Royce Young v. Pollock Engineering ( 2005 )


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  •                      United States Court of Appeals
    FOR THE EIGHTH CIRCUIT
    ___________
    No. 04-3428
    ___________
    Royce Young,                           *
    *
    Appellant,                 *
    * Appeal from the United States
    v.                               * District Court for the
    * District of Minnesota.
    Pollock Engineering Group, Inc.;       *
    Pollock Research and Design, Inc.;     *
    Computech, a sole proprietorship;      *
    and Lewis L. Deland, an individual,    *
    *
    Appellees.                 *
    ___________
    Submitted: May 9, 2005
    Filed: November 15, 2005
    ___________
    Before BENTON, LAY, and FAGG, Circuit Judges.
    ___________
    BENTON, Circuit Judge.
    Royce Dale Young was injured while working as a "die man" at Alexandria
    Extrusion Company (AEC). A die man loads dies into a die changer, here
    manufactured by Pollock Engineering Group, Inc. A co-employee operates the die
    changer from a control panel, which was provided by Computech about three years
    after the installation of the die changer. Once activated, the die changer inserts dies
    into an extrusion press.
    On the night of the injury, Young was loading dies into the die changer while
    Robbie Joe Betterman operated the control panel. Not intending any harm, Betterman
    activated the die changer, severely injuring Young's left hand. AEC later installed a
    "barrier guard" or barrier fence around the die changer.1
    Invoking diversity jurisdiction, Young sued Pollock for negligence and strict
    liability in defectively designing the die changer. Young also sued for failure to warn
    of the dangers associated with the product. The district court granted summary
    judgment to Pollock, Computech, and Lewis L. Deland on all counts. On appeal,
    Young attacks the judgment only as to Pollock. This court affirms the summary
    judgment on the failure-to-warn claim, but reverses as to the defective-design claims.
    I.
    This court reviews de novo a grant of summary judgment, applying the same
    standard as the district court. See Essco Geometric v. Harvard Indus., 
    46 F.3d 718
    ,
    729 (8th Cir. 1995). Summary judgment is affirmed where there is no genuine issue
    of material fact, and judgment is appropriate as a matter of law. See 
    id., citing Fed.
    R. Civ. P. 56(c). This court construes the facts in favor of the non-moving party. See
    RSBI Aerospace, Inc. v. Affiliated FM Ins. Co., 
    49 F.3d 399
    , 401 (8th Cir. 1995),
    citing Anderson v. Liberty Lobby, Inc., 
    477 U.S. 242
    , 255 (1986).
    1
    The Appellant's Brief violates FED. R. APP. P. 28(a)(7), as it does not cite the
    Appendix, and rarely references the record. Although this court is not required to
    search the record, the violations in this case do not prevent review of the arguments
    presented. See Lucas v. Lucas, 
    946 F.2d 1318
    , 1325 (8th Cir. 1991).
    -2-
    A plaintiff asserting defective design under Minnesota law must establish that
    the defendant's product "was in a defective condition unreasonably dangerous for its
    intended use." See Bilotta v. Kelley Co., 
    346 N.W.2d 616
    , 623 n.3 (Minn. 1984) (en
    banc), citing Lee v. Crookston Coca-Cola Bottling Co., 
    188 N.W.2d 426
    , 432 (Minn.
    1971). To determine whether there is enough evidence to submit the claim to a jury,
    the court must balance "the likelihood of harm, and the gravity of harm if it happens,
    against the burden of the precaution which would be effective to avoid the harm."
    See 
    Bilotta, 346 N.W.2d at 621
    , quoting Holm v. Sponco, 
    324 N.W.2d 207
    , 212
    (Minn. 1982) (en banc). See generally Trost v. Trek Bicycle Corp., 
    162 F.3d 1004
    ,
    1009 (8th Cir. 1998) (summarizing Minnesota law).
    An important factor in this balancing test is the availability of a feasible, safer
    alternative design. See Kallio v. Ford Motor Co., 
    407 N.W.2d 92
    , 96 (Minn. 1987)
    (en banc). Only in rare cases do defective-design claims succeed without showing
    a safer design. See 
    id. at 97
    n.8. "Conceivably, rare cases may exist where the
    product may be judged unreasonably dangerous because it should be removed from
    the market rather than be redesigned." 
    Id. In Minnesota,
    "successful plaintiffs,
    almost without fail, introduce evidence of an alternative safer design." 
    Id. at 95
    n.6
    (citing cases).
    Young relies on the affidavits of two expert witnesses, both mechanical
    engineers. Tarald O. Kvalseth, Ph.D., states that a number of feasible, safer designs
    could have prevented Young's injuries. As an example, Pollock could have installed
    a barrier guard like the one installed after Young's injuries. Dr. Kvalseth states that
    the barrier guard could be an effective safety device when used with an "interlock
    switch" that disables the die changer while the gate to the barrier guard is open. J.
    Kenneth Blundell, Ph.D., agrees that an alternative design could have prevented
    Young's injuries. Like Dr. Kvalseth, he proposes a barrier guard with an interlock
    switch.
    -3-
    Although acknowledging the experts' opinions, the district court granted
    summary judgment on the defective-design claims. The district court holds:
    [Young] does not contest that his proposed safety enhancements are
    external work area modifications available for purchase "off the shelf,"
    rather than mechanisms incorporated into the design of the die changer
    or "permanently attached to" the product. Huber v. Niagra Mach. &
    Tool Works, 
    430 N.W.2d 465
    , 466 (Minn. 1988) (en banc). This fact
    readily distinguishes the instant case from that relied on by [Young], in
    which the court found a manufacturer could be liable for defective
    design based upon exclusion of an integral safety component from some
    of its models. 
    Bilotta, 346 N.W.2d at 622
    , 624-25. Young does not
    suggest or reference an alternative die changer design that includes a
    safety device, and cites no authority for his proposition that the failure
    to recommend external safeguards made by different manufacturers can
    constitute a defect in design. Accordingly, his claim is appropriately
    one of failure to warn and it will be addressed as such. Summary
    judgment for Pollock is thus warranted on the issue of defective design.
    The district court's reasoning is erroneous in two respects. First, Young did not
    concede that his proposed modifications should not have been incorporated into the
    design of the die changer. In written suggestions Young argued: "Plaintiff's experts
    have identified other feasible safety devices that could have been used to safeguard
    the Die Changer, and which should have been incorporated by Pollock in its original
    design of the product." (emphasis added). Young restated his position during oral
    argument in the district court.
    Young's position is supported by the affidavits of his expert witnesses, who
    advocate alternative designs of the die changer itself. In the same sentence where Dr.
    Kvalseth says that the proposed safety modifications are available "off the shelf," he
    also states that Pollock should have incorporated them into the die-changer design.
    Dr. Blundell agrees in his affidavit and attached report.
    -4-
    Pollock counters that during his deposition, Dr. Kvalseth agreed: he was not
    proposing modifications to the functioning or configuration of the "die slide itself";
    and, his proposed modifications were not "physically attached" to the die slide.
    However, Dr. Kvalseth later said in his deposition that industry standards do not
    permit a manufacturer to "design an extrusion press and just leave out guards." Dr.
    Kvalseth's deposition, interpreted in Young's favor, says that the die changer itself
    was unreasonably dangerous.
    Dr. Blundell's deposition, interpreted in Young's favor, is to the same effect.
    Dr. Blundell, after opining that the manufacturer should provide safeguards, testified
    that Pollock should have examined the die changer for pinch-point hazards and
    identified the lack of safeguards.
    Pollock argues that the experts' testimony is inadmissible because they failed
    to take measurements to determine the feasibility of the safety modifications they
    propose. Testimony may be excluded if an expert fails to explain how a proposed
    safety modification would protect the machine's operators without compromising the
    machine's utility. See Unrein v. Timesavers, Inc., 
    394 F.3d 1008
    , 1012 (8th Cir.
    2005) (holding that the district court properly excluded Dr. Kvalseth's testimony
    regarding an industrial sander). However, in this case the experts did not need to
    conduct a detailed feasibility study of the barrier guard because AEC had installed the
    barrier guard and used it successfully with the die changer. Both experts explained
    that the barrier guard—used with a simple switch to cut the power to the die changer
    while the gate of the barrier guard is open—would be an effective safety device. In
    sum, Young presented admissible evidence supporting his allegation that the die
    changer itself was defective and unreasonably dangerous. See 
    Anderson, 477 U.S. at 256
    .
    -5-
    Second, the district court erroneously concluded that Minnesota law recognizes
    a distinction between external work area modifications and integral safeguards, in
    design defect cases. For that conclusion, the district court cites Huber, which was not
    a defective design case. Rather, it held that the manufacturer of a component foot
    switch with a "permanently attached" safety device did not have the duty to warn
    users that the safety device should not be removed. See 
    Huber, 430 N.W.2d at 466
    .
    The closest Minnesota authority is Harmon Contract Glazing, Inc. v.
    Libby-Owens-Ford Co., 
    493 N.W.2d 146
    , 149 (Minn. Ct. App. 1992), which held
    that the plaintiff could not recover for defective design of a shipping brace that
    secured glass panes during transit because the brace was not an "integral part of the
    product itself." 
    Id. Unlike the
    brace in Harmon, the barrier guard Young proposes
    would have been integrated into the product during its normal use. See Cerepak v.
    Revlon, Inc., 
    200 N.W.2d 33
    (Minn. 1972) (deodorant bottle); Holkestad v.
    Coca-Cola Bottling Co. of Minn., Inc., 
    180 N.W.2d 860
    (Minn. 1970) (en banc)
    (soft-drink bottle).
    Other than these cases, the distinction – "external" versus "integral" or
    "internal" – does not appear in the Minnesota cases. In deciding whether summary
    judgment is appropriate as a matter of law, this court therefore follows the leading
    case, Bilotta, where the Minnesota Supreme Court states that allowing manufacturers
    to sell products without adequate safety devices would "permit an entire industry to
    market unreasonably dangerous 'stripped down' devices." 
    Bilotta, 346 N.W.2d at 624
    . The district court's holding – that Pollock could be liable only for modifications
    that would have been permanently attached to the die changer – "would circumvent
    the general duty of the manufacturer to provide a reasonably safe design for its
    products." See 
    Id. at 624-625.
    -6-
    In footnote three of its order, the district court states that its conclusion "is
    bolstered by the American National Standards Institute's assignment to the employer
    of the obligation to provide 'adequate guards, awareness devices, presence-sensing
    devices, and/or appropriate controls to provide proper protection to operating
    personnel.,'" quoting American National Standard for Machine Tools - Horizontal
    Hydraulic Extrusion Presses - Safety Requirements for Construction, Care, and
    Use, B11.17 § 5.1 (1982) (emphasis in original court order). The district court
    reasoned that the manufacturer does not have to include such safety devices in the
    product design. This reasoning is contrary to Minnesota law. Although the employer
    is generally responsible for ensuring worker safety, "a manufacturer may not delegate
    its duty to design a reasonably safe product." See 
    Bilotta, 346 N.W.2d at 624
    ; Gorath
    v. Rockwell Int'l, Inc., 
    441 N.W.2d 128
    , 133 (Minn. Ct. App. 1989).
    Further – to the extent they are relevant – the district court reads the ANSI
    standards too narrowly. True, under section 5 of the standards, employers are
    responsible to provide certain safeguards. See American National Standard B11.17
    § 5.1. Equally relevant is section 3, the ANSI standard entitled "Construction and
    Modification." 
    Id. § 3.
    In contrast to section 5, section 3 describes the responsibility
    of extrusion press manufacturers. The explanatory notes to section 3 identify certain
    hazards associated with moving parts, including "pinch points between moving and
    stationary press components, such as . . . the areas where die carriers . . . are shifted
    into or out of the press." 
    Id. § E3.2.1.
    The explanatory notes to section 3 state: "For
    those areas requiring access for normal operation, awareness devices, presence
    sensing devices, interlocked guards, or two-hand controls are some of the safeguards
    that can be used to satisfy the requirements of Section 3." 
    Id. As Dr.
    Blundell
    testified, the ANSI standards make both the employer and the manufacturer
    responsible for safety. In sum, the ANSI standards do not bolster the district court's
    conclusion that the employer alone was responsible to provide the safeguards Young's
    experts proposed.
    -7-
    This court also rejects Pollock's related argument that OSHA regulations
    relieve it of liability for designing a defective product. The regulations do establish
    safety requirements for employers whose employees use mechanical power presses.
    See 29 C.F.R. § 1910.217. However, OSHA regulations generally "pertain only to
    employers' conduct," and do not purport to define the obligations of manufacturers.
    See Minichello v. U.S. Indus., Inc., 
    756 F.2d 26
    , 29 (6th Cir. 1985), citing
    McKinnon v. Skil Corp., 
    638 F.2d 270
    , 275 (1st Cir. 1981).
    In Minnesota, the jury ultimately decides whether the die changer was
    unreasonably dangerous. See 4A Minnesota Practice, CIVJIG 75.20 (4th ed. 1999).
    This court concludes that Young has presented sufficient evidence of a defective
    design to survive summary judgment. See Bastow v. General Motors Corp., 
    844 F.2d 506
    , 510 (8th Cir. 1988) ("[I]t is not for us to decide whether defendants' or plaintiff's
    evidence is more persuasive. It is for the jury.")
    II.
    The district court concluded that Pollock had no duty to warn Young about the
    potential hazards associated with the die changer because such hazards were open and
    obvious. The court correctly noted that Young conceded that the pinch-point hazard
    was obvious and that he had been trained in proper use of the die changer.
    Young counters that the danger Pollock should have brought to his attention
    was not the pinch point, but the possibility that the die changer could be unexpectedly
    activated. However, Young conceded in his deposition that he did not know of any
    warnings Pollock could have given that would have prevented the accident. The
    district court correctly concluded that Young was aware of the potential hazards and
    that Pollock had no duty to warn him. See Dahlbeck v. DICO Co., 
    355 N.W.2d 157
    ,
    -8-
    163 (Minn. Ct. App. 1984) ("[A] manufacturer has no duty to warn when the dangers
    of a product are within the professional knowledge of the user."), quoting Strong v.
    E.I. DuPont de Nemours Co., 
    667 F.2d 682
    , 687 (8th Cir. 1981).2
    III.
    The judgment as to the failure-to-warn claim is affirmed. The judgment is
    reversed as to Young's claims for defective design, and the case remanded.
    LAY, Circuit Judge, concurring and dissenting.
    I dissent from the majority’s opinion that Pollock maintained no duty to warn
    Young of dangers associated with the unexpected activation of the die changer. In
    doing so, I concur with the majority opinion that the district court erred by dismissing
    Young’s defective design claim under Minnesota law.
    2
    For the purpose of the claims for defective design discussed in Part I, the
    obviousness of the danger created by the product is not a complete bar to recovery,
    but may be considered in the balancing test and may also be relevant to whether the
    plaintiff exercised reasonable care in using the product. See 
    Holm, 324 N.W.2d at 211-213
    , rejecting Halvorson v. American Hoist & Derrick Co., 
    240 N.W.2d 303
    ,
    305 (Minn. 1976).
    -9-
    FAILURE TO WARN
    To prevail against a manufacturer on a failure to warn claim, a plaintiff must
    prove: (1) that the manufacturer failed to warn of a foreseeable danger associated
    with the use of its product; and (2) causation. Germann v. F.L. Smithe Mach. Co.,
    
    395 N.W.2d 922
    , 924 (Minn. 1986); Drager by Gutzman v. Aluminum Indus. Corp.,
    
    495 N.W.2d 879
    , 888 (Minn. Ct. App. 1993). It is a question of law whether the
    danger resulting from the alleged failure to warn was reasonably foreseeable.
    
    Germann, 395 N.W.2d at 924
    . If the connection between the event causing the
    damage and the failure to act is too remote to impose liability as a matter of public
    policy, then the manufacturer maintains no duty to inform of the alleged danger. 
    Id. Similarly, if
    the danger alleged is “obvious to anyone using the product,” then no duty
    to warn arises. Mix v. MTD Prods., Inc., 
    393 N.W.2d 18
    , 19 (Minn. Ct. App. 1986).
    When assessing the obviousness of the risk of harm, we must determine whether the
    plaintiff was aware of the specific danger posed by the device. See Indep. Sch. Dist.
    No. 14 v. AMPRO Corp., 
    361 N.W.2d 138
    , 143 (Minn. Ct. App. 1985) (stating that
    a duty to warn exists where the danger involved is “different, more serious, and more
    unexpected” than an obvious risk).
    In this case, the facts mandate the conclusion that the relationship between
    Young’s injury and Pollock’s failure to warn that the die changer might be
    unexpectedly activated is not too remote to impose liability. Absent a warning, it is
    foreseeable that Young, as a line employee responsible for the regular operation and
    replacement of the die changer, might, in a moment of diversion, keep his hand near,
    next to, or inside the die changer after its deactivation under the belief that the
    changer was properly turned off. Moreover, there is no record evidence to support
    the conclusion that the danger of unexpected activation was obvious, or that Young
    knew of the specific threat that the die changer could be unexpectedly activated.
    -10-
    The district court’s reliance on 29 C.F.R. § 1910.217(c)(1)(i),3 which places the
    burden on the employer to provide and insure the proper usage of “point of operation
    guards” and “point of operation devices” to relieve Pollock of its duty to warn that
    the die changer could be unexpectedly activated, is misplaced. In its analysis, the
    district court incorrectly concluded that Pollock’s failure to warn of the specific
    danger of unexpected activation implicates the “external safety devices and controls”
    referenced in § 1910.217(c)(1)(i). Young v. Pollock Eng’g, No. 02-4377, 2004 U.S.
    Dist. LEXIS 14378, at *12 (D. Minn. July 28, 2004). Under § 1910.217(c)(1)(i),4 the
    duty to safeguard points of operation through the use of guards and devices is the
    responsibility of the employer. 
    Id. Point of
    operation guards, for their part, “consist of barriers erected to prevent
    an operator from placing any part of his body in the danger zone of the press.” Huber
    v. Niagara Mach. & Tool Works, 
    430 N.W.2d 465
    , 468 (Minn. 1988) (citing 29
    C.F.R. § 1910.217(c)(1)(i)). By contrast, “[p]oint of operation ‘devices’ protect an
    operator by forcing [the operator] to manually activate switch controls located away
    from the danger zone before the press will operate, thus preventing [the operator]
    from placing parts of his body in the danger zone of the press while it is running.”
    3
    The district court also cited industry-wide safety standards promulgated by the
    American National Standards Institute (“ANSI”) to relieve Pollock of its duty to warn
    that the die changer could be unexpectedly activated. However, no Minnesota case
    has employed ANSI standards to define the scope of a product manufacturer’s duty
    to warn of foreseeable dangers associated with the use of its product. See Westbrock
    v. Marshalltown Mfg. Co., 
    473 N.W.2d 352
    , 358 (Minn. Ct. App. 1991) (noting that
    the trial court, correctly, “did not substitute ANSI and OSHA standards for case law
    duty analysis”).
    4
    At least one Minnesota case has applied 29 C.F.R. § 1910.217(c)(1)(i) in the
    context of a manufacturer’s duty to warn of foreseeable dangers associated with the
    use of a component product. See Huber v. Niagra Mach. & Tool Works, 
    430 N.W.2d 465
    , 468 (Minn. 1988).
    -11-
    
    Id. Given this
    framework, an oral or written warning indicating that the die changer
    could be unexpectedly activated is neither a barrier erected to prevent bodily harm nor
    a device that forces the operator to manually activate switch controls located away
    from the zone of danger. As a result, Pollock’s duty to warn of the potential for
    unexpected activation cannot be delegated to Young’s employer under
    § 1910.217(c)(1)(i). As such, Pollock maintained a duty to warn Young of this risk.
    CAUSATION
    Turning to the issue of causation, genuine issues of material fact exist
    regarding whether Pollock’s failure to warn of the potential for unexpected activation
    caused Young’s injury. In Minnesota, the question of causation is normally left for
    the jury. See, e.g., Ponticas v. K.M.S. Invs., 
    331 N.W.2d 907
    , 915 (Minn. 1983).
    Only where there is “no room for an honest difference of opinion among reasonable
    people” may courts take an issue of causation away from the finder of fact. Gum v.
    Medcalf Orthopaedic Appliance Co., 
    380 N.W.2d 916
    , 921 (Minn. Ct. App. 1986)
    (quoting Johnson v. Evanski, 
    22 N.W.2d 213
    , 215 (Minn. 1946)). This case presents
    room for honest difference of opinion concerning the cause of Young’s injury.
    Young was not informed by Pollock of the possibility that the die changer
    might be unexpectedly activated even though he was the worker assigned to regularly
    operate, change, and replace the device. A jury might reasonably infer that Young
    would have exercised greater caution with the die changer, especially considering his
    frequent contact with the device, if he was informed of the possibility that the changer
    could be suddenly activated.5
    5
    Many jurisdictions have adopted the principle that if a plaintiff is not warned
    of a particular risk, a rebuttable presumption arises that a proper warning would have
    been heeded, thereby establishing causation. See, e.g., Golonka v. Gen. Motors
    -12-
    The district court, however, found that Young did not establish causation
    because a failure to warn “ is not the proximate cause of injury if the user is aware of
    the danger posed by the device at issue.” Young, 
    2004 U.S. Dist. LEXIS 14378
    , at
    *13 (citing Holowaty v. McDonald’s Corp., 
    10 F. Supp. 2d 1078
    , 1085 (D. Minn.
    1998)). However, this analysis fails because, once again, there is no record evidence
    to demonstrate that Young knew the die changer could be unexpectedly activated, or
    that he was warned of the possibility for unexpected activation.
    The district court concluded, noting that the “effect of a warning on [Young’s]
    conduct is particularly questionable in light of the fact that he had performed this task
    many times without incident . . . .” 
    Id. at *14.
    Yet the determination as to how
    Young may have acted if warned that the die changer could be unexpectedly activated
    is the very type of fact-intensive inquiry best left for a jury. Therefore, the district
    court erred when it found there was no genuine issue of material fact on the issue of
    causation.
    SOPHISTICATED INTERMEDIARY DEFENSE
    Pollock asserts that even if it maintained a duty to warn Young, this duty was
    relieved by Alexandria Extrusion Company’s (“AEC”) status as a sophisticated
    intermediary. Courts typically apply the sophisticated intermediary defense when:
    (1) the employer maintained full knowledge of the range of dangers equal to that of
    Corp., 
    65 P.3d 956
    , 967-72 (Ariz. Ct. App. 2003); Coward v. Owens-Corning
    Fiberglas Corp., 
    729 A.2d 614
    , 621-22 (Pa. Super. Ct. 1999); Coffman v. Keene
    Corp., 
    628 A.2d 710
    , 716-21 (N.J. 1993); House v. Armour of America, Inc., 
    929 P.2d 340
    , 347 (Utah 1996). But see Tuttle v. Lorillard Tobacco Co., 
    377 F.3d 917
    , 925
    (8th Cir. 2004) (stating that, in its view, the court did not think Minnesota “would
    adopt the rebuttable presumption” in the case presented).
    -13-
    the manufacturer; or (2) the manufacturer made the employer knowledgeable by
    providing adequate warnings and safety instructions to the employer. Gray v. Badger
    Mining Corp., 
    676 N.W.2d 268
    , 277-78 (Minn. 2004). When applicable, the
    sophisticated intermediary defense permits a manufacturer or distributor to discharge
    its duty to warn of foreseeable dangers related to the use of its product if the
    manufacturer or distributor exercised reasonable care in relying upon the intermediary
    to give a warning to the end user. See 
    id. at 278.
    Young notes, however, that no Minnesota court has extended the sophisticated
    intermediary defense to employer/employee relationships and, as a result, the defense
    has been implicitly restricted in Minnesota. See 
    id. (noting that
    some courts,
    including the Fifth Circuit and a federal district court in Minnesota, “have been
    reluctant to extend the rationale of the sophisticated user defense to sophisticated
    intermediaries”).
    Given the current state of the law, I agree. The Minnesota Supreme Court’s
    recent reluctance to define the full applicability or scope of the sophisticated
    intermediary defense, 
    id. at 278-79,
    coupled with the infrequency with which the
    defense is applied by other jurisdictions in the employer/employee context, suggests
    that the sophisticated intermediary defense does not apply to this case.
    Even if the defense was applicable, Pollock has failed to show that it exercised
    reasonable care in relying upon the AEC to give a warning to end users. Pollock is
    able to reference no record evidence that Pollock actually warned AEC of the danger
    for unexpected activation, or that it acted in a manner reasonably calculated to assure
    that AEC might be made aware of the danger that the die changer could be
    unexpectedly activated. See 
    id. at 278
    (stating that, when determining if the supplier
    exercised reasonable care, courts look to “whether the supplier acted in a manner
    -14-
    reasonably calculated to assure [] that the necessary information would be passed on
    to the ultimate handlers of the product”).
    Young’s resulting injury was a foreseeable consequence of Pollock’s failure
    to warn about the risk of, and potential for, unexpected activation. Moreover,
    causation was certainly a jury question and should not be ruled upon under summary
    judgment. Accordingly, I would reverse on both the failure to warn and defective
    design claims and remand for trial.
    _____________________________
    -15-