          IN THE SUPREME COURT OF APPEALS OF WEST VIRGINIA

                                September 2013 Term
                                   ____________                   FILED
                                                              October 17, 2013
                                    No. 13-0159                  released at 3:00 p.m.
                                   ____________                  RORY L. PERRY II, CLERK
                                                               SUPREME COURT OF APPEALS
                                                                   OF WEST VIRGINIA


                    KIMBERLY LANDIS and ALVA NELSON,
                     as parents and guardians of A.N., a minor,
                            Plaintiffs Below, Petitioners

                                          v.

              HEARTHMARK, LLC d/b/a JARDEN HOME BRANDS,
             WAL-MART STORES, INC., C.K.S. PACKAGING, INC.,
                  PACKAGING SERVICE COMPANY, INC., and
                        STULL TECHNOLOGIES, INC.,
                         Defendants Below, Respondents
             _________________________________________________

               Certified Questions from the United States District Court
                       for the Northern District of West Virginia
              The Honorable John P. Bailey, United States District Judge
                            Civil Action No. 2:11-CV-00101

                     CERTIFIED QUESTIONS ANSWERED
           _____________________________________________________

                            Submitted: September 11, 2013
                                 Filed: October 17, 2013



Dino S. Colombo, Esq.                          Thomas Mannion, Esq.
Travis T. Mohler, Esq.                         Andrew D. Byrd, Esq.
Colombo Law                                    Mannion & Gray Co., LPA
Morgantown, West Virginia                      Charleston, West Virginia
Counsel for Petitioners                        Counsel for Respondent,
                                               Packaging Service Co., Inc.

Stephen R. Brooks, Esq.                        P. Joseph Craycraft, Esq.
Lindsey M. Saad, Esq.                            Edward A. Smallwood, Esq.
Flaherty Sensabaugh Bonasso, PLLC                Swartz Campbell LLC
Morgantown, West Virginia                        Wheeling, West Virginia
Counsel for Respondent,                          Counsel for Respondent,
Stull Technologies, Inc.                         C.K.S. Packaging, Inc.


Larry W. Blalock, Esq.
Jennifer Cain, Esq.
Jackson Kelly PLLC
Wheeling, West Virginia
Robert W. Hayes, PHV
Cozen O’Connor
Philadelphia, Pennsylvania
Counsel for Respondents,
Hearthmark, LLC and
Wal-Mart Stores, Inc.



JUSTICE KETCHUM delivered the Opinion of the Court.

JUSTICE DAVIS concurs, in part, dissents, in part, and reserves the right to file a separate
opinion.
                                SYLLABUS BY THE COURT


              1.        In a product liability action brought for injury to a child, the parental

immunity doctrine precludes a defendant from asserting a contribution claim against the

parents of the child.



              2.        In a product liability action brought for injury to a child, an allegedly

negligent parent may be included as a third-party defendant for the allocation of fault even

though the parental immunity doctrine bars a defendant from asserting a contribution claim

against the parents of the child.



              3.        In a product liability action brought for injury to a child, the parental

immunity doctrine does not preclude a defendant from asserting the defense of abnormal

product use by the child’s parents to establish the negligence or fault of the parents.



              4.        In a product liability action brought for injury to a child, the parental

immunity doctrine does not preclude a defendant from asserting, as a defense, that the

conduct of a parent was an intervening cause of the child’s injuries.




JUSTICE KETCHUM:
              The United States District Court for the Northern District of West Virginia

presents this Court with four certified questions regarding our law on the parental immunity

doctrine. Upon consideration, we have determined that reformulating the questions will

allow this Court to fully address the legal issues presented.1 We answer the reformulated

certified questions2 as follows:

              1. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting a contribution claim against the

parents of the child? Answer: Yes.

              2. In a product liability action brought for injury to a child, may an allegedly

negligent parent be included as a third-party defendant for the allocation of fault even though

the parental immunity doctrine bars a defendant from asserting a contribution claim against

the parents of the child? Answer: Yes.




       1
       This Court held in Syllabus Point 3, in part, of Kincaid v. Mangum, 189 W.Va. 404,
432 S.E.2d 74 (1993), that
             [w]hen a certified question is not framed so that this Court is
             able to fully address the law which is involved in the question,
             then this Court retains the power to reformulate questions
             certified to it under . . . the Uniform Certification of Questions
             of Law Act found in W.Va. Code, 51-1A-1, et seq.
       2
        The District Court certified an additional question to this Court asking whether the
parental immunity doctrine should have continued viability in this jurisdiction. Because our
answers to the other certified questions resolve the issues presented in this case, we decline
to address this additional question.

                                              2
              3. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting the defense of abnormal product use

by the child’s parents to establish the negligence or fault of the parents? Answer: No.

              4. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting, as a defense, that the conduct of a

parent was an intervening cause of the child’s injuries? Answer: No.



                         I. Factual and Procedural Background

              Kimberly Landis and Alva Nelson (“parents”) filed a product liability action

on behalf of their minor child, A.N.,3 for injuries he suffered following an incident in the

family’s residence.4 It is alleged that on February 28, 2010, then seven-year-old A.N. was

severely burned while attempting to start a fire in his family’s fireplace. A fire had been

burning throughout the day in the fireplace. That evening, while A.N.’s mother, father and

brother were upstairs, A.N. asked his mother for permission to roast a marshmallow in the

fireplace. A.N.’s mother gave him permission and he went downstairs by himself to the

fireplace. Believing that the fire had died out, A.N. stacked kindling wood in the fireplace

and applied Diamond Fire Starter Gel (“fire starter gel”) to the wood. This fire starter gel is


       3
        We adhere to our usual practice in cases involving sensitive facts and do not refer to
the parties using their full names. See In re Clifford K., 217 W.Va. 625, 619 S.E.2d 138
(2005).
       4
        When referring to the lawsuit filed by Kimberly Landis and Alva Nelson on A.N.’s
behalf, we will refer to them as the “plaintiffs.”

                                              3
an ethanol-based substance used to start fires in wood pellet stoves. A.N.’s parents left the

fire starter gel bottle on a stand next to the fireplace that was within A.N.’s reach. The

bottle’s directions for use state that it should be stored away from heat and flame and directs

users to “keep out of reach of children.” As A.N. was spraying the gel into the fireplace, it

allegedly touched a hot ember causing a flame to “flashback” through the bottle cap igniting

the vapors within the bottle. This caused an explosion resulting in A.N. suffering severe

burns over sixty-five percent of his body.

              The plaintiffs filed their complaint asserting product liability causes of action

for strict liability, negligence, and breach of warranty against the following parties: (1) Stull

Technologies, Inc., the manufacturer of the bottle cap; (2) CKS Packaging Inc., the

manufacturer of the bottle; (3) Packaging Services Company, Inc., the producer of the fire

starter gel; (4) Hearthmark, LLC, d/b/a Jarden Home Brands, the distributor of the fire starter

gel; and (5) Wal-Mart Stores, Inc., the store where the fire starter gel was purchased (referred

to collectively as “defendants”). The complaint seeks both compensatory and punitive

damages for the child against these defendants. The parents do not assert any causes of

action of their own, nor do they seek any damages in this case.

              Each of the defendants denied the material allegations contained in the

complaint and asserted contribution counterclaims and comparative negligence defenses

against A.N.’s parents. The defendants also raised the defenses of product misuse and

intervening causation due to A.N.’s parents’ conduct. While initially brought as



                                               4
counterclaims, the District Court ordered that the defendants’ claims against A.N.’s parents

“shall be considered third-party complaints.”

              The plaintiffs filed a motion to strike Defendant Stull’s comparative negligence

defense and argued generally that the parental immunity doctrine bars all of the defendants

“from arguing that the negligence of A.N.’s parents caused or contributed to their child’s

injuries.” Based on this argument, the plaintiffs moved for judgment on the pleadings as to

the defendants’ third-party complaints against A.N.’s parents. The District Court denied the

plaintiffs’ motion without prejudice5 and invited the parties to seek certification to this Court

to decide whether the parental immunity doctrine precludes the defendants from asserting

certain defenses and contribution claims against A.N.’s parents. After completing some

discovery, the plaintiffs moved for certification and the District Court certified four questions

to this Court regarding our law on the parental immunity doctrine.



                                   II. Standard of Review

              When this Court is called upon to resolve a certified question, we employ a

plenary review. “A de novo standard is applied by this Court in addressing the legal issues

presented by a certified question from a federal district or appellate court.” Syllabus Point

1, Light v. Allstate Ins. Co., 203 W.Va. 27, 506 S.E.2d 64 (1998). Accord Syllabus Point 1,


       5
       The District Court found that “the West Virginia Supreme Court has narrowed the
parental immunity doctrine each time it has been considered since 1968.” The District Court
was therefore “reluctant to predict the continued vitality of the parental immunity doctrine
in West Virginia.”

                                               5
Bower v. Westinghouse Elec. Corp., 206 W.Va. 133, 522 S.E.2d 424 (1999) (“This Court

undertakes plenary review of legal issues presented by certified question from a federal

district or appellate court.”). With this standard in mind, we proceed to examine the parties’

arguments.



                                        III. Analysis

              Before addressing the reformulated certified questions, we begin our analysis

with a brief discussion of the parental immunity doctrine.



                           A. Parental Immunity Background

              The parental immunity doctrine prohibits a child from bringing a civil action

against his or her parents. Lee v. Comer, 159 W.Va. 585, 587-88, 224 S.E.2d 721, 722

(1976). In its original form, the doctrine operated as an absolute bar to suit by a child for

personal injuries caused by a parent. See, e.g., Roller v. Roller, 37 Wash. 242, 79 P. 788

(1905) (father raped daughter); McKelvey v. McKelvey, 111 Tenn. 388, 77 S.W. 664 (1903)

(stepmother inflicted cruel and inhumane treatment on stepson); and Hewellette v. George,

68 Miss. 703, 9 So. 885 (1891) (mother falsely imprisoned child in an insane asylum). In

Hewellette, the Mississippi Supreme Court determined that the parental immunity doctrine

would “preserve the peace of society” and was based on “sound public policy, designed to

subserve the repose of families and the best interests of society[.]” Id. 9 So. at 887.



                                              6
               Following Hewellette, McKelvey, and Roller, there was widespread adoption

of the parental immunity doctrine by courts throughout the country. See Gail D. Hollister,

Parent-Child Immunity: A Doctrine in Search of Justification, 50 Fordham L.Rev. 489, 494

(1981).6 While many courts initially embraced and adopted the parental immunity doctrine,

“[i]n recent years, the application of this doctrine has begun to recede as rapidly as it had

once spread. There has been a definite trend throughout our courts toward abrogation or

limitation of such doctrine.” Lee, supra, 159 W.Va. at 588, 224 S.E.2d at 722. The

Wisconsin Supreme Court, for example, abolished the parental immunity doctrine in Goller

v. White, 20 Wis.2d 402, 122 N.W.2d 193 (1963), and concluded that it

               ought to be abrogated except in these two situations: (1) where
               the alleged negligent act involves an exercise of parental
               authority over the child; and (2) where the alleged negligent act
               involves an exercise of ordinary parental discretion with respect
               to the provision of food, clothing, housing, medical and dental
               services, and other care. Accordingly the rule is abolished in
               personal injury actions subject to these noted exceptions.

Id., at 413, 122 N.W.2d at 198. A number of jurisdictions have followed Wisconsin’s lead

and   either    abolished    or   restricted   the   parental    immunity     doctrine.7


       6
       For a detailed history of the development of the parental immunity doctrine, see Irene
Hansen Saba, Parental Immunity From Liability in Tort: Evolution of a Doctrine in
Tennessee, 36 U. Mem. L. Rev. 829 (2006)
       7
       Drickersen v. Drickersen, 546 P.2d 162 (Ala.1976); Gibson v. Gibson, 3 Cal.3d 914,
92 Cal.Rptr. 288, 479 P.2d 648 (1971) (abolishing immunity altogether); Schlessinger v.
Schlessinger, 796 P.2d 1385 (Colo.1990) (not in automobile injury cases); Ooms v. Ooms,
164 Conn. 48, 316 A.2d 783 (Conn.1972) (statutory abrogation of the doctrine in actions for
negligence in the operation of a motor vehicle); Williams v. Williams, 369 A.2d 669, 673
                                                                            (continued...)

                                               7
       7
         (...continued)
(Del.1976) (abolished rule in area of liability for negligent operation of automobile); Rousey
v. Rousey, 528 A.2d 416 (D.C.App.1987) (child not barred from suing parent for negligence,
regardless of insurance); Krouse v. Krouse, 489 So.2d 106 (Fla.1986) (statutory abrogation
of doctrine in automobile negligence cases, Fla.Stat.Ann. § 768.21(5), 6(b)); Petersen v. City
and County of Honolulu, 51 Haw. 484, 462 P.2d 1007 (1969) (parent-child negligence suits
will be permitted regardless of presence or absence of insurance coverage; immunity doctrine
will not be adopted by the Hawaii Supreme Court); Farmers Ins. Group v. Reed, 109 Idaho
849, 712 P.2d 550 (1985) (intra-family immunity actions in automobile negligence cases will
be maintained only up to limits in the automobile insurance policy; Idaho has a compulsory
insurance law); Turner v. Turner, 304 N.W.2d 786 (Iowa 1981) (abolished parental
immunity); Nocktonick v. Nocktonick, 227 Kan. 758, 611 P.2d 135 (1980) (unemancipated
minor may recover damages in an action brought against parent for personal injuries caused
by the negligence of the parent in the operation of a motor vehicle); Rigdon v. Rigdon, 465
S.W.2d 921 (Ken.1971) (abrogated doctrine except in area of parental control or parental
authority); Flagg v. Flagg, 458 A.2d 748 (Me.1983) (child permitted to sue parent for
injuries caused by negligence of parent in operating a motor vehicle); Stamboulis v.
Stamboulis, 401 Mass. 762, 519 N.E.2d 1299 (1988) (quoting Sorensen v. Sorensen, 339
N.E.2d 907, which abrogated immunity in motor vehicle tort cases only if insurance coverage
was involved); Sweeney v. Sweeney, 402 Mich. 234, 262 N.W.2d 625 (1978) (minor may
maintain lawsuit for injuries sustained as a result of ordinary negligence); Transamerica Ins.
Co. v. Royle, 202 Mont. 173, 656 P.2d 820 (1983) (in 1979 legislature mandated liability
insurance; court held that a parent is not immune from suit brought by his child under the age
of emancipation in cases involving parental negligence in the operation of a motor vehicle);
Rupert v. Stienne, 90 Nev. 397, 528 P.2d 1013 (1974) (the right of a parent to sue a child in
tort is without restriction or limitation); Briere v. Briere, 107 N.H. 432, 224 A.2d 588 (1966)
(minor could maintain action against parent for injuries sustained in automobile accident);
Foldi v. Jeffries, 93 N.J. 533, 461 A.2d 1145 (1983) (unemancipated child may sue parent
for injury resulting from negligent operation of a motor vehicle); Gelbman v. Gelbman, 245
N.E.2d 192 (1969); Carver v. Carver, 310 N.C. 669, 314 S.E.2d 739 (N.C.1984) (statute
abrogated doctrine of parental immunity in personal injury and property damage cases arising
out of parent's operation of motor vehicle); Clark v. Snapper Power Equipment, Inc., 21 Ohio
St.3d 58, 488 N.E.2d 138 (1986) (minor child's complaint in tort may not be dismissed where
the dismissal is premised on a theory that the doctrine of parental immunity is a complete bar
to the action); Winn v. Gilroy, 296 Or. 718, 681 P.2d 776 (1984) (adopted Restatement
(Second) of Torts § 895G approach and abolishes immunity except in instances where the
act is not tortious or is privileged); Elam v. Elam, 275 S.C. 132, 268 S.E.2d 109 (1980)
(abolished parental immunity doctrine); Jilani v. Jilani, 767 S.W.2d 671 (Tex.1988)
                                                                                  (continued...)

                                               8
The Restatement (Second) of Torts, § 895G, follows Wisconsin’s narrow application of the

parental immunity doctrine. Restatement § 895G states:

              (1) A parent or child is not immune from tort liability to the
              other solely by reason of that relationship. (2) Repudiation of
              general tort immunity does not establish liability for an act or
              omission that, because of the parent-child relationship, is
              otherwise privileged or is not tortious.

              The evolution of the parental immunity doctrine in West Virginia is consistent

with the national trend–after initially being applied in a broad manner, it has narrowed

considerably in recent years. The doctrine was first recognized and applied by this Court in

Securo v. Securo, 110 W.Va. 1, 156 S.E. 750 (1931). In Securo, a child who was injured in

an automobile accident sued her father, the driver, for negligence. The Court found that the

parental immunity doctrine precluded this negligence action and declared

              [t]he basis of this rule . . . lies in the very vital interest which
              society has in preserving harmony in domestic relations, and in
              not permitting families to be torn asunder by suits for damages
              by petulant, insolent, or ungrateful children against their parents
              for real or fancied grievances.

110 W.Va. at 2, 156 S.E. at 751.




       7
        (...continued)
(eradicated rule except in instances of reasonable exercise of parental authority or exercise
of parental discretion); Smith v. Kauffman, 212 Va. 181, 183 S.E.2d 190 (1971) (abolished
rule of parental immunity in motor vehicle accident cases); Jenkins v. Snohomish County
Public Utility, 105 Wash.2d 99, 713 P.2d 79 (1986) quoting Hoffman v. Tracy, 67 Wash.2d
31, 406 P.2d 323 (1965) (no parental immunity when a child is injured as a result of
negligent driving by a parent).

                                               9
              One year after Securo was decided, the Court recognized an exception to the

doctrine in Lusk v. Lusk, 113 W.Va. 17, 166 S.E. 538 (1932). The Court in Lusk declined to

apply the doctrine where a child was injured while riding on a bus driven by her father

because he was acting in his official business capacity and was covered by indemnity

insurance. The Court concluded that “[a] recovery by her is no loss to him,” and therefore

found that “[w]hen no need exists for parental immunity, the courts should not extend it as

a mere gratuity.” Lusk, 113 W.Va. at 18, 166 S.E. at 539.

              In recent years, this Court has narrowed the parental immunity doctrine each

time it has been considered. In 1976, the Court overruled Securo and held in Syllabus Point

2 of Lee, supra, that “[a]n unemancipated minor may maintain an action against his parent

for personal injuries sustained in a motor vehicle accident caused by the negligence of said

parent[.]” The Court made another exception to the doctrine in Syllabus Point 9 of Courtney

v. Courtney, 186 W.Va. 597, 413 S.E.2d 418 (1991), holding that parental immunity does not

apply where a parent intentionally or willfully causes injury or death to a child. Finally, in

Cole v. Fairchild, 198 W.Va. 736, 482 S.E.2d 913 (1996), the Court considered the

application of the parental immunity doctrine to the defense of contributory or comparative

negligence of a parent asserted in a wrongful death action. The Court concluded in Syllabus

Point 7 of Cole that “[t]he parental immunity doctrine does not prohibit the negligence of a




                                             10
parent from being asserted as a defense in an action brought by the parent for the wrongful

death of a child.”8

              With this background in mind, we proceed to examine the certified questions

before us.

                                    B. Contribution

              The first certified question we address is as follows, in a product liability action

brought for injury to a child, does the parental immunity doctrine preclude a defendant from

asserting a contribution claim against the parents of the child?9

              “Contribution is the right of one who owes a joint obligation to call upon his

fellow obligors to reimburse him if compelled to pay more than his proportionate share[.]”

Dunn v. Kanawha County Bd. of Educ., 194 W.Va. 40, 44, 459 S.E.2d 151, 155 (1995). This


       8
       The Court in Cole stated that the purpose of the parental immunity doctrine is to
preserve the
             peace and tranquility of society and families by prohibiting such
             intra-family legal battles . . . [I]t is said that the real purpose
             behind the doctrine is simply to avoid undue judicial
             interference with parental discretion. The discharge of parental
             responsibilities . . . entails countless matters of personal, private
             choice. In the absence of culpability beyond ordinary
             negligence, those choices are not subject to review.

Id., 198 W.Va. at 749, 482 S.E.2d at 926 (internal citation omitted).
       9
        This question has been reformulated pursuant to Kincaid v. Mangum, supra. The
District Court’s certified question asked “Whether the parental immunity doctrine bars
defendants from asserting their independent rights of contribution and indemnity and/or from
allocating fault against parents who were allegedly negligent.” We have reformulated the
question to focus solely on the key issue–whether the defendants may seek contribution from
the parents.

                                              11
Court first recognized the right to inchoate contribution in Haynes v. City of Nitro, 161

W.Va. 230, 240 S.E.2d 544 (1977). “In Haynes . . . we extended a right of contribution to

a tortfeasor to bring in as a third-party defendant a fellow joint tortfeasor to share by way of

contribution on the verdict recovered by the plaintiff.” Syllabus Point 5, Sydenstricker v.

Unipunch Prods., Inc., 169 W.Va. 440, 288 S.E.2d 511 (1982).10 The Court discussed the

purpose of contribution in Board of Education of McDowell County. v. Zando, Martin &

Milstead, Inc., 182 W.Va. 597, 603-04, 390 S.E.2d 796, 802-03 (1990) (“Zando”), stating:

              The fundamental purpose of inchoate contribution is to enable
              all parties who have contributed to the plaintiff’s injuries to be
              brought into one suit. Not only is judicial economy served, but
              such a procedure also furthers one of the primary goals of any
              system of justice–to avoid piecemeal litigation which cultivates
              a multiplicity of suits and often results in disparate and unjust
              verdicts. . . . Moreover, as we have already indicated, joinder of
              contribution claims serves to ensure that those who have
              contributed to the plaintiff’s damages share in that
              responsibility.

              The plaintiffs contend that the parental immunity doctrine prevents the

defendants from seeking contribution because the right to seek contribution “is derivative in

the sense that it may be brought by a joint tortfeasor on any theory of liability that could have


       10
        Prior to Haynes, “it was believed that contribution was only available after a joint
judgment against joint tortfeasors.” Howell v. Luckey, 205 W.Va. 445, 448, 518 S.E.2d 873,
876 (1999). This “statutory right” of contribution was conferred by W.Va. Code § 55-7-13
[1923], which provided:
                      Where a judgment is rendered in an action ex delicto
              against several persons jointly, and satisfaction of a judgment is
              made by any one or more of such persons, the other shall be
              liable to contribution to the same extent as if the judgment were
              upon an action ex contractu.

                                               12
been asserted by the injured plaintiff.” Syllabus Point 4, in part, Zando. Since the parental

immunity doctrine precludes the plaintiff, A.N., from bringing suit against his parents, the

plaintiffs argue that the defendants are unable to bring a contribution claim against A.N.’s

parents because there is no derivative theory of liability upon which to base this claim.

              The plaintiffs also cite Unipunch, supra, in which this Court considered a

certified question asking whether a manufacturer who had been sued by an injured plaintiff

could bring a third-party contribution action against the plaintiff’s employer. In Unipunch,

the Court held that a party who is initially immune from liability may not be joined by a joint

tortfeasor for contribution purposes unless the joint tortfeasor demonstrates an express

exception to the party’s immunity.11 In Syllabus Point 6 of Unipunch, the Court held:

                      Where the right of contribution is initially grounded in
              common liability in tort, courts have held that a joint tortfeasor
              is immune from a third-party contribution suit because he is
              initially immune from tort liability to his injured employee by
              virtue of the workmen’s compensation statutory bar of such tort
              actions.




       11
         The injured employee in Unipunch filed suit against a manufacturer for negligent
design, manufacture and distribution. The manufacturer filed a third-party complaint against
the employer, alleging that the employer had deliberately rendered the product dangerous,
and seeking compensation in either implied indemnity and/or contribution. The employer
contended that the Workmen’s Compensation Act, W.Va. Code § 23-2-6 provided it with
immunity from the suit. The Court disagreed and held that “where the Workmen’s
Compensation Act provides an express exception from immunity against suits by an
employee in a tort area, it follows that a suit grounded on this exception would enable a third
party to maintain an action in contribution.” 169 W.Va. at 449, 288 S.E.2d at 517.

                                              13
The plaintiffs state that they are immune from liability under the parental immunity doctrine

and argue that there is no exception to parental immunity that would allow the defendants

to pursue a contribution claim.

              The plaintiffs next assert that courts in other jurisdictions have considered this

question and held that the parental immunity doctrine prohibits contribution claims against

a child’s parents. In Crotta v. Home Depot, Inc., 249 Conn. 634, 732 A.2d 767 (1999), the

United States District Court of Connecticut submitted a certified question to the Connecticut

Supreme Court asking whether the parental immunity doctrine precludes the parent of a

minor child from being joined as a third-party defendant for purposes of contribution. The

Connecticut Supreme Court held that a third-party defendant could not bring a contribution

claim against a parent and offered the following explanation for its holding:

                       “As a general proposition, a tortfeasor compelled to
              discharge a liability for a tort cannot recover contribution from
              a joint tortfeasor whose participation therein gave the injured
              person no cause of action against him, since the element of
              common liability of both tortfeasors to the injured person,
              essential to the right of contribution, is lacking in such cases.”
              25 A.L.R.4th 1123, Joint Tortfeasor Contribution-Family §§
              2[a] (1983); 18 Am.Jur.2d, supra § 65. “The contribution
              defendant must be a tortfeasor, and originally liable to the
              plaintiff. If there was never any such liability, as where the
              contribution defendant has the defense of family immunity
              . . . then there is no liability for contribution.” W. Prosser &
              W. Keeton, Torts (5th Ed. 1984) § 50, pp. 339-40; 18 C.J.S.,
              Contribution § 29 (1990) (recognizing that third party may not
              recover contribution against parent where child has no cause of
              action against parent for negligent supervision). Again, it is
              undisputed that, in the present case, the doctrine of parental
              immunity bars Crotta from being held liable to the plaintiff.


                                              14
               Consequently, the defendants have no basis upon which to assert
               a common-law claim for contribution against Crotta[.]

Crotta, 249 Conn. at 640-41, 732 A.2d at 771-72. (Emphasis added). In addition to

Connecticut, the plaintiffs assert that a number of other courts outside of our jurisdiction have

held that the parental immunity doctrine precludes the parents of a minor child from being

joined as a third-party defendant for purposes of contribution.12

               In opposition to the plaintiffs’ arguments, the defendants contend that the

parental immunity doctrine should not preclude them from asserting a contribution claim

against A.N.’s parents and offer the following arguments in support of their position: (1)

contribution is an equitable doctrine that demands that all parties responsible for a plaintiff’s

injury share in the plaintiff’s damages, (2) contribution is an independent right vested in a

defendant, rather than a derivative claim that must be based on a plaintiff’s theory of liability,

and (3) applying the parental immunity to bar the defendants from asserting a contribution

claim will not achieve the goals of the parental immunity doctrine.13


       12
         See Jacobsen v. Schroder, 117 Idaho 442, 788 P.2d 843 (1990) (parental immunity
bars third party tortfeasors from seeking contribution); Lee v. Mowett Sales Co., 316 N.C.
489, 342 S.E.2d 882 (1986) (parental immunity bars suit by child against parent and also
third party complaint against parent for contribution); and Paige v. Bing Constr. Co., 61
Mich.App. 480, 233 N.W.2d 46 (1975) (no contribution because parental authority exception
to parental immunity doctrine barred defendant’s third party complaint against father).
       13
         The defendants also argue that courts in other jurisdictions have ruled that the
parental immunity doctrine does not prevent a defendant from seeking contribution from a
minor child’s parent. While the defendants acknowledge that the Connecticut Supreme
Court’s ruling in Crotta supports the plaintiffs’ position, the defendants cite the following
cases that support their position: Hartigan v. Beery, 470 N.E.2d 571 (Ill. App.Ct. 1984);
                                                                                (continued...)

                                               15
              The defendants argue that contribution is a doctrine grounded in equity. The

defendants cite Puller v. Puller, 380 Pa. 219, 221, 110 A.2d 175, 177 (1955), in which the

court stated that “contribution is not a recovery for the tort but the enforcement of an

equitable duty to share in the liability for the wrong done.” Further, the defendants state that

permitting contribution will ensure that those who have contributed to the plaintiff’s damages

share in that responsibility. Therefore it would be inequitable to require a defendant to be

wholly responsible for a child’s damages merely because the joint tortfeasor happened to be

the child’s parent.

              The defendants next argue that contribution is an independent right afforded

to them under Rule 14(a) of the West Virginia Rules of Civil Procedure which allows a

defendant to “bring in as a third party-party defendant one who is or may be liable to him for

all or part of the plaintiff’s claim[.]” Bradley v. Appalachian Power Co., 163 W.Va. 332,

344, 256 S.E.2d 879, 886 (1979).         The defendants state that this Court referred to

contribution as a “right” in Grant Thornton, LLP v. Kutak Rock, LLP, 228 W.Va. 226, 236,

719 S.E.2d 394, 404 (2011) (“The touchstone of th[is] right of inchoate contribution[.]”).

Because contribution is an independent right, the defendants contend that the plaintiffs’

reliance on Unipunch and Zando is misplaced. The defendants state that “the reference to




       13
         (...continued)
Chinos Villas, Inc. v. Bermudez, 448 So.2d 1179 (Fla. App.3d Dist. 1984); and Bishop v.
Nielsen, 632 P.2d 864 (Utah 1981).

                                              16
the derivative nature of contribution” in Unipunch should not prevail over their independent

“right” to assert a contribution claim.

              Finally, the defendants argue that this Court should not apply the parental

immunity doctrine to prevent them from asserting a contribution claim against A.N.’s parents

because doing so will not achieve the two purposes behind the doctrine–avoiding undue

judicial interference with parental discretion and preserving family harmony. Cole, 198

W.Va. at 749, 482 S.E.2d at 926. The defendants cite this Court’s statement in Lusk, supra,

as support for their position: “When no need exists for parental immunity, the courts should

not extend it as a mere gratuity.” Lusk, 113 W.Va. at 18, 166 S.E. at 539.

              After considering both parties’ arguments, we are guided by the decisions of

this Court in Unipunch and Zando. While a defendant has a right of contribution against a

joint tortfeasor, Unipunch and Zando clearly establish that the right “is derivative in the sense

that it may be brought by a joint tortfeasor on any theory of liability that could have been

asserted by the injured plaintiff.” Syllabus Point 4, Zando.

              In the instant case, the defendants’ right of contribution is derivative of the

rights of the injured plaintiff, A.N. The parental immunity doctrine remains in effect in West

Virginia and it prohibits a child from bringing a civil action against his or her parents. See

Lee, supra. Because the parental immunity doctrine prevents A.N. from asserting a claim

against his parents, the defendants are likewise unable to pursue a contribution claim against

A.N.’s parents. This ruling is consistent with the statement from W. Prosser & W. Keeton,

Torts (5th Ed. 1984) § 50, cited in Crotta, supra, that “[t]he contribution defendant must be

                                               17
a tortfeasor, and originally liable to the plaintiff. If there was never any such liability, as

where the contribution defendant has the defense of family immunity . . . then there is no

liability for contribution.”

               Based on the foregoing, we answer this question in the affirmative and hold

that in a product liability action brought for injury to a child, the parental immunity doctrine

precludes a defendant from asserting a contribution claim against the parents of the child.



                                C. Comparative Negligence

               The second certified question we address is as follows, in a product liability

action brought for injury to a child, may an allegedly negligent parent be included as a third-

party defendant for the allocation of fault even though the parental immunity doctrine bars

a defendant from asserting a contribution claim against the parents of the child?14

               Under the comparative negligence doctrine, a plaintiff is not entitled to recover

from a negligent tortfeasor if the plaintiff’s own contributory negligence equals or exceeds


       14
         This question has been reformulated pursuant to Kincaid v. Mangum, supra. The
District Court’s certified question asked “Whether allegedly negligent parents should be
included as a nonparty for the allocation of fault, even though parental immunity would still
bar recovery of the damages allocated to the parent.” Because the District Court converted
the defendants’ counterclaims against A.N.’s parents into third-party complaints, we refer
to the parents’ as third-party defendants rather than “nonparties.”
        We note that in its order of certification, the District Court cited Paris ex rel. Paris
v. Dance, 194 P.3d 404 (Colo. App. 2008), in which a Colorado court concluded that a parent
could be designated as a nonparty for the allocation of fault, even though the parental
immunity doctrine would still bar recovery of damages allocated to the parent. The District
Court concluded that this approach “could be relevant” to this Court’s consideration of this
issue.

                                              18
the combined negligence of the other parties involved in the accident. As we stated in

Syllabus Point 3 of Bradley v. Appalachian Power Co., supra,

              A party is not barred from recovering damages in a tort action
              so long as his negligence or fault does not equal or exceed the
              combined negligence or fault of the parties involved in the
              accident.

              The plaintiffs contend that the parents’ alleged comparative negligence should

not be permitted to be considered by a jury because the defendants are only permitted to

compare their degree of fault with parties who have asserted a viable claim for contribution.

Because the parents are shielded from contribution under the parental immunity doctrine, the

plaintiffs assert that the parents’ alleged comparative negligence should not be considered.

              Further, the plaintiffs state that their position is consistent with W.Va. Code §

55-7-24(a)(1) [2005], addressing joint and several liability, which states

               [i]n any cause of action involving the tortious conduct of more
              than one defendant, the trial court shall: (1) instruct the jury to
              determine . . . the proportionate fault of each of the parties in
              the litigation at the time the verdict is rendered.

The plaintiffs argue that because the parents will not be “parties in the litigation” at the time

the verdict is rendered due to their parental immunity, the jury should not be instructed to

determine their degree of fault.

              By contrast, the defendants assert that a plaintiff’s comparative fault must be

ascertained in relation to all parties whose negligence contributed to the accident. The

defendants state that this Court’s holding in Bowman v. Barnes, 168 W.Va. 111, 282 S.E.2d

613 (1981), controls the issue. We agree.

                                               19
               The Court in Bowman considered the width of our comparative negligence rule

and held in Syllabus Point 3 that

                      [i]n order to obtain a proper assessment of the total
              amount of the plaintiff’s contributory negligence under our
              comparative negligence rule, it must be ascertained in relation
              to all parties whose negligence contributed to the accident and
              not merely those defendants involved in the litigation.

(Emphasis added). The Court in Bowman directly addressed whether the negligence of an

alleged tortfeasor with immunity from suit could be considered:

              Undoubtedly, there may be situations where the absent party
              cannot be brought into the suit, either because the party is
              beyond the court’s jurisdiction, or has the benefit of some
              immunity. . . . In these situations, it would appear to be unfair to
              preclude a consideration of the plaintiff’s contributory
              negligence in regard to this absent party . . . the plaintiff should
              not be able to diminish his own contributory negligence by the
              inability to bring a particular party into the litigation.

168 W.Va. at 123, 282 S.E.2d at 620. See also Cline v. White, 183 W.Va. 43, 45, 393 S.E.2d

923, 925 (1990) (“[D]efendants are entitled to have a jury consider the fault of all the joint

tortfeasors involved in the injury.”).

              Based on this Court’s holding in Bowman, we reject the plaintiffs’ argument

that the defendants “are only permitted to compare their relative degrees of fault among those

parties against which they have a viable claim for contribution.” The Court’s holding in

Bowman was not restricted to parties seeking contribution. Similarly, we find that W.Va.

Code § 55-7-24(a)(1) requires consideration of “the proportionate fault of each of the parties

in the litigation at the time the verdict is rendered.” W.Va. Code § 55-7-24(a)(1) does not


                                              20
prevent the alleged negligence of A.N.’s parents, as third-party defendants, from being

considered.

              Finally, we note that this Court has previously determined that the parental

immunity doctrine does not prohibit the negligence of a parent from being asserted as a

defense. The Court considered the issue in Cole v. Fairchild, supra, and concluded in

Syllabus Point 7 that “[t]he parental immunity doctrine does not prohibit the negligence of

a parent from being asserted as a defense in an action brought by the parent for the wrongful

death of a child.” While the policy implications underlying the parental immunity doctrine

in a wrongful death case are different than those in a case involving an injury to a child, we

nevertheless find the Court’s rationale in Cole to be applicable to the instant matter:

              Based upon equitable principles of fairness, as well as concepts
              underlying the doctrine of comparative negligence, we believe
              any parental negligence which proximately causes the death of
              the parent’s child should be considered when determining the
              liability of a third party.

Id., 198 W.Va. at 749-50, 482 S.E.2d at 926-27.

              Based upon equitable principles of fairness, the concepts underlying the

doctrine of comparative negligence, and this Court’s ruling in Bowman and Cole, we answer

this certified question in the affirmative. We hold that in a product liability action brought

for injury to a child, an allegedly negligent parent may be included as a third-party defendant

for the allocation of fault even though the parental immunity doctrine bars a defendant from

asserting a contribution claim against the parents of the child. Put in the context of the

comparative negligence doctrine in Bradley v. Appalachian Power Co., supra, the plaintiff,

                                              21
A.N., may not recover damages if his own contributory negligence equals or exceeds the

combined negligence of the defendants and the third-party defendants, A.N.’s parents, in this

case.



                                  D. Abnormal Product Use

                The next certified question we address is as follows, in a product liability

action brought for injury to a child, does the parental immunity doctrine preclude a defendant

from asserting the defense of abnormal product use by the child’s parents to establish the

negligence or fault of the parents?15

                This Court adopted the defense of abnormal product use in Morningstar v.

Black and Decker Mfg. Co., 162 W.Va. 857, 889, 253 S.E.2d 666, 683 (1979). Syllabus

Point 4 of Morningstar set forth the following general test to determine whether a product

is defective:

                        In this jurisdiction the general test for establishing strict
                liability in tort is whether the involved product is defective in
                the sense that it is not reasonably safe for its intended use. The
                standard of reasonable safeness is determined not by the
                particular manufacturer, but by what a reasonably prudent



        15
         This question has been reformulated pursuant to Kincaid v. Mangum, supra. The
District Court’s certified question asked “Whether the parental immunity doctrine precludes
defendants from asserting well-established product liability defenses of product misuse and
superseding intervening causation, in order to demonstrate lack of defect and foreseeability
in a child’s product liability action?” Because we find that two distinct issues are raised by
this question–the defense of abnormal product use and the defense of intervening
causation–we have reformulated the District Court’s question into two separate questions.

                                                 22
              manufacturer’s standards should have been at the time the
              product was made.

The Court defined the intended use of a product as “all those uses a reasonably prudent

person might make of the product, having in mind its characteristics, warnings and labels.”

Id. 162 W.Va. at 889, 253 S.E.2d at 683. We noted in Morningstar that “[t]he issue of

appropriate use of the product has as a counterpart the defense of abnormal use, which may

at times carry the companion defenses of contributory negligence and assumption of risk on

the part of the user.” Id. The Court in Morningstar relied on Dean Prosser’s statement that

              [t]he seller is entitled to expect a normal use of his product, and
              is not liable when it is put to an abnormal one. This too has
              been carried over to strict liability. On either basis, the seller is
              not liable when the product is materially altered before use, or
              is combined with another product which makes it dangerous, or
              is mishandled, or used in some unusual and unforeseeable way,
              as when a wall decorating compound is stirred with the finger,
              or nail polish is set on fire, or an obstinate lady insists on
              wearing shoes two sizes too small. The seller is entitled to have
              his due warnings and instructions followed; and when they are
              disregarded, and injury results, he is not liable.

Id. (Emphasis added).

              The plaintiffs ask that we answer this certified question in the affirmative and

preclude the defendants from asserting the defense of abnormal product use by A.N.’s

parents. The plaintiffs argue that “any abnormal use defense could only . . . be directed at

A.N., and not a non-party such as the parents.” The plaintiffs state that A.N. was the only

one using the product at the time of the accident, therefore “the parents’ prior use, misuse,

or abnormal use of the fire gel product has no bearing on the question” of whether A.N. used


                                               23
the product in a manner that a reasonably prudent person might make of the product in

determining whether the product was safe for its intended use.

               We agree with the plaintiffs that in determining whether the product was

defective, i.e., whether it was reasonably safe for its intended use, it is the child’s use of the

product at the time of the injury that determines whether the product was reasonably safe for

its “intended use.” However, the defendants state that the parents’ abnormal use occurred

when they stored the bottle near the fireplace and left it within reach of a seven-year-old

child.

               We find that the parental immunity doctrine does not preclude the defendants

from asserting the defense of abnormal product use by A.N.’s parents to establish their

negligence or fault. This Court has held that the defense of abnormal use may carry with it

the companion defense of contributory negligence. See Morningstar, 162 W.Va. at 889, 253

S.E.2d at 683. Similarly, in Syllabus Point 5 of Star Furniture Co. v. Pulaski Furniture Co.,

171 W.Va. 79, 297 S.E.2d 854 (1982), this Court held that “[c]omparative negligence is

available as an affirmative defense in a cause of action founded on strict liability so long as

the complained of conduct is not a failure to discover a defect or to guard against it.” This

Court has never extended the parental immunity doctrine to prevent a defendant from

asserting a defense in a product liability action, and we decline to do so in this case.

               Based on all of the above, we answer this certified question in the negative and

hold that in a product liability action brought for injury to a child, the parental immunity



                                               24
doctrine does not preclude a defendant from asserting the defense of abnormal product use

by the child’s parents to establish the negligence or fault of the parents.



                                   E. Intervening Cause

               The final reformulated certified question we consider is as follows, in a product

liability action brought for injury to a child, does the parental immunity doctrine preclude a

defendant from asserting, as a defense, that the conduct of a parent was an intervening cause

of the child’s injuries?16

               This Court discussed intervening cause in Sydenstricker v. Mohan, 217 W.Va.

552, 618 S.E.2d 561 (2005), stating:

               Our law recognizes that an intervening cause, in order to relieve
               a person charged with negligence in connection with an injury,
               must be a negligent act, or omission, which constitutes a new
               effective cause and operates independently of any other act,
               making it and it only, the proximate cause of the injury.

Id. at 559, 618 S.E.2d at 568 (internal citation omitted). The Court in Sydenstricker observed

that an intervening cause “can be established only through the introduction of evidence by

a defendant that shows the negligence of another party or a nonparty.” Id. Although it is

recognized that a negligent defendant may be saved from liability by an intervening cause,

“such a cause only arises when the negligence of a party other than the defendant intervenes

and becomes the only proximate cause of the injury.” Costoplos v. Piedmont Aviation, Inc.,



       16
         This question has been reformulated. See footnote 15, supra.

                                              25
184 W.Va. 72, 74, 399 S.E.2d 654, 656 (1990). The intervening cause must be a negligent

act or omission which constitutes a new effective cause and which operates independently

of any other act, making it, and only it, the cause of the injury. Id.

              The plaintiffs concede that the parents’ conduct could be relevant to

demonstrate intervening causation.17 Similarly, the defendants assert that the parental

immunity doctrine does not preclude them from offering evidence that the parents’ conduct

was an intervening cause of A.N.’s injuries.

              Based on the foregoing, we answer this question in the negative and hold that

in a product liability action brought for injury to a child, the parental immunity doctrine does

not preclude a defendant from asserting, as a defense, that the conduct of a parent was an

intervening cause of the child’s injuries.



                                       IV. Conclusion

              To summarize, we answer the reformulated certified questions as follows:

              1. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting a contribution claim against the

parents of the child? Answer: Yes.



       17
        The plaintiffs’ brief addresses intervening cause twice, stating, (1) “West Virginia
law recognizes that evidence concerning the conduct of non-parties is neither relevant nor
admissible outside of the rare case in which such evidence is relevant to show intervening,
superseding cause,” and (2) “the parents’ conduct in this litigation is not relevant or
admissible unless offered to demonstrate supervening or intervening causation[.]”

                                               26
              2. In a product liability action brought for injury to a child, may an allegedly

negligent parent be included as a third-party defendant for the allocation of fault even though

the parental immunity doctrine bars a defendant from asserting a contribution claim against

the parents of the child? Answer: Yes.

              3. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting the defense of abnormal product use

by the child’s parents to establish the negligence or fault of the parents? Answer: No.

              4. In a product liability action brought for injury to a child, does the parental

immunity doctrine preclude a defendant from asserting, as a defense, that the conduct of a

parent was an intervening cause of the child’s injuries? Answer: No.



                                                              Certified Questions Answered.




                                              27
