Phillip Lucas . v. State of Tennessee Michael E. Collins v. State of Tennessee ( 2004 )


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  •                  IN THE COURT OF APPEALS OF TENNESSEE
    AT NASHVILLE
    November 3, 2003 Session
    PHILLIP LUCAS, ET AL. v. STATE OF TENNESSEE,
    MICHAEL E. COLLINS, ET AL. v. STATE OF TENNESSEE
    Appeal from the Tennessee Claims Commission
    No. 1,604,201 AND 20,100,376      en banc, Commissioners,
    Randy C. Camp, Vance W. Cheek, Jr., and W.R. Baker
    No. M2002-02810-COA-R9-CV - Filed February 4, 2004
    These consolidated cases present two separate factual situations involving alleged liability of the
    state under the Tennessee Claims Commission Act, Tennessee Code Annotated section 9-8-301, et
    seq., for dangerous conditions existing on two separate highways. In both cases the State asserted
    in defense discretionary function immunity. Because this defense is central to both cases, the Claims
    Commission consolidated the cases for consideration of the applicability of discretionary function
    immunity. In an en banc order, the Commission, construing Tennessee Code Annotated section 9-8-
    307(d) and cases based upon that section, overruled the State’s motions for summary judgment. We
    hold that under the plain and unambiguous provisions of Tennessee Code Annotated section 9-8-
    307(d) the State is not entitled to assert discretionary function immunity in actions under the
    Tennessee Claims Commission Act and affirm the judgment of the Claims Commission.
    Tenn. R. App. P. 9 Interlocutory Appeal; Judgment of the Tennessee Claims Commission
    Affirmed and Remanded
    WILLIAM B. CAIN , J., delivered the opinion of the court, in which WILLIAM C. KOCH , JR., P.J., M.S.,
    and PATRICIA J. COTTRELL, J., joined.
    Paul G. Summers, Attorney General & Reporter; Michael E. Moore, Solicitor General; Dawn Jordan,
    Rebecca Lyford, George Coffin, Nashville, Tennessee, for the appellant, State of Tennessee.
    Mart G. Fendley, Clarksville, Tennessee, for the appellee, Phillip Lucas.
    Tony R.. Dalton, Chad D. Emerson, Knoxville, Tennessee, for the appellee, Michael E. Collins.
    OPINION
    At issue in these two consolidated appeals are separate assertions before the Tennessee
    Claims Commission of tort liability of the state for maintaining dangerous conditions on the
    highways. David Lucas, son of Phillip and Betty Lucas, died in an automobile accident on March
    2, 1990 on State Highway 96 in Robertson County, Tennessee. The complaint alleged that in
    constructing and maintaining the highway, at and near the vicinity of the accident, the grade and
    curvature of the highway was dangerous and that the State had failed to properly bank the curve or
    warn travelers of the dangerous condition of the road. The single car accident resulted in injuries
    to David Lucas that were fatal. The State, with supporting affidavits, filed a Motion for Summary
    Judgment asserting “discretionary function” immunity.
    On November 21, 1999, Michael Collins was driving his automobile southbound along State
    Highway 155 (also known as Briley Parkway) and came upon a portion of the highway alleged to
    be known as “dead man’s curve.” Passengers in his vehicle were Deanna L. Collins, Bobby E.
    Collins and Ruth Collins. It was alleged that one Toni A. Rogers was driving her vehicle northbound
    on Highway 155, entered “dead man’s curve,” lost control of her vehicle causing it to become
    airborne and land on the claimant’s vehicle, seriously injuring Michael E. Collins and Deanna L.
    Collins, and killing Bobby and Ruth Collins. The claim was filed with the Tennessee Claims
    Commission based upon Tennessee Code Annotated section 9-8-307 for the negligent design and
    maintenance of the portion of State Highway 155 called “dead man’s curve.” This claim was met
    by a Motion for Summary Judgment supported by affidavit on behalf of the State claiming
    discretionary function immunity. These two cases, along with two other cases not before the Court
    on this appeal, were consolidated sua sponte by the Claims Commission for the purpose of ruling
    upon separate summary judgment motions in each.
    On March 2, 2002, Claims Commissioner W.R. Baker entered an extensive and carefully
    reasoned order construing the “immunities” provision of Tennessee Code Annotated section 9-8-
    307(d), distinguishing Cox v. State, 
    844 S.W.2d 173
     (Tenn.Ct.App.1992), declining to recognize as
    controlling authority the unreported decision in Waters v. State, 
    1998 WL 880911
    (Tenn.Ct.App.1998) and overruling the State’s motions for summary judgment based upon
    discretionary function immunity.1
    On April 1, 2002, the State filed in these cases a Motion to Alter or Amend or, in the
    alternative, for a rehearing en banc. The motion of the State for an en banc hearing before the
    Claims Commission was granted and, on August 5, 2002, Commissioners Randy C. Camp, Vance
    W. Cheek, Jr., and W.R. Baker entered an extensive and carefully considered order, once again
    categorizing Cox v. State, 
    844 S.W.2d 173
     (Tenn.Ct.App.1992) as being obiter dicta as to the point
    in issue and declining to recognize Waters v. State, 
    1998 WL 880911
     (Tenn.Ct.App.1998) as
    precedential authority under Tennessee Supreme Court Rule 4 (H)(1) and once again overruling the
    motions for summary judgment.
    1
    The State moved for summary judgment in these cases on the additional basis that the claimants had failed
    to provide notice of dangerous conditions as required by Tennessee Code Annotated section 9-8-307(a)(I)(J), and, that
    the State was protected by the statute of repose (TCA 28-3-202). The Claims Commission granted the statute of repose
    motions insofar as the claims were predicated on acts or omissions occurring more than four years before the respective
    dates of the claims and further held that questions of material fact remained for determination as to the notice claims.
    These two rulings are not before the Court on this interlocutory appeal.
    -2-
    Applications for permission to appeal were filed pursuant to Tennessee Rule of Appellate
    Procedure 9 as to discretionary function immunity challenging the ruling of the Claims Commission.
    The applications were granted by the Claims Commission and this Court. The consolidated case is
    now before this Court for disposition.
    GOVERNMENTAL (SOVEREIGN) IMMUNITY
    In the case of Cooper v. Rutherford County, 
    531 S.W.2d 783
     (Tenn.1975), Justice Henry
    mounted an impassioned assault upon the citadel of governmental immunity, which met with as
    much success as did Pickett’s Charge up Cemetery Ridge at Gettysburg. The Justice opined in
    dissent:
    Governmental immunity is a cankered, corroded and corrupted area of our
    law. It is the flaming sword used by cities and counties in Tennessee to [banish] the
    innocent victims of their wrongs and deny them their traditional day in court. It has
    become the hallmark of governmental irresponsibility–the defense by which
    governmental entities stoop to conquer their own citizens.
    ....
    I condemn sovereign immunity. I believe that justice demands, reason
    dictates, morality mandates and elemental consideration of conscience decree a
    change in confidence in the quality of justice, which according to Daniel Webster,
    is ‘man’s greatest interest on earth.’ Man’s eternal quest for justice is of equal
    dignity with his search for certainty.
    I would condemn this legal monstrosity to the oblivion which it so richly
    deserves.
    Cooper v. Rutherford County, 
    531 S.W.2d 783
    , 785, 792 (Tenn.1975)(Henry, J., dissenting).
    In the nearly three decades that have elapsed since Cooper v. Rutherford County, no
    successful challenge has been mounted upon the fundamental premise that the doctrine of
    governmental immunity in Tennessee is of common law origin.
    Coffman v. City of Pulaski, 
    220 Tenn. 642
    , 
    422 S.W.2d 429
     (1967) survived the attack in
    Cooper v. Rutherford County and remains the law of Tennessee. Therein it is said:
    As to the argument that we should abolish this doctrine of immunity because
    it is without warrant in the common law as adopted in this State by our Constitution,
    (which adopted the common law of England as in force in North Carolina in 1796),
    it is sufficient to say that, accepting the plaintiff-in-error’s own argument that the
    common law should be written by judges to meet the needs of the society expected
    to act thereunder, it lay within the power of the Supreme Court of this state to adopt
    -3-
    and promulgate the doctrine of immunity presently under assault and the absence of
    an English precedent is immaterial to its validity.
    Coffman v. City of Pulaski, 
    220 Tenn. 642
    , 645, 
    422 S.W.2d 429
    , 431 (Tenn.1967).
    Once the common law origin of governmental immunity is established, the long settled rule
    of strict construction concerning statutes in derogation of the common law places a heavy burden
    on the back of a plaintiff suing a sovereign in tort. Under this rule:
    It is well settled that a statute will not be construed to alter the common law,
    further than the act expressly declares or than is necessarily implied from the fact that
    it covers the whole subject-matter. Horne v. Railroad Co., 1 Cold., 77; State v.
    Miller, 11 Lea, 621; McCrea v. Galey, 
    1 Tenn. 251
    ; Eaton v. Dickinson, 3 Sneed,
    404; Moyers v. Brown, 10 Humph., 77; Shaw v. Merchants’ National Bank of St.
    Louis, 101 U.S., 557, 25 L.Ed., 892.”
    State v. Cooper, 
    120 Tenn. 549
    , 553; 
    113 S.W. 1048
    , 1049 (Tenn.1908); Olson v. Sharpe, 
    235 S.W.2d 11
    , 12 (Tenn.1950); see also, Lillienkamp v. Rippetoe, 
    133 Tenn. 57
    , 63, 
    179 S.W. 628
    (1915).
    We begin therefore with the premise that at common law the state was absolutely immune
    from tort liability as were cities and counties within the state. The immunity of the state and the
    separate immunities of cities and counties developed along different paths through statutory modi-
    fications and partial abrogations of immunity.
    As to the immunity of the state, the Supreme Court of Tennessee has provided the following
    guidance:
    As background, we think it important and significant to outline the rights of
    the State of Tennessee as a sovereign. According to Article I, Section 17 of the
    Constitution of the State of Tennessee, suits may be brought against the State in such
    a manner and in such courts as the Legislature may by law direct, and in no other
    manner.
    In view of this, the Legislature has expressly provided by statute (T.C.A. §
    20-1702) as follows:
    No court in the state shall have any power, jurisdiction, or
    authority to entertain any suit against the state, or against any officer
    of the state acting by authority of the state, with a view to reach the
    state, its treasury, funds, or property, and all such suits shall be
    dismissed as to the state or such officers, on motion, plea, or demurrer
    of the law officer of the state, or counsel employed for the state.
    In the case of State, ex rel. Allen v. Cook, supra, the Court said:
    -4-
    Article 1, section 17, of the Constitution, delegating to the
    Legislature the power to authorize suits against the state, being in
    derogation of the state’s inherent exemption from suit, must itself be
    strictly construed; hence legislation authorizing suits against the state
    must strictly pursue the constitutional requirements, and be so plain,
    clear, and unmistakable in its provisions as to the manner and form
    in which such suits may be brought as to leave nothing to surmise or
    conjecture. 171 Tenn. at 611, 106 S.W.2d at 860.
    Brewington v. Brewington, 
    387 S.W.2d 777
    , 778-79 (Tenn.1965).
    Sovereign immunity of counties in Tennessee developed on the basis that a county was an
    arm of the state and since it could exercise only the sovereignty delegated to it by the state
    legislature, it was shielded by the sovereign immunity of the state.
    In Wood v. Tipton County, 7 Bax., 112, it was held that a county was no more
    liable to be sued for the neglect of its officers than is the State for the negligence of
    its officers in the discharge of their public duties.
    But in such matters it can do only such acts as may be allowed, that is,
    authorized by law. Shannon, sec. 496. It can exercise that portion of the sovereignty
    of the State communicated to it by the Legislature, and no more. Grant v. Lindsay,
    11 Heis., 651; Railway Co. v. Wilson County, 5 Pick., 604.
    Its liability to suit only extends to matters of contract and not to torts or the
    negligence of its employees. Hence an action for damages will not lie for laying off
    a public road by the County Court, which was afterwards declared by the court to be
    a shun-pike and ordered to be closed. Turnpike Co. v. Davidson County, 14 Lea, 74;
    Grant v. Lindsay, 11 Heis., 651; Hawkins v. Justices, 12 Lea, 356.
    The general rule is that counties are not liable for torts or negligence in the
    condition, use, and management of public institutions. Many reasons are assigned.
    1.       That there is no fund out of which satisfaction could be had.
    2.       That it is better that an individual should suffer than that the public
    should sustain an inconvenience.
    3.       That it is a subordinate political or governmental division of the State.
    4.       That its function or action in regard to such institutions are legislative,
    and that neither the State or county could be sued on such account.
    5.       That counties are instrumentalities of government and partake of the
    immunities of States while acting in a governmental capacity.
    McAndrews v. Hamilton County, 
    105 Tenn. 399
    , 403-04, 58 S.W.483 (1900).
    The common law immunity of cities is essentially based upon the same considerations.
    Cruse v. City of Columbia, 
    922 S.W.2d 492
     (Tenn.1996); Hawks v. City of Westmoreland, 
    960 S.W.2d 10
     (Tenn.1997).
    -5-
    We are not concerned in this case with the separate statutory development of the limited
    abrogation of sovereign immunity made applicable to cities and counties by the Tennessee
    Governmental Tort Liability Act. Tenn.Code Ann. §§ 29-20-101, et seq. This act is not and never
    has been applicable to the State of Tennessee or its agencies and departments. Tennessee Dep’t of
    Mental Health, et al. v. Hughes, 
    531 S.W.2d 299
     (Tenn.1975).
    Prior to the effective date of either the Tennessee Governmental Tort Liability Act in 1973
    or the Tennessee Claims Commission Act in 1984, Tennessee recognized a common law immunity
    for a public official in the performance of a discretionary act.
    The authorities seem to be in accord to the effect that public officials, who
    owe the performance of a ministerial duty to a particular individual, are liable to one
    injured as the proximate result of their nonfeasance or misfeasance in the
    performance of such duty. Where the duty is absolute, certain, and imperative, and
    is simply ministerial, the officer is liable in damages to any one specially injured,
    either by his omitting to perform the task or by performing it negligently or
    unskillfully. On the other hand, where his powers are discretionary, and to be exerted
    or withheld according to his own judgment, he is not liable to any private person for
    a neglect to exercise those powers, nor for the consequences of a willful exercise of
    them, where no corruption or malice can be imputed to him, and he keeps within the
    scope of his authority. Some of the cases refer to an officer possessing such
    discretionary powers as judicial or quasi-officer. But this rule goes no further than
    to relieve public officials of liability for nonfeasance and for the misfeasance of their
    servants or agents. Moynihan v. Todd, 188 Mass., 301, 74 N.E., 367, 108 Am. St.
    Rep., 473; Smith v. Zimmer, 45 Mont., 282, 125 Pac., 420; Shearman & Redfield on
    Neg. (3 Ed.), section 156; Doeg v. Cook, 126 Cal., 213, 58 Pac., 707, 77 Am. St.
    Rep., 171; Tholkes v. Decock, 125 Minn., 507, 147 N.W., 648, 52 L.R.A. (N.S.), 142,
    and notes.
    Hale v. Johnston, 
    140 Tenn. 182
    , 197-98, 
    203 S.W. 949
    , 952-53 (1918).2
    At common law the sovereign entity, be it the state, a city, or a county, had no “discretionary
    act” immunity and indeed needed none. The sovereign entity was already absolutely immune under
    the common law doctrine of sovereign immunity. Because of sovereign immunity the entity was not
    liable in respondeat superior for the acts or omissions of its agents, servants, or employees, except
    in cases where such immunity was modified by statute or the entity was exercising proprietary
    functions. Memphis v. Kimbrough, 
    59 Tenn. 133
     (1873).
    “Discretionary act” immunity developed to protect officers, employees and agents of the
    governmental entity in their individual capacity since they otherwise were not protected by the
    umbrella of sovereign immunity. As one authority stated:
    2
    The rule stated in Hale v. Johnston is exhaustively annotated in 52 L.R.A. (new series) 142 (1914).
    -6-
    The liability of public officers for the negligent failure to discharge
    ministerial duties expressly imposed upon them by law, in consequence of which
    injury is suffered by an individual member of the community, is well settled. The
    general rule is tersely stated by Mr. Justice Bunn in Howley v. Scott, 
    123 Minn. 159
    ,
    51 L.R.A. (N.S.) 137, 
    143 N.W. 257
    , and as there laid down is followed and applied
    by practically all the courts. 23 Am. & Eng. Enc. Law, 377; 2 Shearm. & Redf. Neg.
    303 et seq.; Anne Arundel County v. Duckett, 83 Am. Dec. 557, and note (
    20 Md. 468
    ); 1 Dill. Mun. Corp. 5th ed. 483. This is true notwithstanding the fact that the
    county, town, or other municipality which they may represent is not responsible at
    the suit of a private person, either for their nonfeasance or misfeasance. The wrong
    of the officer is not the wrong of the municipal subdivision he may represent, but that
    of the officer, and he alone is responsible therefor, except perhaps where by law the
    municipality is equally liable. The county is not responsible to private persons for
    the torts of its sheriff, county auditor, or other officer, yet the officer himself, for his
    negligence in respect to the performance of his ministerial duties, is liable to any
    person who may suffer in consequence of such neglect.
    Tholkes v. Decock, 
    125 Minn. 507
    , 509, 
    147 N.W. 648
    , 52 L.R.A. (N.S.) 142, 146-47 (1914).
    If Tholkes v. Decock applied to all acts of public officials rather than only to those purely
    ministerial, the position of a public employee would indeed be precarious. To modify this general
    exposure to liability, both the common law and statutory enactments developed “discretionary act”
    immunity. As one authority has observed:
    Executive officers and employees. Public employees of the executive branch
    –everyone who is not in the legislative or judicial branches–were originally liable for
    their torts and certainly for those committed in excess of their authority. One
    solution holds state officers liable only for gross negligence or for specified conduct.
    In the twentieth century, state courts developed immunities for officers and
    employees of public entities. A little authority even provides an absolute immunity
    to higher level state officers, at least as to defamation or as to matters in which it is
    especially important for high level officers to feel unhampered by possible legal
    actions. More generally, officers and employees are said to enjoy qualified immunity
    for discretionary acts, but not for ministerial acts. The discretionary immunity is
    qualified or conditional because it is usually lost if the officer is guilty of bad faith,
    malice, corruption, wanton misconduct or the like.
    Dobbs “The Law of Torts, Vol. 1, Ch. 15, sec. 273, 734-35 (2001).
    The term “discretionary function” was introduced into the law of Tennessee when the
    Tennessee Governmental Tort Liability Act was enacted by Chapter 345 of the Public Acts of 1973.
    This Act, applicable to local government entities, partially abrogated governmental immunity with
    Tennessee Code Annotated section 29-20-205 providing, in part: “Immunity from suit of all
    -7-
    governmental entities is removed for injury proximately caused by a negligent act or omission of any
    employee within the scope of his employment except if the injury arises out of: (1) The exercise
    or performance or the failure to exercise or perform a discretionary function, whether or not the
    discretion is abused.”
    This Act served the dual purpose (within the limits provided by the statute) of removing
    immunity of the sovereign entity and shielding the employee, acting within the scope of his authority,
    from liability to third persons. Hill v. City of Germantown, 
    31 S.W.3d 234
     (Tenn.2000).
    The Act did not define “discretionary function” leaving Tennessee courts to fill the void
    thereby created by falling back on the “discretionary” and “ministerial” definitions in Hale v.
    Johnston. Noting that other jurisdictions had interpreted their statutory “discretionary function”
    language, Judge Franks, dissenting in Davis v. City of Cleveland, 
    709 S.W.2d 613
    (Tenn.Ct.App.1986), urged adoption of a “planning-operational” test as the proper standard. Davis,
    709 S.W.2d at 616. The supreme court responded in Bowers v. City of Chattanooga, 
    826 S.W.2d 427
     (Tenn.1992), a case predicated upon the Tennessee Governmental Tort Liability Act, by
    adopting a “planning-operational” test and modifying Hale v. Johnston’s standard accordingly.
    As we have observed, the Tennessee Governmental Tort Liability Act is not applicable to the
    case at bar and this discussion is made only in response to the position of the State of Tennessee that
    it is entitled, under Tennessee Code Annotated section 9-8-307(d), to assert “discretionary function”
    immunity in this case. The position of the State is not persuasive as it contradicts Tennessee Code
    Annotated section 9-8-307(d).
    THE CLAIMS COMMISSION ACT
    Keeping in mind that sovereign immunity is the rule, we turn now to the Tennessee Claims
    Commission Act.
    Central to the resolution of the issue before us is the Claims Commission’s
    jurisdictional authority. Article I, § 17, of the Tennessee Constitution provides that
    the state may be sued in such manner and in such courts as the legislature by law
    directs. From 1796 until 1984, the General Assembly was extremely reticent in
    permitting claims against the state. Moreover, the courts’ reticence was evidenced
    by repeatedly pointing out that suits against the state were in derogation of the
    common law and that statutes purporting to permit these suits should be strictly
    construed. See, e.g., State ex rel. Allen v. Cook, 
    171 Tenn. 605
    , 
    106 S.W.2d 858
    , 860
    (1937); Stokes v. University of Tenn., 
    737 S.W.2d 545
    , 547 (Tenn.App.1987), cert.
    denied, 
    485 U.S. 935
    , 
    108 S. Ct. 1110
    , 
    99 L. Ed. 2d 271
     (1988). However, in 1984 the
    legislature enacted a sweeping procedure for filing monetary claims against the state.
    See Act of May 24, 1984, ch 972, 1984 Tenn. Pub. Acts 1026; Tenn.Code Ann. §§
    9-8-305, -307 (Supp.1984). The following year, the legislature amended the statute
    by adding the following statement: “It is the intent of the general assembly that the
    -8-
    jurisdiction of the claims commission be liberally construed to implement the
    remedial purposes of this legislation.” Tenn.Code Ann. § 9-8-307(a)(Supp.1985).
    Hembree v. State, 
    925 S.W.2d 513
    , 516 (Tenn.1996).
    The Tennessee Claims Commission Act, subject to its monetary cap on recoverable damages,
    accomplished a sweeping abrogation of sovereign immunity as to the State of Tennessee relative to
    acts or omissions of state employees.3 Pursuant to the statute, sovereign immunity is abrogated as
    to:
    (C) Negligently created or maintained dangerous conditions on state
    controlled real property. The claimant under this subsection must establish the
    foreseeability of the risks and notice given to the proper state officials at a time
    sufficiently prior to the injury for the state to have taken appropriate measures;
    ....
    (I) Negligence in planning and programming for, inspection of, design of,
    preparation of plans for, approval of plans for, and construction of, public roads,
    streets, highways, or bridges and similar structures, and negligence in maintenance
    of highways, and bridges and similar structures, designated by the department of
    transportation as being on the state system of highways or the state system of
    interstate highways;
    (J) Dangerous conditions on state maintained highways. The claimant under
    this subsection must establish the foreseeability of the risk and notice given to the
    proper state officials at a time sufficiently prior to the injury for the state to have
    taken appropriate measures;
    Tenn. Code Ann. § 9-8-307(a)(C)(I)(J) (2003 Supp.).
    While the Tennessee Governmental Tort Liability Act applicable to local government entities
    provides immunity to the local government entity in performance by an employee of a “discretionary
    function,” (Tenn. Code Ann. § 29-20-205(a)), the Tennessee Claims Commission Act provides no
    such immunity for the State of Tennessee. The controlling part of the Claims Commission Act
    provides:
    (c) The determination of the state’s liability in tort shall be based on the
    traditional tort concepts of duty and the reasonably prudent person’s standard of care.
    (d) The state will be liable for actual damages only. No award shall be made
    unless the facts found by the commission would entitle the claimant to a judgment
    3
    A “state employee,” as pertinent to this case, is defined as “any person who is a state official, including
    members of the General Assembly and legislative officials elected by the General Assembly, or any person who is
    employed in the service of and whose compensation is payable by the state, or any person who is employed by the state
    whose compensation is paid in whole or in part from federal funds.” Tenn.Code Ann. § 8-42-101(3)(A).
    -9-
    in an action at law if the state had been a private individual. The state will not be
    liable for punitive damages and the costs of litigation other than court costs. The
    state will not be liable for willful, malicious, or criminal acts by state employees, or
    for acts on the part of state employees done for personal gain. The state may assert
    any and all defenses, including common law defenses, which would have been
    available to the officer or employee in an action against such an individual based
    upon the same occurrence. The state may assert any absolute common law
    immunities available to the officer or employee, however, good faith common law
    immunity may not be asserted.
    Tenn. Code Ann. § 9-8-307(c)(d)(Supp.2003)(emphasis added).
    The Supreme Court of Tennessee has noticed the clash between the strict construction rule
    established in State v. Cook, 
    171 Tenn. 605
    , 
    106 S.W.2d 858
     (Tenn.1937) and Brewington v.
    Brewington, 
    215 Tenn. 475
    , 
    387 S.W.2d 777
     (Tenn.1965), and the legislatively-mandated liberal
    construction rule established by Tennessee Code Annotated section 9-8-307(a)(3) relative to the
    jurisdiction of the Claims Commission. See Stewart v. State, 
    33 S.W.3d 785
    , 791 (Tenn.2000); Cf.
    Northland Insurance Co. v. State, 
    33 S.W.3d 727
    , 730 (Tenn.2000). However, there is room for
    neither strict construction nor liberal construction when the controlling statutory provision is clear
    and unambiguous. “When the language contained within the four corners of a statute is plain, clear,
    and unambiguous, the duty of the courts is simple and obvious, ‘to say sic lex scripta, and obey it.’
    ” ATS Southeast, Inc. v. Carrier Corp., 
    18 S.W.3d 626
    , 629-30 (Tenn.2000); see also Hawks v. City
    of Westmoreland, 
    960 S.W.2d 10
    , 16 (Tenn.1997); Miller v. Childress, 
    21 Tenn. 320
    , 321-22 (1841).
    The entire statutory purpose of the Tennessee Claims Commission Act is to establish the
    state’s liability in tort based on the traditional tort concepts of duty and the reasonably prudent
    persons’ standard of care. See Tenn. Code Ann. § 9-8-307(c)(Supp.2003). As restraint on this
    purpose, the same statute provides: “For causes of action arising in tort, the state shall only be liable
    for damages up to the sum of three hundred thousand dollars ($300,000) per claimant and one
    million dollars ($1,000,000) per occurrence.” Tenn. Code Ann. § 9-8-307(e). Within these
    prescribed monetary limits, the abrogation of sovereign immunity in Tennessee Code Annotated
    section 9-8-307(a)(C)(I)(J) is unconditional as to liability in tort for actual damages.
    It is the provision of the statute reserving to the state certain preexisting defenses on which
    the decision in this case must be predicated. The statute provides in part: “The state may assert any
    and all defenses, including common law defenses, which would have been available to the officer
    or employee in an action against such an individual based upon the same occurrence. The state may
    assert any absolute common law immunities available to the officer or employee, however, good
    faith common law immunity may not be asserted.” Tenn. Code Ann. § 9-8-307(d)(Supp.2003).
    Clearly only “absolute” common law immunities remain available to the state. Absolute
    immunity is a well defined doctrine at common law. Imbler v. Pachtman, 
    424 U.S. 409
    , 96 S.Ct.
    -10-
    984, 
    47 L. Ed. 2d 128
     (U.S.1976). “Qualified immunity” is likewise well defined at common law.
    Harlow v. Fitzgerald, 
    457 U.S. 800
    , 
    102 S. Ct. 2727
    , 
    73 L. Ed. 2d 396
     (U.S.1982).
    The Supreme Court has consistently held that government officials are
    entitled to some type of immunity from suits for damages. “[P]ublic officers require
    this protection to shield them from undue interference with their duties and from
    potentially disabling threats of liability.” Harlow v. Fitzgerald, 
    457 U.S. 800
    , 806,
    
    102 S. Ct. 2727
    , 2732, 
    73 L. Ed. 2d 396
     (1982). Two types of immunity defenses have
    generally been recognized: absolute immunity and qualified immunity. Absolute
    immunity defeats a suit at the outset, provided that the official’s actions are within
    the scope of the immunity. Imbler v. Pachtman, 
    424 U.S. 409
    , 419 n. 13, 
    96 S. Ct. 984
    , 989 n. 13, 
    47 L. Ed. 2d 128
     (1976). Qualified immunity is asserted as a defense,
    and shields government officials performing discretionary functions from civil
    liability if their conduct does not violate clearly established statutory or constitutional
    rights of which a reasonable person would have known. Harlow v. Fitzgerald, supra,
    457 U.S. at 818, 102 S.Ct. at 2738.
    “[O]fficials whose special functions or constitutional status require[]
    complete protection from suit” are accorded absolute immunity. Id. at 807, 102 S.Ct.
    at 2732. Absolute immunity from suit has been accorded to judges, Stump v.
    Sparkman, 
    435 U.S. 349
    , 
    98 S. Ct. 109
    , 
    55 L. Ed. 2d 331
     (1978), prosecutors, Imbler
    v. Pachtman, supra, legislators, Eastland v. United States Servicemen’s Fund, 
    421 U.S. 491
    , 
    95 S. Ct. 1813
    , 
    44 L. Ed. 2d 324
     (1975), and to federal agency officials who
    perform adjudicatory or prosecutorial functions. Butz v. Economou, 
    438 U.S. 478
    ,
    
    98 S. Ct. 2894
    , 
    57 L. Ed. 2d 895
     (1978). The Supreme Court has been cautious in
    extending the protection of absolute immunity, and has noted that “federal officials
    who seek absolute exemption from personal liability for unconstitutional conduct
    must bear the burden of showing that public policy requires an exemption of that
    scope.” Id. at 506, 98 S.Ct. at 2911.
    The Supreme Court has provided that qualified immunity from damages
    liability is the general rule for executive officials charged with constitutional
    violations. Id. at 507, 98 S.Ct. at 2911. Qualified immunity is an attempted balance
    of the competing values of protecting individuals’ constitutional rights and protecting
    officials who are required to exercise their discretion, in order to encourage the
    vigorous exercise of official authority. Harlow v. Fitzgerald, supra, 457 U.S. at 813-
    14, 102 S.Ct. at 2736; Butz v. Economou, supra, 438 U.S. at 506, 98 S.Ct. at 2910.
    Ray v. Pickett, 
    734 F.2d 370
    , 371-2 (C.A.Mo., 1984).
    Qualified immunity has been historically referred to as “good faith immunity.” See
    Winchester v. Little, 
    996 S.W.2d 818
    , 826 (1998), perm. app. denied July 6, 1999, cert. denied 
    528 U.S. 1026
    , 
    120 S. Ct. 543
    , 
    145 L. Ed. 2d 421
     (Nov.29,1999); Gomez v. Toledo, 
    446 U.S. 635
    , 
    64 L. Ed. 2d 572
    , 
    100 S. Ct. 1920
    , (1980); Wood v. Strickland, 
    420 U.S. 308
    , 
    43 L. Ed. 2d 214
    , 
    95 S. Ct. 992
     (1975). While the “good faith” standard was adjusted in Harlow v. Fitzgerald, 
    457 U.S. 800
    ,
    -11-
    
    73 L. Ed. 2d 396
    , 
    102 S. Ct. 2727
     (U.S.1982) to shield government officials from liability where “their
    conduct does not violate clearly established statutory or constitutional rights of which a reasonable
    person would have known.” 73 L.Ed.2d at 410, it is clear that Harlow did not convert qualified
    “good faith” immunity into absolute immunity since the case was remanded for reconsideration
    rather than simply dismissed. Absolute immunity defeats a suit at the outset and nothing remains
    to be addressed by an order of remand. It is only qualified immunity that would allow remand for
    consideration of the factual basis for either a “good faith” standard as pre-existed Harlow v.
    Fitzgerald, or a factual determination post Harlow v. Fitzgerald that official conduct “does not
    violate clearly established statutory or constitutional rights of which a reasonable person would have
    known.”
    It has long been recognized that absolute immunity envisions the tyranny of abuse of power
    on an individual basis by persons clothed with authority. The justification for absolute immunity
    is nowhere better expressed than by Judge Learned Hand in Gregoire v. Biddle, 
    177 F.2d 579
    , (2nd
    Cir.1949).
    It does indeed go without saying that an official, who is in fact guilty of using
    his powers to vent his spleen upon others, or for any other personal motive not
    connected with the public good, should not escape liability for the injuries he may so
    cause; and, if it were possible in practice to confine such complaints to the guilty, it
    would be monstrous to deny recovery. The justification for doing so is that it is
    impossible to know whether the claim is well founded until the case has been tried,
    and that to submit all officials, the innocent as well as the guilty, to the burden of a
    trial and to the inevitable danger of its outcome, would dampen the ardor of all but
    the most resolute, or the most irresponsible, in the unflinching discharge of their
    duties. Again and again the public interest calls for action which may turn out to be
    founded on a mistake, in the face of which an official may later find himself hard put
    to it to satisfy a jury of his good faith. There must indeed be means of punishing
    public officers who have been truant to their duties; but that is quite another matter
    from exposing such as have been honestly mistaken to suit by anyone who has
    suffered from their errors. As is so often the case, the answer must be found in a
    balance between the evils inevitable in either alternative. In this instance it has been
    thought in the end better to leave unredressed the wrongs done by dishonest officers
    than to subject those who try to do their duty to the constant dread of retaliation.
    Judged as res nova, we should not hesitate to follow the path laid down in the books.
    The decisions have, indeed, always imposed as a limitation upon the
    immunity that the official’s act must have been within the scope of his powers; and
    it can be argued that official powers, since they exist only for the public good, never
    cover occasions where the public good is not their aim, and hence that to exercise a
    power dishonestly is necessarily to overstep its bounds. A moment’s reflection
    shows, however, that that cannot be the meaning of the limitation without defeating
    the whole doctrine. What is meant by saying that the officer must be acting within
    his power cannot be more than that the occasion must be such as would have justified
    -12-
    the act, if he had been using his power for any of the purposes on whose account it
    was vested in him.
    Gregoire v. Biddle, 177 F.2d at 581.
    The Court of Appeals for the Sixth Circuit, affirming the trial court in a rather celebrated civil
    rights case, delineated the time-honored distinctions between absolute immunity on the one hand and
    qualified immunity on the other in unmistakable terms in the case of Spurlock v. Satterfield, 
    167 F.3d 995
     (6th Cir.1999). In that case Spurlock and his co-defendant Marshall had been prosecuted
    for murder predicated in part upon the testimony of Deputy Sheriff Danny Satterfield. Further
    investigation, after the conviction of Spurlock, established that other persons had committed the
    murder and the Spurlock-Marshall convictions were set aside. In the civil rights action, Satterfield
    claimed in defense that he was entitled to absolute immunity for his witness testimony and also
    absolute immunity for his non-testimonial acts.4
    As to his witness testimony the court held that he was entitled to absolute immunity. Said
    the court:
    The issue here is not simply one of providing false testimony at trial, or even,
    for that matter, conspiring to give false testimony. It is well-settled that witnesses are
    granted absolute immunity from suit for all testimony provided in judicial
    proceedings. See Briscoe v. LaHue, 
    460 U.S. 325
    , 330-31, 
    103 S. Ct. 1108
    . 
    75 L. Ed. 2d 96
     (1983). Thus, it is clear that Satterfield would be insulated from liability
    for any testimony that he provided as a witness at trial, no matter how egregious or
    perjurious that testimony was alleged to have been. Accordingly, the district court
    correctly found that Satterfield was absolutely immune from suit for his testimony
    during Spurlock’s criminal trial, and we easily affirm the district court’s conclusion
    in that regard. Moreover, we note also that the mere fact that plaintiffs may allege
    a conspiracy to render false testimony, as opposed to simply alleging that one person
    testified falsely at trial, does not waive absolute testimonial immunity. See Alioto v.
    City of Shively, Kentucky, 
    835 F.2d 1173
    , 1174-75 (6th Cir.1987); Macko v. Byron,
    
    760 F.2d 95
    , 97 (6th Cir.1985). Thus, Satterfield is correct that an alleged conspiracy
    to provide false testimony does not abrogate his right to absolute testimonial
    immunity.
    
    167 F.3d 995
    , 1001 (6th Cir.1999).
    As to his non-testimonial actions, the court first rejected his claim of absolute immunity and
    then addressed his alternative claim of qualified immunity.
    4
    Satterfield, in addition to his false testimony, attempted to persuade a co-defendant, Apple, to lie and claim
    to have been a witness to the murder and further gave Apple “hush money” after the plaintiffs’ trials in order to induce
    his continued silence.
    -13-
    Qualified immunity, like absolute immunity, is also available as an
    affirmative defense that protects public officials not only from liability, but also from
    the “burdens of trial and discovery.” English, 23 F.3d at 1089. See also Noble v.
    Schmitt, 
    87 F.3d 157
    , 161 (6th Cir.1996). Officials who are not entitled to absolute
    immunity may, in certain instances, “enjoy the protection of qualified immunity.”
    Achterhof, 886 F.2d ta 829. In examining a claim for qualified immunity, we must
    balance the need for public officials to be free from the constant fear of lawsuits
    brought while performing their official duties, with the recognition that “[i]n
    situations of abuse of office, an action for damages may offer the only realistic
    avenue for vindication of constitutional guarantees.” Harlow v. Fitzgerald, 
    457 U.S. 800
    , 814, 
    102 S. Ct. 2727
    , 
    73 L. Ed. 2d 396
     (1982). In Harlow, the Supreme Court
    articulated the test for qualified immunity and stated that “government officials
    performing discretionary functions generally are shielded from liability for civil
    damages insofar as their conduct does not violate clearly established statutory or
    constitutional rights of which a reasonable person would have known.” Id. at 818,
    
    102 S. Ct. 2727
     (abandoning the subjective good faith approach to addressing
    qualified immunity for the more objective reasonableness test); see also Noble, 
    87 F.3d 375
    , 386 (6th Cir.1994); Adams v. Metiva, 
    31 F.3d 375
    , 386 (6th Cir.1994).
    
    167 F.3d 995
    , 1005 (6th Cir.1999).
    The court thereupon rejected Satterfield’s claim of qualified immunity and affirmed the trial
    court’s judgment for Spurlock on the basis of his alleged non-testimonial acts.
    As to the procedural aspects of a qualified immunity defense, the Sixth Circuit Court of
    Appeals has observed:
    “Qualified or ‘good faith’ immunity is an affirmative defense that is available
    to government officials performing discretionary functions.” Rich v. City of Mayfield
    Hts., 
    955 F.2d 1092
    , 1094 (6th Cir.1992). “The ultimate burden of proof is on the
    plaintiff to show that the defendants are not entitled to qualified immunity.” Id. at
    1095 (emphases added). The Sixth Circuit, en banc, has recently defined the
    components of the qualified immunity defense:
    Government officials performing discretionary functions generally are
    shielded from liability for civil damages insofar as their conduct does
    not violate clearly established [federal] statutory or constitutional
    rights of which a reasonable person would have known. The
    procedure for evaluating claims of qualified immunity is tripartite:
    First, we determine whether a constitutional violation has occurred;
    second, we determine whether the right that was violated was a
    clearly established right of which a reasonable person would have
    known; finally, we determine whether the plaintiff has alleged
    sufficient facts, and supported the allegations by sufficient evidence,
    -14-
    to indicate that what the official allegedly did was objectively
    unreasonable in light of the clearly established constitutional rights.
    Williams v. Mehar, 
    186 F.3d 685
    , 691 (6th Cir.1999) (en banc)
    (quotations omitted; brackets added) (citing Harlow v. Fitzgerald,
    
    475 U.S. 800
    , 818, 
    102 S. Ct. 2727
    , 
    73 L. Ed. 2d 396
     (1982); Dickerson
    v. McClellan, 
    101 F.3d 1151
    , 1157-58 (6th Cir.1996)).
    Scott v. Clay County, Tennessee, 
    205 F.3d 867
    , 873-74, n. 9 (6th Cir.2000).
    The Claims Commission, in its August 5, 2002 Order, states “it appears that what the state
    calls the ‘qualified immunity doctrine’ is in reality just an adaptation of the discretionary acts
    doctrine to actions brought under 42 U.S.C., section 1983.” While there is, in the context of this
    case, barely marginal distinction between the qualified immunity doctrine and the discretionary acts
    doctrine, qualified immunity is of ancient origin. In Scheuer v. Rhodes, 
    416 U.S. 232
    , 
    40 L. Ed. 2d 90
    , 
    94 S. Ct. 1683
     (U.S.1974), while tracing the origin of qualified immunity to the statute of
    Westminster I, 3 Ewd., 1, c. 24 (1275) and observing that “good-faith performance of a discretionary
    duty has remained, it seems as a defense,” and after referring to absolute immunity the Court goes
    on to state:
    [I]f, on the other hand, the immunity is not absolute but rather one that is qualified
    or limited, an executive officer may or may not be subject to liability depending on
    all the circumstances that may be revealed by evidence. The concept of the immunity
    of government officers from personal liability springs from the same root
    considerations that generated the doctrine of sovereign immunity. While the latter
    doctrine–that the “King can do no wrong” –did not protect all government officers
    from personal liability, the common law soon recognized the necessity of permitting
    officials to perform their official functions free from the threat of suits for personal
    liability.
    Scheuer, 416 U.S. at 239.
    Any lingering doubt that “discretionary function” immunity is, in fact, a qualified immunity
    and not an absolute immunity is settled by the United States Supreme Court in Anderson v.
    Creighton, 
    483 U.S. 635
    , 
    97 L. Ed. 523
    , 
    107 S. Ct. 3034
     (1987) wherein the court observed the
    tension between government officials abusing their offices on the one hand and being honestly
    mistaken as to their conduct on the other. Said the court:
    Our cases have accommodated these conflicting concerns by generally providing
    government officials performing discretionary functions with a qualified immunity,
    shielding them from civil damages liability as long as their actions could reasonably
    have been thought consistent with the rights they are alleged to have violated. See,
    e.g., Malley v. Briggs, 
    475 U.S. 335
    , 341, 
    89 L. Ed. 2d 271
    , 
    106 S. Ct. 1092
     (1986)
    (qualified immunity protects “all but the plainly incompetent or those who knowingly
    -15-
    violate the law”); id., at 344-345, 
    89 L. Ed. 2d 271
    , 
    106 S. Ct. 1092
     (police officers
    applying for warrants are immune if a reasonable officer could have believed that
    there was probable cause to support the application); Mitchell v. Forsyth, 
    472 U.S. 511
    , 528, 
    86 L. Ed. 2d 411
    , 
    105 S. Ct. 2806
     (1985) (officials are immune unless “the
    law clearly proscribed the actions” they took); Davis v. Scherer, 
    468 U.S. 183
    , 191,
    
    82 L. Ed. 2d 139
    , 
    104 S. Ct. 3012
     (1984); id., at 198, 
    82 L. Ed. 2d 139
    , 
    104 S. Ct. 3012
    .
    (Brennan, J., concurring in part and dissenting in part); Harlow v. Fitzgerald, supra,
    at 819, 
    73 L. Ed. 2d 396
    , 
    102 S. Ct. 2727
    . Cf., e.g., Procunier v. Navarette, 
    434 U.S. 555
    , 562, 
    55 L. Ed. 2d 24
    , 
    98 S. Ct. 855
     (1978). Somewhat more concretely, whether
    an official protected by qualified immunity may be held personally liable for an
    allegedly unlawful official action generally turns on the “objective legal
    reasonableness” of the action, Harlow, 457 U.S., at 819, 
    73 L. Ed. 2d 396
    , 
    102 S. Ct. 2727
    , assessed in light of the legal rules that were “clearly established” at the time
    it was taken, id., at 818, 
    73 L. Ed. 2d 396
    , 
    102 S. Ct. 2727
    .
    Anderson, 483 U.S. at 638-39, 
    107 S. Ct. 3038
    , at 530 (1987).
    Before discussing further the controlling issue involving “discretionary function” immunity
    it is helpful to consider the legislative history of the controlling provisions of the Tennessee Claims
    Commission Act. In the original Act creating the Claims Commission, the controlling provision
    simply stated: “The state may assert any and all defenses, including common law defenses, which
    would have been available to the officer or employee in an action against such individuals based
    upon the same occurrence.” 1984 Tenn. Pub. Acts 972, sec. 8(d). Since the cases are clear through-
    out the country that common law immunities are affirmative defenses, we may assume, that under
    the original Act, both absolute immunities and good faith immunities were available to the state
    under this provision of the Act. Chapter 105 of the Public Acts of 1985 amended the Claims
    Commission Act by adding to the above sentence a provision that “the state may assert any absolute
    common law immunities available to the officer or employee, however, good faith common law
    immunity may not be asserted.” 1985 Tenn. Pub. Acts 105, sec. 6.5 By this section of Chapter 105,
    the legislature clearly determined to separate common law defenses from common law immunities,
    and to restrict the state to the use of only absolute common law immunity.
    At bar the discussion in brief and argument centered around whether or not “discretionary
    function” immunity was in fact “good faith” immunity and thus foreclosed to the state under the
    express provisions of Tennessee Code Annotated section 9-8-307(d). The discussion is academic,
    as under no circumstances is any immunity available to the state which could not be characterized
    as “absolute immunity,” such being the only type of immunity that survived the enactment of the
    Tennessee Claims Commission Act, as amended by Chapter 105 of the Public Acts of 1985.
    5
    Section 1 of Chapter 105 added the provision that “it is the intent of the General Assembly that the
    jurisdiction of the Claims Commission be liberally construed to implement the remedial purposes of this legislation.”
    -16-
    Efforts to superimpose the “planning-operational” test of Bowers v. City of Chattanooga onto
    the Tennessee Claims Commission Act are to no avail given the explicit language used by the
    legislature in limiting immunities available to the state to “absolute” immunities. The “planning
    operational” test of Bowers involves a construction of the “discretionary function” provisions of the
    Tennessee Governmental Tort Liability Act. Tenn. Code Ann. § 29-20-205(a). Aside from the fact
    that such discretionary function immunity is foreign to the Tennessee Claims Commission Act, it
    fails to qualify as an “absolute” immunity.
    The decision herein is at odds with certain language in four Tennessee cases, these being
    chronologically Cox v. State, 
    844 S.W.2d 173
     (Tenn.Ct.App.1992); Youngblood v. Clepper, 
    856 S.W.2d 405
     (Tenn.Ct.App.1993); Waters v. State, 03A01-9808-BC-00243, 
    1998 WL 880911
    (Tenn.Ct.App.1998) and Bolton v. State, E2001-02960-COA-R9-CV; 
    2002 WL 1798538
     (Tenn.Ct.
    App.2002). In Cox, an inmate on work release attacked, raped and sodomized a claimant. One
    section of this Court’s opinion dealt with discretionary function immunity, but the case was decided
    on the issue of foreseeability. The entire discussion in the case as to discretionary function immunity
    provided:
    Claimant argues that the acts complained of are not discretionary functions.
    However, the State maintains that it has never asserted discretionary function
    immunity as a defense to this claim. The Commissioner found that “all actions
    complained of herein deal with discretionary duties of State employees for which
    such employees are immune from liability” and that “pursuant to [T.C.A. §] 9-8-
    307(d) the State may assert this common law immunity.”
    We agree that, under T.C.A. § 9-8-307(d), the State may assert the common
    law immunity which has developed in this State with regard to discretionary actions
    of State employees. See State ex rel. Robertson v. Farmers’ State Bank, 
    162 Tenn. 499
    , 
    39 S.W.2d 281
     (1931); Buckner v. Carlton, 
    623 S.W.2d 102
     (Tenn.App.1981).
    In the recent case of Bowers ex rel. Bowers v. City of Chattanooga, 
    826 S.W.2d 427
    (Tenn.1992), the Supreme Court adopted the “planning-operational test,” under
    which “decisions that rise to the level of planning or policy-making are considered
    discretionary acts which do not give rise to tort liability, while decisions that are
    merely operational are not considered discretionary acts and, therefore, do not give
    rise to immunity.” Id. at 430.
    Because we affirm the findings of the Commissioner with regard to the issue
    of foreseeability, however, we find it unnecessary to determine whether the acts
    complained of were discretionary. This issue is pretermitted.
    Cox v. State, 
    844 S.W.2d 173
    , 176 (Tenn.Ct.App.1992).
    Thus, while the Commissioner applied discretionary function immunity, one must take note
    of the fact that the State never asserted discretionary function immunity as a defense in that case.
    In the discussion of Tennessee Code Annotated section 9-8-307(d) the court opines that “the state
    may assert the common law immunity which has developed in this state with regard to discretionary
    -17-
    actions of state employees.” Id. In support of this statement the court relies on two cases, State ex
    rel. Robertson v. Farmers State Bank, 
    162 Tenn. 499
    , 
    39 S.W.2d 281
     (1931); Buckner v. Carlton,
    
    623 S.W.2d 102
     (Tenn.Ct.App.1981). Both of these cases predated the enactment of the Claims
    Commission Act in 1984. Permission to appeal in Cox v. State was denied by the Supreme Court
    on October 26, 1992.
    Youngblood v. Clepper, 
    856 S.W.2d 405
     (Tenn.Ct.App.1993) was a suit not before the
    Claims Commission but before the Circuit Court of Marion County, and not against the State of
    Tennessee but against a Tennessee Highway patrolman in his individual capacity. The acts in issue
    occurred on August 12, 1984, which predated the effective date of section 8 of Chapter 972 of the
    Public Acts of 1984 (the Claims Commission Act), which effective date was January 1, 1985.
    Section 8 of the Claims Commission Act was codified as Tennessee Code Annotated section 9-8-
    307.
    Thus, this Court in Youngblood v. Clepper specifically held that Tennessee Code Annotated
    section 9-8-307 was not applicable to that case and the decision applied case law predating the
    Claims Commission Act. Youngblood, 856 S.W.2d at 406.
    Waters v. State, 03A01-9808-BC-00248, 
    1998 WL 880911
     (Tenn.Ct.App. Dec.17,1998) and
    Bolton v. State, E2001-02960-COA-R9-CV, 
    2002 WL 1798538
     (Tenn.Ct.App. Aug.6,2002) are
    unreported decisions of the Court of Appeals in which applications to appeal to the Supreme Court
    were not filed.6 In Waters, the claimant appealed an adverse decision of the Claims Commission in
    a traffic accident on Highway 64 in Polk County resulting in the death of Mr. Waters. The Claims
    Commission dismissed the action holding that installation of the guardrails was discretionary and
    the State was therefor immune from suit. The Commission also held that the claimant failed to
    establish any negligence by the State in its design for maintenance of the highway, or that its actions
    were the proximate cause of the accident. The Court of Appeals sustained the action of the Claims
    Commission on the basis that “the Claims Commission properly determined that the State is immune
    from suit on this evidence under T.C.A. §§ 9-8-307(a)(1)(I) and (J).” Waters, 
    1998 WL 880911
    , *
    3. The appellate court then declined to address the other basis on which the Claims Commission had
    dismissed the claim. The court predicates its opinion upon its statement:
    T.C.A. § 9-8-307 provides the Commission has exclusive jurisdiction to
    decide certain monetary claims against the State. In this case, the Claimant brought
    claims under T.C.A. § 9-8-307(a)(1)(I) and T.C.A. § 9-8-307(a)(1)(J). Under T.C.A.
    § 9-8-307(d), the State “may assert any and all defenses, including common law
    defenses, which would have been available to the officer or employee in an action
    against such an individual based upon the same occurrence.” Additionally, T.C.A.
    § 9-8-307(g) provides “[n]o language contained in this chapter is intended to be
    construed to abridge the common law immunities of state officials and employees.”
    6
    Under Tennessee Supreme Court rule 4(H)(1), an unpublished opinion is controlling authority between the
    parties to the case but for all other purposes is considered persuasive authority.
    -18-
    Thus, under T.C.A. § 9-8-307(d), “the State may assert the common law immunity
    which has developed in this State with regard to discretionary actions of State
    employees.” Cox v. State, 
    844 S.W.2d 173
    ,176 (Tenn.App.1992)
    Waters, 
    1998 WL 880911
    , * 1 (Tenn.Ct.App. Dec.19,1998).
    The language of Tennessee Code Annotated section 9-8-307(g) is limited to the common law
    immunities of state officials and employees. No state official or employee was a defendant either
    in Waters or in the case at bar. The common law immunities of state officials and employees does
    not enure to the benefit of the state except to the extent that section 307(d) allows the state to assert
    such immunities, and that allowance is limited to absolute immunities.
    The difficulty with this reliance on the provision of Tennessee Code Annotated section 9-8-
    307(d) that the State “may assert any and all defenses, including common law defenses, which would
    have been available to the officer or employee in an action against such an individual based upon
    the same occurrence,” is that the same statute makes an express distinction between “common law
    defenses” and “common law immunities.” The Waters’ court then relies on the statement from Cox
    v. State, 
    844 S.W.2d 173
    , 176 (Tenn.App.1992) that “the State may assert the common law
    immunity which has developed in this State with regard to discretionary actions of state employees.”
    The actual provision of Tennessee Code Annotated section 9-8-307(d) as to such common law
    immunities is “the State may assert any absolute common law immunities available to the officer or
    employee, however, good faith common law immunity may not be asserted.”
    In Bolton v. State, E2001-02960-COA-R9-CV, 
    2002 WL 1798538
     (Tenn.Ct.App. Aug.6,
    2002) the State appealed the action of the Claims Commission denying its Motion for Summary
    Judgment based on discretionary function immunity. Janet Bolton was injured in September of 1995
    in an automobile accident on U.S. Highway11. She sued under Tennessee Code Annotated section
    9-8-307(a)(1)(I) and (J), the same provisions of the statute on which the case at bar is predicated.
    Without elaboration the Claims Commission overruled the summary judgment motion of the State.
    Certain concessions by the parties must be noted.
    The State, in its reply brief, however, concedes it is not entitled to summary judgment
    on Plaintiffs’ claim that the portion of Highway 11 that includes the intersection was
    negligently designed or constructed but instead argues Plaintiffs did not raise this
    claim at the trial level.
    Plaintiffs contend the Claims Commission correctly denied the State’s Motion
    for Summary Judgment and argue the State is not entitled to discretionary function
    immunity for the negligent design and construction and the dangerous condition of
    the intersection under Tenn.Code Ann. §§ 9-8-307(a)(1)(I) and (J). Plaintiffs,
    however, concede the State is entitled to judgment as a matter of law under the
    discretionary function immunity defense for its decision whether or not to install a
    traffic control device at the intersection.
    Bolton, 
    2002 WL 1798538
     * 2.
    -19-
    The critical portion of the opinion of the Court of Appeals states:
    Furthermore, under Tenn.Code Ann. § 9-8-307(d), “ ‘the State may assert the
    common law immunity which has developed in this State with regard to discretionary
    actions of State employees.’ ” Waters v. State, No. 03A01-9808-BC-00243, 1998
    Tenn.App. LEXIS 844, at * 2-3 (Tenn.Ct.App. Dec.17,1998), no appl. perm. app.
    filed, (quoting Cox v. State, 
    844 S.W.2d 173
    , 176 (Tenn.Ct.App.1992)). The State
    is immune from suit for discretionary acts under this defense. Courts, when
    determining whether a particular decision of the State is discretionary, are to apply
    the planning-operational test. Id. at * 3; Cox v. State, 844 S.W.2d at 176. When
    using the planning-operational test, courts are to consider “ ‘ (1) the decision-making
    process and (2) the propriety of judicial review of the resulting decision.’ ” Waters
    v. State, 1998 Tenn.App. LEXIS 844, at * 3 (quoting Bowers v. Chattanooga, 
    826 S.W.2d 427
    , 431 (Tenn.1992)).
    
    2002 WL 1798538
     * 4.
    Reliance is once again placed on the language from Cox v. State, 
    844 S.W.2d 173
    , 176
    (Tenn.Ct.App.1992) that “the state may assert the common law immunity which has developed in
    this state with regard to discretionary actions of state employees.” Once again this language is not
    what the statute says. The only other authority relied on in Bolton is the same language from Waters
    v. State.
    Footnote 3 in the Bolton opinion states:
    This Court in Waters v. State held that, while our Supreme Court in Bowers
    v. City of Chattanooga applied the planning-operational test to an action
    against a municipality under the Tennessee Governmental Tort Liability Act,
    the test was also applicable to actions against the State where the State raises
    the defense of common law immunity. Waters v. State, 1998 Tenn.App.
    LEXIS 844, at * 3.
    Waters, 
    2002 WL 1798538
    , *4 at n. 3.
    The difficulty with this position is that while discretionary function immunity upon which
    Bowers v. City of Chattanooga is predicated is specifically applicable to counties and cities under
    the Tennessee Governmental Tort Liability Act, it is not applicable to the State of Tennessee under
    the Claims Commission Act, section 9-7-307(d) as only “absolute” immunities are available to the
    state. Discretionary function immunity is a qualified (good faith) immunity rather than an absolute
    -20-
    immunity and by the express provisions of section 307(d) of the statute cannot be relied upon by the
    State in an action before the Claims Commission.7
    Even in the absence of a clear legislative mandate such as is contained in Tennessee Code
    Annotated section 9-8-307(d), the State could not assert discretionary function immunity as a matter
    of law so as to justify summary judgment.
    Although absolute immunity from § 1983 actions is available to government
    officials performing legislative functions at the municipal level, generally only
    qualified or “good faith” immunity has been extended to government officials
    performing discretionary functions that are characteristically executive or
    administrative. Scheuer v. Rhodes, 
    416 U.S. 232
    , 
    94 S. Ct. 1683
    , 
    40 L. Ed. 2d 90
    (1974); Harlow, supra; Mitchell v. Forsyth, 
    472 U.S. 511
    , 
    105 S. Ct. 2806
    , 
    86 L. Ed. 2d 411
     (1985). See, also, Anderson v. Creighton, 
    483 U.S. 635
    , 
    107 S. Ct. 3034
    ,
    97 L.Ed2d 523 (1987); Section 1983: Sword and Shield, supra, at 340-42; and
    Federal Civil Rights Acts, supra, §§ 108, 109. Consequently, because the United
    States Supreme Court has applied a “function” test in determining the extent of
    immunity granted to government officials, and because that Court has strongly
    suggested, and other courts have held, that government officials performing at the
    municipal level should not be classified differently from government officials
    performing at the federal or state level, we conclude that immunity is available to
    government officials performing discretionary functions at the municipal level that
    are executive or administrative in nature, but that that immunity is limited to the
    qualified or “good faith” variety.
    Point Properties, Inc. v. Anderson, 
    584 So. 2d 1332
    , 1338 (Ala.1991).
    A case closely analogous to the case at bar is Savage v. State, 127 Wash.2d 434, 
    899 P.2d 1270
     (1995). The legislature of Washington had enacted a sweeping abrogation of sovereign
    immunity similar to the Tennessee Claims Commission Act. In a suit against the State for alleged
    negligent supervision of a prisoner who raped the plaintiff, the finding of the Supreme Court of
    Washington denied the effort of the State to assert sovereign immunity:
    In addition, the Court of Appeals’ holding on the immunity issue is based on
    a premise we cannot sustain: that the immunity of a government agent will be
    extended to the State unless expressly prohibited by the Legislature. Savage, 72
    Wash.App. at 490, 
    864 P.2d 1009
    . That conclusion simply cannot be reconciled with
    7
    The metamorphosis of the position of the State on this issue is interesting and predictable. In Cox v. State,
    “the state maintains that it has never asserted discretionary function immunity as a defense to this claim.” 844 S.W .2d
    173, 176 (Tenn.Ct.App.1992). W hen in spite of this assertion the Claims Commission in Cox applied discretionary
    function immunity and the Court of Appeals approved such actions, although in a section of the opinion not necessary
    to a decision in the case, the State promptly accepted this invitation and in both Waters and Bolton, specifically relied
    on discretionary function immunity as it has relied on such immunity in the case at bar.
    -21-
    the legislative abrogation of sovereign immunity. That abrogation would be pointless
    if the Legislature were required, in order to give it effect, to reiterate it at every
    occasion in which it might apply. There is no basis for treating RCW 4.92.090 as a
    nullity, particularly as it is one of the broadest waivers of sovereign immunity in the
    country. See Comment, Abolition of Sovereign Immunity in Washington, 36
    Wash.L.Rev. 312, 313 (1961).
    B
    The Extension of Qualified Personal Immunity for the State
    The proper starting point for a discussion of whether the State is immune for
    the qualifiedly immune acts of its officers must begin with the legislative abrogation
    of sovereign immunity.
    Article 2, § 26 of the Washington State Constitution provides: “[t]he
    legislature shall direct by law, in what manner, and in what courts, suits may be
    brought against the state.” In 1961 the Legislature waived the State’s sovereign
    immunity from civil liability. Laws of 1961, ch. 136, § 1 (codified as RCW
    4.92.090). As subsequently amended, that section provides:
    The state of Washington, whether acting in its governmental
    or proprietary capacity, shall be liable for damages arising out of its
    tortious conduct to the same extent as if it were a private person or
    corporation.
    This provision operates to make the State presumptively liable in all instances
    in which the Legislature has not indicated otherwise. (underscoring added).
    Quite apart from the legislative mandate abrogating sovereign immunity, the
    different functions personal and governmental immunity are designed to serve
    support maintaining state liability in this context, even where the agent enjoys
    qualified personal immunity. One court has explained the difference as follows:
    [T]he fundamental reasons for the two immunities differ; for the
    officer it is to encourage unrestrained execution of responsibility,
    while for the sovereign it is to prevent judicial scrutiny of basic
    policies formulated by coordinate branches of government. To
    insulate the Government from liability for the inevitable mishaps
    which will occur when its employees perform their functions without
    fear of liability not only is unjust, but also serves no purpose for
    which sovereign immunity need exist.
    Downs v. United States, 
    382 F. Supp. 713
    , 750 (M.D.Tenn.1974) (in a Federal
    Tort Claims Act case it was unnecessary to decide whether government agents were
    immune, because the government would not be immune even if they were), rev’d on
    other grounds, 
    522 F.2d 990
     (6th Cir.1975); see also Lutheran Day Care v.
    Snohomish Cy., 119 Wash.2d 91, 108, 
    829 P.2d 746
     (1992), cert. denied, ____ U.S.
    _____, 
    113 S. Ct. 1044
    , 
    122 L. Ed. 2d 353
     (1992).
    -22-
    The Restatement (Second) of Torts recognizes this notion:
    With respect to some government functions, the threat of individual
    liability would have a devasting [sic] effect, while the threat of
    governmental liability would not significantly impair performance.
    Restatement (Second) of Torts § 895D cmt. j, at 420 (1979).
    A fact and policy specific inquiry also suggests the rationale underlying the
    grant of qualified personal immunity to parole officers does not apply with equal
    force to the State. Parole officers supervising parolees are called upon to make
    difficult decisions under difficult circumstances. Taggart v. State, 118 Wash.2d 195,
    215, 
    822 P.2d 243
     (1992). Given these conditions, the prospect of personal liability
    may reasonably be expected to have an unduly inhibiting effect on the performance
    of their professional duties.
    As was the case in Babcock v. State, 116 Wash.2d 596, 616-19, 
    809 P.2d 143
    (1991), the same cannot be said about state liability. On the contrary, maintaining
    the potential of state liability, as established in RCW 4.92, can be expected to have
    the salutary effect of providing the State an incentive to ensure that reasonable care
    is used in fashioning guidelines and procedures for the supervision of parolees.
    Savage v. State, 127 Wash.2d 434, 444, 
    899 P.2d 1270
    , 1275-76 (Wash.1995).
    The Claims Commission, both in Commissioner Baker’s March 1, 2002 order and in the en
    banc order of August 5, 2002 exhaustively construed Tennessee Code Annotated section 9-8-307
    and the cases deemed applicable to such construction and reached the conclusion that the State was
    not entitled to rely upon discretionary function immunity. The reasoning of the Commission is
    impressive but we are content to sustain the position of the Claims Commission on the basis that the
    statute is clear and unambiguous and needs no construction. Whether one refers to “qualified
    immunity,” “discretionary function immunity,” “discretionary acts immunity,” or “good faith
    immunity” is, in the context of this case, academic. None of these characterizations qualify as an
    “absolute immunity” and only absolute immunities are available to the state under Tennessee Code
    Annotated section 9-8-307(d).
    The State argues that even after it is determined that there is a dangerous condition, “then the
    State must be able to use its discretion in making a decision whether there are funds and other
    resources available to correct the dangerous condition.” In such situations, the argument goes, the
    state has the discretion to decide that the correction is too expensive or that monetary considerations
    require delay in correction until other projects are completed or even that a warning is not feasible.
    “The State must have the discretion to make these decisions without fear of law suits challenging
    the decisions made.”
    This position is inconsistent with Tenn. Code Ann. § 9-8-307(a)(1)(I) and (J). It is also
    inconsistent with the Claims Commission Act provision that the State’s liability in tort “shall be
    based on the traditional concepts of duty and the reasonably prudent person’s standard of care.”
    -23-
    Tenn. Code Ann. § 9-8-307(c). Under generally-applicable principles of tort law, all persons have
    a duty to use reasonable care under the circumstances to refrain from conduct that will foreseeably
    cause injury to others. Doe v. Linder Constru. Co., Inc., 
    845 S.W.2d 173
    , 178 (Tenn. 1992). In
    determining whether, in a particular situation, there is a duty to act responsibly so as to protect others
    from unreasonable risks of harm, Tennessee has adopted an approach that balances the foreseeable
    probability and severity of harm against the burden upon the defendant to engage in alternative
    conduct that would have prevented the harm. Staples v. CBL & Associates, Inc., 
    13 S.W.3d 83
    , 89
    (Tenn. 2000); McClung v. Delta Square Limited Partnership, 
    937 S.W.2d 891
    , 894-95 (Tenn. 1996);
    McCall v. Wilder, 
    913 S.W.2d 150
    , 153 (Tenn. 1995). In determining whether a risk is an
    unreasonable one, the court must consider several factors, including
    The foreseeable probability of the harm or injury occurring; the possible magnitude
    of the potential harm or injury; the importance or social value of the activity engaged
    in by defendant; the usefulness of the conduct to defendant; the feasibility of
    alternative, safer conduct and the relative costs and burdens associated with that
    conduct; the relative usefulness of the safer conduct; and the relative safety of
    alternative conduct.
    Staples, 15 S.W.3d at 89, quoting Coln v. City of Savannah, 
    966 S.W.2d 34
    , 39 (Tenn. 1998);
    McCall v. Wilder, 913 S.W.2d at 153.
    Thus, under general tort law principles, the feasibility and costs associated with correcting
    a dangerous condition or taking other steps to avoid injury because of that condition would be factors
    relevant to a determination of duty, not a bar to recovery by an injured plaintiff.8 Our Supreme Court
    has applied traditional tort theories to claims under the Claims Commission Act, pursuant to Tenn.
    Code Ann. §9-8-307(c). See Stewart v. State, 
    33 S.W.3d 785
    , 793 (Tenn. 2000) (applying common
    law principles of assumption of a duty where one is not legally imposed to a claim for negligent
    control).
    CONCLUSION
    The seed from which the problem developed in this case was planted in Cox v. State, when
    after the State correctly conceded that it could not rely on discretionary function immunity under
    Tennessee Code Annotated section 9-8-307(d) the Claims Commission applied the doctrine anyway.
    When this Court in dicta approved the action of the Claims Commission the State changed its
    position. Thereafter, in Waters and in Bolton and in the case at bar, the State asserted discretionary
    function immunity based upon Cox. Continued reliance on the dicta in Cox simply compounds the
    problem.
    8
    The Savage court sidestepped this question by affirming the trial court judgment on the basis that the State
    had tendered no proof as to such considerations or as to the economic resources available to the state.
    -24-
    Subject to monetary caps and limitations to actual damages and court costs, the Claims
    Commission Act was a sweeping abrogation of sovereign immunity. Hembree v. State, 
    925 S.W.2d 513
     (Tenn.1996). It was the same broad waiver of sovereign immunity as was effected in Savage,
    
    899 P.2d 1270
     (Wash.1995). By way of exception to this broad abrogation, the legislature gave back
    to the state the right to plead absolute immunity. The legislature specifically prohibited the state
    from relying on “good faith” immunity. The controlling point is that no matter how one may define
    “discretionary function” immunity it cannot be defined as an absolute immunity, and since the statute
    restricts the state to the defense of absolute immunity only, it necessarily follows that the State
    simply cannot rely on “discretionary function” immunity.
    The Claims Commission has already held that the question of notice of dangerous conditions
    remains for trial. It has further already granted summary judgment to the State under Tennessee
    Code Annotated section 28-3-202 for all claims predicated upon acts or omission occurring more
    than four years before the respective dates of claims in these cases. As these issues were not
    appealed, they are not currently before the Court. Foreseeability remains an issue of fact to be tried.
    On the sole issue before this Court which is the availability of “discretionary function”
    immunity to the State under the Tennessee Claims Commission Act, we affirm the action of the
    Claims Commission for reasons stated herein and remand these cases for trial on their respective
    merits “based upon the traditional tort concepts of duty and a reasonably prudent persons’ standard
    of care.” Tenn.Code Ann. § 9-8-307(d).
    Costs of the cause are assessed to the State of Tennessee.
    ____________________________________
    WILLIAM B. CAIN, JUDGE
    -25-