quartering,

               blowing N920MC towards the runway and increasing the ground speed. Even if Mr.

               Turek had planned an appropriate distance from the runway for his abeam position, the

               wind would have served as a mechanism to place the airplane closer to the runway than

               desired. Since night vision is limited, especially in poor weather conditions, it would have

               been very difficult for Mr. Turek to perceive the improper alignment.

                    9. Mr. Turek either tightened his turn to the point that he entered an approach turn

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       No. 1-18-0682

              stall, or increased the angle of attack and bank angle to the point that he stalled the

              aircraft. In either event, Mr. Turek stalled N920MC as he turned for final. More likely

              than not, Mr. Turek did not recognize the imminent danger posed by his poor approach to

              landing. Also, he did not want to ask for assistance from the man he was seeking to

              impress, so he continued the approach, and whether he simply slowed below stall speed,

              or pulled the airplane into an approach turn stall, the results were the same.”

¶ 78        The trial court struck these opinions on the basis that they amounted to speculation and

       conjecture. The plaintiff argues that they are not, pointing out that, in both of these opinions,

       Lawrence articulates the likely reason that the airplane stalled and crashed. The plaintiff argues

       that these opinions were based on factual information that Lawrence had about the airplane and

       the flight at issue, which Lawrence had previously set forth in earlier sections of his affidavit.

       The plaintiff specifically points out that the stall speeds of the airplane, the weather conditions,

       and the differences between a Cessna 421B and Baron B55 were all facts known to Lawrence.

¶ 79        The plaintiff argues that, in preceding portions of his affidavit, Lawrence had set forth the

       facts he had relied upon from the radar data plots and video images from a security camera,

       which showed the aircraft in left-wing low, near-vertical descent. On this point, Lawrence

       explains the following in a preceding portion of his affidavit:

                    “The radar plots show that N920MC approached the Palwaukee Airport from the

              northwest, and flew an approximate 170° heading to intercept the downwind entry for

              landing runway 34. The radar plot also indicates that when clearance to land was issued,

              N920MC was approximately abeam the upwind numbers of runway 34 entering a left

              downwind. N920MC was approximately paralleling runway 34 on the downwind entry.

              Final hits on the radar plot show N920MC turning for final.

                                                      - 35 -
No. 1-18-0682

              Video images captured on a local security camera show an aircraft with landing

        lights on approaching from the north of the camera location on a southerly hearing.

        About 15 seconds later, the aircraft reappears. Three frames of camera video capture the

        aircraft in a left wing low, near vertical descent. The underside of the aircraft is visible

        and shows extended landing gear. Flap position could not be determined because of the

        poor quality of the video.”

The plaintiff also points out that Lawrence had explained the aerodynamic phenomenon of an

accelerated-turn stall and an approach-turn stall, as well as the difficulties in night-flight

perceptions. As to accelerated-turn stalls and approach-turn stalls, Lawrence’s affidavit states:

                “An accelerated turn stall is an aerodynamic phenomenon that causes an airplane

        to stall at a higher airspeed than normal because of additional G forces imposed by the

        pilot. An accelerated turn stall can be experienced in the landing pattern when the pilot’s

        abeam position is too close to the runway and he or she continues to attempt the landing

        by executing a tighter turn. In that case, the accelerated turn stall is appropriately called

        an ‘approach turn stall.’ Physics show that, at 2G, the stall speed increases to a speed that

        is proportional to the square root of the wing loading.”

Additionally, Lawrence’s affidavit explains certain differences between the subject Cessna 421B

and the Beech B55 airplane that Turek owned and was used to flying. This includes differences

in the size and performances of the two airplanes, as well as differences in the airplanes’ stall

speeds and landing patterns. Then, as to the difficulties in night-flight perceptions, Lawrence’s

affidavit states:

              “Aviators understand that, all other things being equal, night flights contain the

        potential for unique difficulties. Visibility is, of course, greatly reduced. Depth of field is

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       No. 1-18-0682

              essentially nonexistent. Scan patterns are necessarily different. Of particular interest in

              this crash is the fact that perception of the proper landing pattern is more difficult to

              achieve. When the approach to landing is not a straight-in instrument approach or a

              ground-guided approach, the pilot must judge distance from the runway and manage

              angle of attack, turn rates, descent rates, and power settings more judiciously. When

              flying approaches at night, experience in the aircraft is even more important than during

              the day.

                    In general aviation, VFR approaches to landing are not flown the same as military

              approaches. Military aircraft normally fly traffic patterns, calling the numbers for a left or

              right break to a downwind entry, calling abeam with the gear for landing. In general

              aviation, aircraft are most often cleared for landing via the most expeditious approach.

              Therefore, flying downwind entries for landing and having to set up for a landing from an

              abeam position is the exception rather than the rule. General aviation pilots experience

              the bulk of their ‘normal approaches’ only when practicing touch-and-go landings and

              remaining in the traffic pattern. With that explanation, Mr. Turek was ill-equipped to

              attempt a landing in poor weather, at night, in an aircraft type he had never flown at

              night. The task of landing is one of the more rigorous tasks a pilot has, and pilots will

              revert to habit patterns in the absence of certain information. Mr. Turek, more likely than

              not, reverted to more substantial experience in his Baron, N281R, and set up to fly a

              slower, close-in approach.”

       Based on all of this, the plaintiff argues that there is sufficient evidence of what happened to the

       aircraft while Turek was at the controls on a final approach for landing.

¶ 80        We conclude that the trial court properly struck Lawrence’s opinions 8 and 9, as they lack

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       No. 1-18-0682

       factual support in the evidence and are ultimately speculation about what might have happened.

       As we discussed above concerning Fruchter’s opinion 14, we believe there is factual support in

       the evidence for what happened to the airplane itself. It experienced a stall, and that caused it to

       crash. However, Lawrence is still relying on speculation concerning what if anything Turek did

       to cause the stall. For example, in opinion 8 there are no facts in evidence that Lawrence relies

       upon to state what Turek “planned” or “desired” as an appropriate distance from the runway for

       an abeam position given the wind. Similarly, there are no facts in evidence that Turek actually

       had difficulty perceiving an improper alignment due to limited night vision or poor weather

       conditions. We find Lawrence’s factual explanation of the difficulties in night-flight perception,

       as set forth above, to be pure speculation concerning any difficulties Turek actually encountered

       due to nighttime conditions, and we find no basis in the evidence for the statement that Turek

       “reverted to more substantial experience in his Baron *** and set up to fly a slower, close-in

       approach.” All these opinions appear to be conjecture about what might have happened.

¶ 81        Similarly, in opinion 9, Lawrence gives two possibilities for how Turek, as the pilot of the

       airplane, might have caused the airplane to stall. However, a full reading of Lawrence’s affidavit

       shows that he is simply stating two things that a pilot might do that could cause an airplane to

       stall on approach and crash. He references no facts in evidence upon which he relies to support

       an opinion as to what Turek himself actually did. Whatever happened inside the cockpit remains

       speculation. This speculation becomes more evident in the sentences that follow, as there are

       simply no facts in evidence to support Lawrence’s opinion that Turek likely “did not recognize

       the imminent danger posed by his poor approach to landing” and he “did not want to ask for

       assistance from the man he was seeking to impress, so he continued the approach.” For these

       reasons, the trial court properly struck Lawrence’s opinions 8 and 9 as speculative.

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       No. 1-18-0682

¶ 82                                       e. Lawrence’s Opinion 10

¶ 83        The trial court struck Lawrence’s opinion 10 in its entirety, which stated:

                   “10. Mr. Knudson was negligent in that he failed to take control of the N920MC

              when he should have recognized the approach was not being flown as necessary for a

              successful landing. The only pilot in N920MC with appropriate experience to recognize

              the danger of the approach that was being flown was Mr. Knudson, the owner of the

              airplane. Although conversation that occurred in the cockpit will never be known, it is

              obvious that Mr. Knudson either never took control of the aircraft or did not take control

              in time to prevent the stall and ensuing crash. Mr. Knudson’s experience in the Cessna

              421, and his ownership of N920MC, positioned him in a place of responsibility that he

              did not assume.”

¶ 84        The trial court struck this opinion on the basis that it was speculation. The plaintiff argues

       that this opinion is not speculative, because Lawrence’s opinion that Knudson was negligent

       arises from the known fact that Knudson either (1) never took control of the aircraft or (2) did

       not take control of the aircraft in time to prevent the stall and subsequent crash. The plaintiff

       points out that Lawrence explained that the reason Knudson should have taken control is that he

       was the only pilot on board with the adequate experience to understand the danger in the landing

       approach that Turek was flying.

¶ 85        The trial court properly struck this opinion as speculation, as there are no facts in evidence

       to support a statement of what actually happened inside the cockpit of the subject airplane. This

       would include evidence of any knowledge Knudson ascertained during the flight itself

       concerning Turek’s competency to land the subject airplane, so as to require Knudson to

       terminate the entrustment of the airplane to Turek. Any other liability sought to be imposed by

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       No. 1-18-0682

       this opinion would amount to Knudson’s negligence in supervising Turek during the subject

       flight, and we have previously affirmed the dismissal of this theory of liability against the Estate

       of Knudson. Garland I, 2014 IL App (1st) 112615, ¶ 82.

¶ 86                                       f. Lawrence’s Opinion 13

¶ 87        The trial court struck Lawrence’s opinion 13 in its entirety, which stated:

                     “13. N920MC crashed because of the combined negligence of [Messrs.] Knudson,

               Turek, and Levinson. The combination of the negligent acts of Knudson, Turek, and

               Levinson, as discussed in the paragraphs above, was responsible for, and was the cause of

               the crash of N920MC.”

¶ 88        The trial court’s reasoning for striking this opinion was that Lawrence lacked an adequate

       factual basis to establish causation. The plaintiff argues that the trial court’s striking of this

       opinion was error, because Lawrence explained throughout his affidavit how Turek was

       unqualified to be pilot-in-command and therefore should not have been permitted by Levinson

       and Knudson to be operating the airplane at the time of the crash. According to the plaintiff, that

       alone establishes that the decision by the defendants to entrust their Cessna 421B to Turek,

       despite his inexperience and lack of night-flight qualifications, was a contributing cause of this

       crash. The plaintiff argues that if the defendants had not improperly entrusted the plane to Turek

       to fly, the flight and crash would never have occurred. The plaintiff argues further that Lawrence

       articulated a sufficient factual basis for the aerodynamic performance of this airplane that caused

       it to stall and crash.

¶ 89        For the same reasons we discussed with respect to Fruchter’s opinion 14, we believe that

       the trial court properly struck Lawrence’s opinion 13. In this claim for negligent entrustment,

       Lawrence’s affidavit fails to identify some act or omission that Turek did or failed to do as a

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       No. 1-18-0682

       result of his inexperience or incompetence that caused the airplane to stall and crash, on which

       Lawrence can rely to express an opinion about causation. As such, Lawrence’s opinion 13 on

       causation was based on speculation and was properly stricken.

¶ 90                                         B. Summary Judgment

¶ 91        Having resolved the issues concerning the sufficiency of the affidavits of Fruchter and

       Lawrence, we now proceed to address the trial court’s granting of summary judgment in favor of

       the defendants on the claims of negligent entrustment. The plaintiff argues that sufficient

       evidence exists in the summary judgment record from which a jury could reasonably conclude

       that the defendants were negligent in entrusting the Cessna 421B to Turek for the flight at issue,

       and their negligent entrustment of the airplane to him was a proximate cause of the crash in

       which Garland died. The plaintiff also argues that the doctrine of res ipsa loquitur is applicable

       in this case to demonstrate the existence of a genuine issue of material fact.

¶ 92        On appeal of an order granting summary judgment, the role of this court is to determine

       whether “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 2016). The purpose of summary

       judgment is not to try an issue of fact but to determine whether one exists. Monson v. City of

       Danville, 2018 IL 122486, ¶ 12. A genuine issue of material fact precluding summary judgment

       exists where the material facts are disputed or, if the material facts are undisputed, reasonable

       persons might draw different inferences from the undisputed facts. Mashal v. City of Chicago,

       2012 IL 112341, ¶ 49. In determining this question, the evidence in the record must be construed

       strictly against the parties moving for summary judgment and liberally in favor of the party

       opposing it. Id. A plaintiff seeking to defeat a motion for summary judgment does not need to

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       No. 1-18-0682

       prove her case, but she must present some factual basis that would arguably entitle her to a

       judgment. Bruns v. City of Centralia, 2014 IL 116998, ¶ 12. This includes presenting some

       evidence to support each element of the plaintiff’s cause of action. Id. This court reviews the trial

       court’s summary judgment ruling de novo. Monson, 2018 IL 122486, ¶ 12.

¶ 93                                         1. Proximate Causation

¶ 94        The trial court granted summary judgment in favor of the defendants based on its

       conclusion that the plaintiff had failed to present evidence showing that a genuine issue of

       material fact existed about whether the defendants’ negligent entrustment of the airplane to

       Turek was a proximate cause of the crash. The trial court found that the evidence did not show

       what Turek had done, if anything, to cause the crash of the airplane and that the plaintiff’s

       experts’ opinions about what Turek had done to cause the crash were based only on speculation.

       The trial court further concluded that the plaintiff’s expert witnesses had not shown a causal

       nexus between the airplane crash and the specific reasons that they contended should have

       prevented the defendants’ entrustment of the airplane to Turek. As the absence of evidence of

       proximate causation was the basis for the trial court’s granting of summary judgment, we begin

       our analysis with this issue.

¶ 95        An essential element of a plaintiff’s cause of action for any tort is the existence of a

       proximate causal relationship between the act or omission of the defendant and the damages that

       the plaintiff has suffered. Lewis v. Lead Industries Ass’n, 342 Ill. App. 3d 95, 102 (2003). To

       establish proximate cause, a plaintiff must satisfy the requirement of showing that the

       defendant’s conduct is a cause in fact (or actual cause) of the plaintiff’s injury, and it must be a

       legal cause as well. Simmons v. Garces, 198 Ill. 2d 541, 558 (2002). These requirements apply in

       a negligent entrustment claim. Evans, 201 Ill. 2d at 434-35. Cause in fact exists where there is a

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       No. 1-18-0682

       reasonable certainty that a defendant’s acts caused the injury or damage. Id. at 434. A

       defendant’s conduct is a cause in fact of the plaintiff’s injury only if that conduct is a material

       element and a substantial factor in bringing about the injury. Id. at 435. A defendant’s conduct is

       a material element and a substantial factor in bringing about an injury if, absent that conduct, the

       injury would not have occurred. Id. A defendant’s acts are a legal cause of an injury only if they

       are “ ‘ “so closely tied to the plaintiff’s injury that he should be held legally responsible for it.” ’ ”

       City of Chicago v. Beretta U.S.A. Corp., 213 Ill. 2d 351, 395 (2004) (quoting Simmons, 198 Ill.
2d at 558, quoting McCraw v. Cegielski, 287 Ill. App. 3d 871, 873 (1996)). This involves “ ‘a

       policy decision that limits how far a defendant’s legal responsibility should extend for conduct

       that, in fact, caused the harm.’ ” Simmons, 198 Ill. 2d at 558 (quoting Lee v. Chicago Transit

       Authority, 152 Ill. 2d 432, 455 (1992)). Legal cause is essentially a question of foreseeability,

       with the relevant inquiry being whether the injury is of a type that a reasonable person would see

       as a likely result of his or her conduct. Evans, 201 Ill. 2d at 435. Although proximate cause is

       generally a question of fact, the absence of proximate cause may be determined by the court as a

       matter of law when the evidence does not sufficiently demonstrate both cause in fact and legal

       cause. Young v. Bryco Arms, 213 Ill. 2d 433, 447 (2004).

¶ 96        The plaintiff bears the burden to “ ‘affirmatively and positively show’ ” that the defendant’s

       alleged negligence caused the injury for which the plaintiff seeks recovery. Bermudez v.

       Martinez Trucking, 343 Ill. App. 3d 25, 29 (2003) (quoting McInturff v. Chicago Title & Trust

       Co., 102 Ill. App. 2d 39, 48 (1968)). The existence of proximate cause cannot be established by

       speculation, surmise, or conjecture. Gyllin v. College Craft Enterprises, Ltd., 260 Ill. App. 3d
707, 711 (1994).

¶ 97        We explained above (supra ¶ 33) that establishing proximate causation in a negligent

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       entrustment case requires a plaintiff to show that the incompetency, inexperience, or recklessness

       on the part of the entrustee, about which the plaintiff alleges that the defendant knew or should

       have known so as to prevent the entrustment, is a proximate cause of the injury at issue. See

       Bensman, 299 Ill. App. at 534. The evidence must show the existence of a causal nexus between

       the incompetence, inexperience, or recklessness that the plaintiff alleges should have prevented

       the entrustment and the entrustee’s act or omission that produced the injury. Id. at 534-36.

¶ 98        In her briefs, the plaintiff appears to take issue with this concept that establishing proximate

       causation requires proof of a specific act or omission by Turek that ultimately caused the crash.

       In framing her argument on this issue in her opening brief, she contends that the defendants

       argued in the trial court that she needed to prove “that Knudson and Levinson had to have

       observed Turek perform a specific act of incompetence that ultimately caused the crash.” She

       goes on to argue that no law requires her to prove that the defendants “knew the specific manner

       in which Turek’s incompetence, inexperience or reckless would result in him crashing the

       plane,” and that the defendants were thus attempting to impose a burden on her that was not

       required. She frames the issue the same way in her reply brief, adding that the law of negligent

       entrustment does not require that “a specific ‘red flag’ circumstance has to be directly connected

       to the ultimate injury.”

¶ 99        By framing her argument as she does, it appears to us that the plaintiff is missing the point

       of the weakness in the evidence that gave rise to the entry of summary judgment. Regardless of

       what arguments the defendants made in the trial court, the trial court did not grant summary

       judgment on the basis that the defendants did not observe, know, or foresee the specific act of

       incompetence, inexperience, or recklessness on Turek’s part that ultimately caused the crash.

       Rather, the trial court granted summary judgment on the basis that the evidence did not

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        No. 1-18-0682

        demonstrate what specifically caused Turek to crash the airplane and, thus, no causal nexus was

        shown between the specific reason why the entrustment was allegedly negligent and the crash

        itself.

¶ 100         We believe that the trial court properly applied the law. Since Bensman it has been required

        in proving a negligent entrustment case that it appear from the evidence “that the incompetency

        alleged was the proximate cause of the commission of the negligent act which caused the injury.”

        Id. at 534. In Bensman, the plaintiff alleged that the defendant was negligent in entrusting his

        automobile to his son, because he knew that his son had defective vision that rendered him an

        incompetent driver. Id. at 533. However, the appellate court affirmed the trial court’s entry of

        judgment n.o.v. in favor of the defendant because, at trial, the plaintiff presented “no evidence

        which tends to prove that [the son’s] defective vision was the cause of his negligent act.” Id. at

        536. The court stated, “It may be conceded that he was negligent in making the turn at the time

        and under the circumstances he did but this does not establish that such negligent act was caused

        by defective vision.” Id.

¶ 101         The same principle that applied in Bensman applies in this case. Here, it is possible that

        Turek committed a negligent act or an error that caused the airplane to stall and crash, which had

        nothing to do with any lack of competence, qualifications, or experience in flying a Cessna 421B

        at night. Competent, qualified, and experienced pilots can commit isolated errors of acts of

        negligence that can cause an airplane crash. Thus, we will not assume in a negligent entrustment

        case that the mere fact that an airplane stalled and crashed is evidence that it was due to

        incompetence or inexperience on the part of the pilot. Rather, this must be affirmatively and

        positively shown. To presume, in the absence of proof, that any negligence or error by Turek is

        the product of the incompetence on his part that should have prevented the entrustment of the

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        airplane to him would relieve the plaintiff of her burden of making an affirmative and positive

        showing of proximate cause in this case. It would also improperly make the defendants

        vicariously liable for any negligent act of Turek, regardless of the scope of their own

        independent negligence. See Seward, 116 Ill. App. 3d at 754. The trial court properly applied this

        law, and thus we disagree with the plaintiff that she was faced with a burden of proof beyond

        that which was required by the case law.

¶ 102        Moreover, we agree with the trial court’s determination that the plaintiff has failed to

        establish evidence that the crash resulted from an act or omission by Turek that was the result of

        the specific incompetence, inexperience, or recklessness that allegedly should have prevented the

        defendants’ entrustment of the airplane to him. According to the opinions of Fruchter and

        Lawrence that are in evidence, the incompetence or inexperience on the part of Turek, about

        which the defendants knew or should have known so as to prevent their entrustment of the

        airplane to him, was that he lacked the requirements of having made at least three takeoffs and

        landings at night within the preceding 90 days (see 14 C.F.R. § 61.57(b) (2006)), he lacked the

        requirement of a biennial flight review in the preceding 24 months (see id. § 61.56(c)), and he

        had no flight experience in a Cessna 421B at night or icing conditions. It does not appear that

        their opinions make any attempt to establish that the crash was caused by Turek’s lack of a

        current biennial flight review or his lack of experience flying a Cessna 421B in icing conditions.

        Although icing was forecasted, there is no evidence that icing was an issue on the subject flight.

¶ 103        Lawrence did attempt in opinion 8 of his affidavit to establish a causal nexus between

        Turek’s inexperience with night landings and the crash at issue. As discussed above, Lawrence

        expressed the opinion that it would have been difficult for Turek to perceive improper alignment

        of the airplane due to limited night vision, especially in poor weather conditions. However, we

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        No. 1-18-0682

        held above that this opinion by Lawrence lacked any factual support in the evidence and was

        properly stricken as speculation and conjecture as to what might have occurred. In other words,

        without proof of any specific act or omission by Turek that caused the crash, it is speculation to

        say that it was caused by his having problems with limited night vision. Thus, we find that the

        evidence establishes no causal nexus between the crash and any of the specific reasons that the

        experts contend Turek was incompetent or inexperienced so as to prevent the defendants’

        entrustment of the airplane to him.

¶ 104        Even looking beyond the experts’ affidavits to the other evidence discussed by the plaintiff,

        we reach the same conclusion. In her briefs, the plaintiff addresses a number of reasons that, she

        contends, Turek was not competent and experienced enough in piloting the Cessna 421B for the

        defendants to entrust it to him for the flight at issue. She points out that Turek’s logbook

        indicates that he only had a total of 5.25 hours of logged dual instruction in a Cessna 421B

        airplane. She notes that the training he received at Arr-ow was only generic simulation training,

        not tailored to a Cessna 421B, and it did not provide him with experience pitching up or down,

        yawing, or dealing with the effects of vortex generators on a multiengine airplane such as a

        Cessna 421B. She further points out that Lyons and other of Turek’s instructors at Recurrent had

        made notations during his instruction there that he needed more training on full procedure

        approaches, that his tracking of his approach was “erratic,” that he “needs to work on altitude

        control” as it appeared that “he was still having a little trouble flying the flight training device,”

        and that he needed help with the horizontal situation indicator. She further points to evidence that

        Levinson knew Turek “liked to fly fast,” that he “flew kind of like a sports car driver,” and that

        he rode the brakes too much. Moreover, she cites the testimony of McGuinn that, while in

        Kansas on the day of the crash, Knudson had complained about Turek’s operation of the plane

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        No. 1-18-0682

        during takeoff and his leaving the landing gear down for part of the flight and Knudson had

        made a comment that Turek’s flying skills were not up to par.

¶ 105        Assuming for argument’s sake that the defendants knew or should have known some or all

        of these facts, there is still no causal nexus between the crash and some act or omission by Turek

        that resulted from one of these specific aspects of incompetency, inexperience, or recklessness

        that should have prevented the defendants’ entrustment of the airplane to him. Again, absent

        some affirmative and positive evidence of this fact, we will not assume in this negligent

        entrustment case that the fact that the airplane stalled and crashed is evidence that it was due to

        incompetence, inexperience, or recklessness on the part of Turek.

¶ 106        The plaintiff argues on appeal that the summary judgment record contains sufficient direct

        and circumstantial evidence that Turek, in approaching Palwaukee for landing, operated the

        airplane at a speed that was too slow to avoid a stall and too close to the runway, which resulted

        in a stall of the airplane and its impact with the ground. The plaintiff argues that this direct and

        circumstantial evidence is sufficient to establish that the negligent entrustment of the airplane to

        Turek and his negligent operation of it sufficiently establish proximate causation.

¶ 107        The plaintiff is correct that proximate cause may be established through direct or

        circumstantial evidence. Gyllin, 260 Ill. App. 3d at 713; Bermudez, 343 Ill. App. 3d at 30. Where

        a plaintiff attempts to establish proximate causation through circumstantial evidence, causation

        may be shown by facts and circumstances that, in the light of ordinary experience, reasonably

        suggest that the defendant’s negligence operated to produce the injury. Gyllin, 260 Ill. App. 3d at

        713; Berke, 2016 IL App (1st) 150397, ¶ 35. While it is not necessary that only one conclusion

        follow from such evidence, a fact cannot be established through circumstantial evidence unless

        the circumstances are of such a nature and so related to each other that it is the only probable,

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        No. 1-18-0682

        and not merely possible, conclusion that can be drawn therefrom. Berke, 2016 IL App (1st)
150397, ¶ 35 (citing Wiegman v. Hitch-Inn Post of Libertyville, Inc., 308 Ill. App. 3d 789, 796

        (1999)). Where the proven facts demonstrate that the nonexistence of the fact to be inferred

        appears to be just as probable as its existence, then the conclusion is a matter of speculation,

        conjecture, and guess, and the trier of fact cannot be permitted to make that inference. Berke,

        2016 IL App (1st) 150397, ¶ 35.

¶ 108        First, the plaintiff points to evidence that the operator’s manual for the Cessna 421B at issue

        specifies a landing approach speed of 103 knots-indicated airspeed. The plaintiff points out that

        defendant Levinson himself testified that he landed the subject airplane at a speed of about 110

        knots. The owner’s manual for the subject airplane lists stall speeds ranging from 94 knots-

        calibrated airspeed to 83 knots-calibrated airspeed in different configurations for the landing

        gear, flaps, and bank angle. The plaintiff goes on to point out that radar data showed that, in the

        last 40 seconds of the subject flight, the Cessna’s calibrated airspeed decreased from 110 knots to

        82 knots, before radar contact was lost and the impact occurred. The plaintiff cites the deposition

        testimony of NTSB investigator Brannen that, in normal flight, one of the responsibilities of the

        pilot-in-command is to make sure that an airplane does not drop below the manufacturer’s

        recommended stall speeds.

¶ 109        Also, the plaintiff cites evidence that in about the last 30 seconds, the radar returns showed

        that the airplane was about 450 to 550 feet above ground level “as it was on the downwind leg

        about to turn base.” The plaintiff cites Brannen’s deposition testimony that, while travel patterns

        and altitudes can vary by airport, in general travel patterns for an airplane approaching and on

        the downwind leg are usually about 800 to 1000 feet above the elevation of the airport. Thus, the

        plaintiff argues, Turek flew the airplane below the recommended pattern altitude for that phase

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        No. 1-18-0682

        of the flight. The plaintiff also points to the portion of Fruchter’s opinion 5 not stricken by the

        trial court, in which Fruchter relied on radar data, witness statements, and video of the incident to

        explain that the airspeed of the subject airplane decreased until it stalled, causing a loss of

        control and impact with the ground. The plaintiff points to Lawrence’s opinion 11, which was

        also not stricken by the trial court, in which Lawrence relied on radar information to explain that

        the subject airplane probably stalled at about 650 feet above ground level and, when it entered

        the stall, there was not sufficient time or altitude to recover from the stall.

¶ 110        Again bearing in mind that this is a case for negligent entrustment, we reject the plaintiff’s

        argument that this evidence reasonably supports an inference that the crash resulted from an act

        or omission on the part of Turek that was the product of the specific incompetence, inexperience,

        or recklessness that allegedly should have prevented the defendants’ entrustment of the airplane

        to him. As discussed above, while it is possible that this evidence could show negligence or pilot

        error on the part of Turek, merely showing negligence is not enough. See Bensman, 299 Ill. App.

        at 534-36. This is not a negligence claim against Turek, nor is this a case in which the defendants

        can be held vicariously liable for Turek’s negligence. Rather, the plaintiff must make an

        affirmative and positive showing that the crash resulted from an act or omission that was the

        product of Turek’s specific incompetence or inexperience that should have prevented the

        entrustment by the defendants. The circumstantial evidence cited by the plaintiff fails to do this.

¶ 111        Any inference that this airplane crashed because Turek was incompetent or too

        inexperienced to pilot a Cessna 421B at night would ultimately have to be based on speculation

        and conjecture. The evidence shows that Turek was an experienced pilot, although the majority

        of his flying experience appears to have been in a Baron B55. He had undergone training to

        transition to the piloting of a Cessna 421B, even if his flight instructors indicated there were

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        No. 1-18-0682

        areas on which he needed work. Given his experience and training, we do not find that it can be

        reasonably inferred from the evidence presented that the only probable reason that the airplane

        stalled and crashed was Turek’s specific lack of competence or inexperience flying a Cessna

        421B at night. This is merely one possible conclusion that can be drawn from the evidence,

        which makes it insufficient to establish proximate cause. See Berke, 2016 IL App (1st) 150397,

        ¶ 35.

¶ 112           The parties’ briefs discuss various reasons other than Turek’s incompetence or inexperience

        that may have caused the airplane to stall and crash. Some of the reasons postulated by the

        defendants, such as the possibility that “the airspeed gauge post light went out,” have no support

        in the evidence as being potential causes for an airplane stall or crash. Other reasons, such as the

        possibility that one of the passengers had a medical emergency or did something that caused the

        pilot to lose full concentration, appear plausible but speculative. The plaintiff argues that the

        testimony of Dr. Lavezzi allows for the inference that Turek did not suffer from a medical

        condition such as a heart attack during the flight. She argues that the evidence allows for the

        inference that icing can be ruled out as a potential cause, as the subject airplane was equipped to

        fly in icing conditions and a competent pilot must avoid icing and minimize flight time in icing

        conditions. She also cites the testimony of NTSB investigator Brannen as supporting the

        inference that equipment failure or fuel starvation can be ruled out as potential causes.

        Ultimately, regardless of whether some alternative explanations can be ruled out, we find that the

        circumstantial evidence does not allow for the reasonable inference that the only probable, and

        not merely possible, reason that the airplane stalled and crashed was Turek’s specific lack of

        competence or inexperience flying a Cessna 421B at night. As we have stated multiple times,

        proving negligence or pilot error is not enough in this case alleging negligent entrustment.

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        No. 1-18-0682

¶ 113        For the above reasons, we hold that the trial court was correct in its determination that the

        evidence in the summary judgment record fails to demonstrate the existence of a genuine issue of

        material fact about whether the defendants’ negligent entrustment of the airplane to Turek was a

        proximate cause of the crash in which Garland was killed. For this reason, the trial court properly

        granted summary judgment in favor of the defendants.

¶ 114                                          2. Res Ipsa Loquitur

¶ 115        The plaintiff also argues that application of the doctrine of res ipsa loquitur required the

        denial of summary judgment. This doctrine requires proof that the plaintiff was injured (1) in an

        occurrence that ordinarily does not happen in the absence of negligence, (2) by an agency or

        instrumentality within the defendant’s exclusive control. Heastie v. Roberts, 226 Ill. 2d 515, 531-

        32 (2007). It is an evidentiary doctrine that affects the proof from which the trier of fact may

        draw an inference of negligence on the part of the defendant, but it does not affect the necessity

        or method of proving proximate cause. Darrough v. Glendale Heights Community Hospital, 234
Ill. App. 3d 1055, 1059 (1992). The plaintiff argues that, here, the defendants had complete

        control over the decision to authorize Turek to act as pilot-in-command on the subject flight and

        there is no evidence that the crash would have occurred in the absence of the defendants’

        negligent entrustment of the plane to an inexperienced and unqualified pilot.

¶ 116        In Crowley v. A-North Shore Driving School, 19 Ill. App. 3d 1035, 1036-38 (1974), this

        court addressed the argument that the doctrine of res ipsa loquitur applied to a claim of negligent

        entrustment by a driver’s license examiner against a driving school, where a student of the school

        crashed and injured the examiner while he was administering a driving test to the student. In

        holding that the doctrine was inapplicable to the case, the court set forth the rule that, for

        res ipsa loquitur to apply, “it is necessary to prove the defendant’s control of the immediate

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        No. 1-18-0682

        cause of the injury is exclusive; the doctrine cannot be invoked without evidence tending to

        establish that the injury complained of was caused by someone under defendant’s control.” Id. at

        1038. The defendants argue that, here, the plaintiff has presented no proof that the defendants

        exclusively controlled “the immediate cause of the injury” because, as discussed above, there is

        no evidence as to exactly what that “immediate cause” was. We agree with the defendants on this

        point.

¶ 117        With respect to the requirement that the injury-causing agency or instrumentality be within

        the defendants’ exclusive control, “it must be shown that the plaintiff’s injury can be traced to a

        specific instrumentality or cause for which the defendant was responsible or that he was

        responsible for all reasonable causes to which the incident could be attributed.” Nichols v. City of

        Chicago Heights, 2015 IL App (1st) 122994, ¶ 46. “Thus, the defendant’s responsibility for a

        specific cause of an event is proven by eliminating the responsibility of any other person for that

        cause.” (Emphasis omitted.) Id. (citing Lynch v. Precision Machine Shop, Ltd., 93 Ill. 2d 266,

        273 (1982)). For the reasons we discussed above, we conclude that the evidence presented in this

        case is insufficient to satisfy this standard of proving that the specific cause of the airplane crash

        at issue was an act or omission resulting from Turek’s incompetence or inexperience and,

        therefore, within the defendants’ exclusive control. Thus, the doctrine of res ipsa loquitur has no

        application in this case.

¶ 118                                           III. CONCLUSION

¶ 119        In conclusion, we affirm the order of the trial court granting summary judgment in favor of

        the defendants and against the plaintiff.

¶ 120        Affirmed.

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No. 1-18-0682

                                  No. 1-18-0682

Cite as:                 Garland v. Sybaris Clubs International, Inc.,
                         2019 IL App (1st) 180682

Decision Under Review:   Appeal from the Circuit Court of Cook County, No. 17-L-8307;
                         the Hon. Irwin J. Solganick, Judge, presiding.

Attorneys                Richard F. Burke Jr., of Clifford Law Offices PC, of Chicago,
for                      for appellant.
Appellant:

Attorneys                John S. Hoff and Jared A. Schneider, of Cremer, Spina,
for                      Shaughnessy, Jansen & Siegert, LLC, of Chicago, for appellees
Appellee:                Sybaris Clubs International, Inc., and Sybaris Ventures One,
                         LLC.

                         Joseph A. Bosco and David J. Aron, of LaRose & Bosco, Ltd., of
                         Chicago, for appellee HK Golden Eagle, Inc.

                         Alan L. Farkas and Michael S. McGrory, of SmithAmundsen,
                         LLC, of Chicago, for appellee Randell D. Repke.

                         William F. DeYoung and Loretto M. Kennedy, of Chuhak &
                         Tecson, P.C., of Chicago, for other appellees.

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