Berg v. Kelley

590 A.2d 621, 134 N.H. 255, 1991 N.H. LEXIS 40
CourtSupreme Court of New Hampshire
DecidedMay 6, 1991
DocketNo. 90-107
StatusPublished
Cited by7 cases

This text of 590 A.2d 621 (Berg v. Kelley) is published on Counsel Stack Legal Research, covering Supreme Court of New Hampshire primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Berg v. Kelley, 590 A.2d 621, 134 N.H. 255, 1991 N.H. LEXIS 40 (N.H. 1991).

Opinion

Brock, C.J.

The plaintiffs, John and Patricia Berg, appeal from orders of the Superior Court (Temple, J.) denying their motion to amend and granting the defendant’s two motions to dismiss. We reverse and remand.

The relevant facts are as follows. The defendant, Winfield Kelley, Jr., a chiropractor, treated the plaintiff, John Berg, between June and December, 1986. Beginning in November, the plaintiff experienced adverse symptoms resulting in his hospitalization from December 1986 to February 1987. During his hospitalization, he was diagnosed as having a degenerative disease of the neck. The plaintiffs claim that this condition resulted from the defendant’s breach of the standard of care in chiropractic treatment.

In November, 1989, plaintiffs’ counsel forwarded a writ of summons to the sheriff’s office for service on the defendant. The defendant was served, and his counsel entered a general appearance and filed a special plea and statement of defense with the superior court. Because the plaintiffs’ counsel used a district court writ, the superior court clerk’s office refused to enter the writ and returned it to the plaintiffs. Counsel for the plaintiffs then prepared and forwarded a second writ of summons on the correct form, which was served on the defendant in January, 1990.

The defendant moved to dismiss the first writ, claiming that it was void for lack of the superior court clerk’s signature. The plaintiffs filed a motion to amend, requesting that the superior court writ be substituted for the district court writ. In response to the second writ, the defendant filed a special appearance and a motion to dismiss alleging that the second writ was barred by the three-year statute of limitations. RSA 508:4 (Supp. 1990). In a single order, the Superior Court (Temple, J.) denied the plaintiffs’ motion to amend filing and granted both of the defendant’s motions to dismiss. This appeal followed.

On appeal, the plaintiffs assert: (1) that a jury should determine whether the plaintiff’s injury arose out of the professional services rendered by the defendant prior to July 1, 1986, in which case the cause of action would be subject to a six-year statute of limitations, RSA 508:4 (1981) (current version at Supp. 1990); (2) that suit was timely brought under the three-year statute of limitations; (3) that the attachment of the original complaint to the district court writ was a defect in form subject to correction by amendment; (4) that the [257]*257three-year statute of limitations was tolled by the defendant’s representations, accepting the writ as valid; and (5) that the plaintiffs ought not to be denied the benefit of RSA 508:10, having brought their second suit after the three-year statute of limitations had run.

We decide this case on the basis of the plaintiffs’ final assertion that they should be benefited by RSA 508:10. RSA 508:10 provides that “[i]f judgment is rendered against the plaintiff in an action brought within the time limited therefor, or upon a writ of error thereon, and the right of action is not barred by the judgment, a new action may be brought thereon in one year after the judgment.” This so-called saving statute is “designed to insure a diligent suitor the right to a hearing in court until he reaches a judgment on the merits.” Brady v. Duran, 119 N.H. 467, 468, 403 A.2d 416, 417 (1979) (quoting Adams v. Sullivan, 110 N.H. 101, 105, 261 A.2d 273, 276 (1970)); see Rowe v. John Deere, 130 N.H. 18, 23, 533 A.2d 375, 378 (1987) (citation omitted). The statute benefits suitors who “are compelled to abandon their present action, whether by their own act or the act of the court, when either would leave them with a cause of action, yet undetermined.” Brady v. Duran, supra at 469-70, 403 A.2d at 418 (quoting Milford Quarry &c. Co. v. Railroad, 78 N.H. 176, 178, 97 A. 982, 983-84 (1916), itself quoting State Bank v. Magness, 11 Ark. (6 Eng.) 343, 346 (1860)). The liberal purpose of the statute “is not to be frittered away by any narrow construction.” Hughes v. Hebert, 106 N.H. 176, 178, 207 A.2d 432, 433 (1965) (quoting Gaines v. City of New York, 215 N.Y. 533, 539, 109 N.E. 594, 596 (1915)).

Essentially, RSA 508:10 serves “to permit an action to be brought after the general limitation ha[s] run (RSA 508:4), where a prior action, seasonably brought, should be dismissed for reasons not barring the right of action or determining it upon its merits.” Hughes v. Hebert, supra at 177, 207 A.2d at 433. The test of RSA 508:10 “is whether the right of action is, or is not, barred by the first judgment.” Milford Quarry &c. Co. v. Railroad, supra at 177, 97 A. at 983.

The defendant argues that because the plaintiffs’ first writ was void, no cause of action was “brought” within the statute of limitations as required by RSA 508:10. The defendant further contends that the plaintiffs’ second action is barred under the doctrine of res judicata, because a dismissal of the first writ as a nullity was analogous to dismissal for failure to state a claim or failure to bring an action within the appropriate statute of limitations, thereby [258]*258constituting a judgment on the merits. Consequently, the defendant asserts that the saving statute, RSA 508:10, is inapplicable to this case. We do not accept the defendant’s arguments.

We first address the defendant’s argument that the original writ was void and that, therefore, the plaintiffs did not bring suit within the statute of limitations. The record reveals that plaintiffs’ counsel prepared the first writ and had it served on the defendant before the third anniversary of the plaintiff’s last chiropractic appointment with; the defendant. It is well established that “a suit is to be considered as commenced, or brought, when the writ is sued out and completed, in order to have it served on the defendant.” Mason v. Cheney, 47 N.H. 24, 25 (1866) (citations omitted), quoted in Brady v. Duran, 119 N.H. at 469, 403 A.2d at 418; see Maguire v. Merrimack Mut. Fire Ins. Co., 125 N.H. 269, 272, 480 A.2d 112, 113 (1984) (citation omitted); Hodgdon v. Weeks Mem. Hosp., 122 N.H. 424, 426, 445 A.2d 1116, 1117-18 (1982). It is inescapable that the plaintiffs brought their action on a judicially sanctioned writ, although it was later dismissed, well within the three-year statute of limitations.

We next address the defendant’s claim that the plaintiffs’ second suit was barred by the dismissal of the first action. The plaintiffs mistakenly used a district court writ rather than a superior court writ. Thus, the writ lacked the required signature of the superior court clerk. See Smith v. Tallman, 87 N.H. 176, 177, 175 A. 857, 858 (1934); Parsons v. Sweet, 32 N.H. 87, 88-89 (1855). This defect of form resulted in the superior court clerk’s refusal to accept the case for filing. See Brady v. Duran, 117 N.H. 275, 276, 372 A.2d 283, 284 (1977). The clerk’s refusal resulted in the trial court’s later dismissal of the action and denial of the motion to amend as there was no writ to be amended.

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Bluebook (online)
590 A.2d 621, 134 N.H. 255, 1991 N.H. LEXIS 40, Counsel Stack Legal Research, https://law.counselstack.com/opinion/berg-v-kelley-nh-1991.