Ammerman v. Johnson, No. Cv 940121129 (Oct. 24, 1995)

1995 Conn. Super. Ct. 12328, 15 Conn. L. Rptr. 299
CourtConnecticut Superior Court
DecidedOctober 24, 1995
DocketNo. CV 940121129
StatusUnpublished
Cited by2 cases

This text of 1995 Conn. Super. Ct. 12328 (Ammerman v. Johnson, No. Cv 940121129 (Oct. 24, 1995)) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Ammerman v. Johnson, No. Cv 940121129 (Oct. 24, 1995), 1995 Conn. Super. Ct. 12328, 15 Conn. L. Rptr. 299 (Colo. Ct. App. 1995).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.]MEMORANDUM OF DECISION The defendants in this personal injury action arising out of a motor vehicle collision have moved to strike many of the counts in the plaintiffs' thirty-five count complaint. The motions to strike first challenge as legally insufficient the eighteen counts in which the plaintiff Mark Ammerman's three minor children seek damages for loss of paternal consortium resulting from the injuries to their father.

The function of a motion to strike is to test the legal sufficiency of a pleading. Practice Book § 152; Ferryman v.Groton, 212 Conn. 138, 142 (1989). The motion to strike admits all facts well pleaded; Cyr v. Brookfield, 153 Conn. 261, 263 (1965); and the allegations are to be given the same favorable construction as a trier of fact would be required to give in admitting evidence under them. Benson v. Housing Authority,145 Conn. 196, 199 (1958). Facts necessarily implied by the allegations in a complaint are sufficiently pleaded and need not be expressly alleged. Bouchard v. People's Bank, 219 Conn. 465,471 (1991). If any facts provable under the express and implied allegations in the plaintiff's complaint support a cause of action, the complaint is not vulnerable to a motion to strike.Bouchard v. People's Bank, supra, 471; Senior v. Hope,156 Conn. 92, 97-98 (1968).

In 1979, the Connecticut Supreme Court overruled its earlier ruling in Marri v. Stamford Street Railroad Co.,84 Conn. 9 (1911), and held that each spouse has a claim for loss of consortium arising from personal injury to the other spouse caused by the negligence of a third person. Hopson v. St.Mary's Hospital, 176 Conn. 485, 496 (1979). In the years afterHopson, our trial courts began to see the filing of claims by parents for loss of filial consortium and claims by children for loss of parental consortium. The first reported decision on the issue of whether a claim for loss of parental consortium is CT Page 12329 recognized by our courts was Clark v. Romeo, 561 F. Sup. 1209 (1983), where Judge Zampano held that minors do not have a cause of action for loss of parental consortium.

Since Clark v. Romeo, there have been numerous Superior Court decisions as to whether loss of consortium in a parent-child relationship is a recognized cause of action. The memoranda of the parties in this case detail the numerous trial court decisions on this issue and note the split of authority which has developed. Our Supreme Court has not ruled on the issue. Nor has our Appellate Court, which noted in 1988 that, "No appellate court case has yet addressed squarely the issue of whether, under any circumstances, a cause of action for the loss of filial consortium lies." Mahoney v. Lensink, 17 Conn. App. 130,141, n. 7 (1988), rev'd. on other grounds, 213 Conn. 548 (1990). It is true that the Appellate Court has stated, "The right to consortium is said to arise out of the civil contract of marriage and as such, does not extend to the parent-child relationship. " Id., 141. That statement constitutes only dicta, however, because the Appellate Court first found that the plaintiffs' loss of consortium claim was bared by sovereign immunity. Id.

A review of the many Superior Court decisions on this issue persuades this court that the better-reasoned view is to recognize a cause of action for loss of parental consortium. The reasoning and analysis which led our Supreme Court to recognize a cause of action for loss of marital consortium inHopson should be logically extended to the analogous claim for loss of parental consortium. The court finds the reasoning of two decisions particularly persuasive. They are Kizina v.Minier, Superior Court, JD of Waterbury, DN. 0993755 Conn. L. Rptr. 481 (January 24, 1992) and Shabazz v. Price, Superior Court, JD of New Haven at New Haven, DN. 93-0353763 11 Conn. L. Rptr. 331 (April 22, 1994), and the court adopts the reasoning of those cases as its own. The motions to strike the children's claims for loss of parental consortium on the ground that the cause of action is not recognized are denied.

The defendants next move to strike those counts of the complaint which set forth consortium claims by the wife and children of the plaintiff Mark Ammerman and seek double or treble damages under General Statutes § 14-295. The defendants contend that a loss of consortium claim is a purely derivative claim and therefore does not constitute a "personal injury" CT Page 12330 claim for the purpose of General Statutes § 14-295.

General Statutes § 14-295 provides:

In any civil action to recover damages resulting from personal injury, wrongful death or damage to property, the trier of fact may award double or treble damages if the injured party has specifically pleaded that another party has deliberately or with reckless disregard operated a motor vehicle in violation of Section 14-218a, 14-219, 14-222, 14-227a, 14-230, 14-234, 14-239 or 14-240a and that such violation was a substantial factor in causing such injury, death or damage to property.

(Emphasis added.) In making their claim, the defendants fail to address the Supreme Court ruling in Izzo v. Colonial Penn Ins.Co., 203 Conn. 305 (1987).

The issue in Izzo was whether a loss of consortium claim fell within the limits of liability for "bodily injury to one person" so as to make the "per person" limit of an insurance policy applicable to the consortium claim. Citing Hopson, the Supreme Court held that loss of consortium, although a separate cause of action, is a derivative action "inextricably attached to the claim of the injured spouse." Id., 312. The loss of consortium claim therefore was found to be within the "per person" limit of coverage because it is a loss sustained "because of bodily injury to one person."

In discussing decisions on this issue from other jurisdictions, the court noted that some insurance policies speak of "personal injury" rather than "bodily injury." The court distinguished decisions where the policies in question used the term "physical injury" rather than "bodily injury:"

The term "personal injury" is broad enough to encompass a claim for injury which is personal to the claimant, although flowing from the physical injury of another. It has been said that the term "bodily injury," however, is narrower in that it connotes an element of personal contact . . . A claim of loss of consortium, although a "personal injury," is not a "bodily injury" to the claimant. CT Page 12331

Id., 313.

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Bluebook (online)
1995 Conn. Super. Ct. 12328, 15 Conn. L. Rptr. 299, Counsel Stack Legal Research, https://law.counselstack.com/opinion/ammerman-v-johnson-no-cv-940121129-oct-24-1995-connsuperct-1995.