Bofinger v. Bofinger

107 Misc. 2d 573, 435 N.Y.S.2d 652, 1981 N.Y. Misc. LEXIS 2067
CourtNew York Supreme Court
DecidedJanuary 26, 1981
StatusPublished
Cited by4 cases

This text of 107 Misc. 2d 573 (Bofinger v. Bofinger) is published on Counsel Stack Legal Research, covering New York Supreme Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Bofinger v. Bofinger, 107 Misc. 2d 573, 435 N.Y.S.2d 652, 1981 N.Y. Misc. LEXIS 2067 (N.Y. Super. Ct. 1981).

Opinion

OPINION OF THE COURT

Oscar Murov, J.

This is a motion for an order dismissing an action commenced by a wife for a divorce on the ground that at the time said action was commenced there was another action pending between the two parties (CPLR 3211, subd [a], par 4). The wife submits that there should be a joint trial (CPLR 602, subd [a]).

The husband’s action was commenced on July 14, 1980, five days prior to the effective date of the new equitable distribution law (L 1980, ch 281). The summons served on the wife contained, on its face, the proper notice, reciting as grounds “cruel and inhuman treatment”, and the relief sought, “custody of the infant children” and “exclusive use of the marital abode”. The wife appeared by counsel in this action on July 22, 1980. Eight days later and on July 30, 1980, the wife commenced a separate action for divorce “and/or separation”. The grounds set forth on the face of said summons with notice were “abandonment and cruel and inhuman treatment”. Among the ancillary relief requested is “equitable distribution, or in the alternative a distributive share of the marital property”. The wife served her complaint on August 29, 1980 and hus[574]*574band served his complaint on September 12, 1980. Each party served an answer to the other’s complaint within a matter of days.

The question presented by this motion is common enough during this period of transition in matrimonial law: May a defendant who was served with a summons for divorce during a period of time when the “old law” governed, institute a new action in order to avail herself of the equitable distribution rights granted under the new part B of section 236 of the Domestic Relations Law? Under the facts of this case, the court answers the question in the affirmative.

So far, most commonly with the passage of the equitable distribution law in New York State, questions of procedure have arisen with the courts having been asked to decide whether or not a party who commenced an action for divorce under the “old law”, will be faced with a situation where his action will be governed by the “new law”. The Justices of the Supreme Court of this State have grappled with that question and have rendered well-reasoned decisions on all sides with varying results (see Deschamps v Deschamps, 103 Misc 2d 678; Cooper v Cooper, 103 Misc 2d 689; Goding v Goding, 106 Misc 2d 423; Badeer v Badeer, NYLJ, Sept. 10, 1980, p 15, col 3, J as-pan, J.; Malley v Malley, NYLJ, Sept. 19,1980, p 14, col 1, Murphy, J.; Green v Green, NYLJ, Sept. 25, 1980, p 18, col 1, Aspland, J.; Sapone v Sapone, NYLJ, Sept. 25, 1980, p 18, col 2, McCarthy, J.; Miller v Miller, NYLJ, Dec. 24,1980, p 15, col 5, Baisley, J.; Moss v Moss, NYLJ, Jan. 13, 1981, p 13, col 1, Lonschein, J.). This case, however, represents a novel question as to whether a spouse can be forced to bring a cause of action under the “old law” merely because the other spouse has commenced a separate cause of action for alleged claims against him prior to July 19, 1980.

The dismissal of a complaint asserting legally valid claims of a wife against her husband is not proper on the grounds of “another action pending * * * for the same cause of action” merely because the husband had previously commenced his action asserting his claims against the wife. Clearly CPLR 3211 (subd [a], par 4) indicates [575]*575that it was not intended to be applied to situations where the acts of wrongdoing alleged in one action are different from those alleged in the other. Clearly CPLR 3211 (subd [a], par 4) was designed to prevent a party from repeated lawsuits of the same defendant. Thus, if only the legal basis varies, the “cause of action” for the purposes of CPLR 3211 (subd [a], par 4) may very well be the same. However, if the relief claimed is different or the factual basis thereunder is different, a motion to dismiss under CPLR 3211 (subd [a], par 4) ought not to be permitted. As noted by David Siegel in the Practice Commentaries (McKinney’s Cons Laws of NY, Book 7B, CPLR, 03211:15, p 21): “It need not be shown that they pursue the same theories. A plaintiff can unreasonably burden a defendant with a series of suits emanating from a single wrong, merely by basing each suit on a different theory of recovery. The criterion should invite a two-pronged inquiry: (1) Do both suits arise out of the same actionable wrong or series of wrongs? and (2) As a practical matter is there any good reason for two actions rather than one being brought in seeking the remedy?”

In this case, the first question must be answered in the negative and the second in the affirmative. Clearly, there is no requirement that a party must sue on all claims that they may have against each other once a party has commenced a lawsuit as similarly noted by Professor David Siegel and until a matter goes to judgment the party is not bound by any action (see National Fire Ins. Co. of Hartford v Hughes, 189 NY 84). In that case, the court held that the pendency of a first action between the same parties and a second action involving the same parties and though related to the same subject matter in the first and second action does not bar the pendency of the second action. Thus, even where both causes of action may arise out of the same occurrence, where the relief requested is different, more than one action can obviously be maintained. (Kent Dev. Co. v Liccione, 37 NY2d 899.)

In the case at bar, both parties have asserted bona fide causes of action and clearly the most reasonable method for proceeding with the resolution of both parties’ claims against each other is a joint trial (CPLR 602) with no [576]*576necessity for the actions being tried separately even though different since a trial court is capable of resolving the differences in the application of the law with a final solution to any permutation the proof might develop. Moreover, were the husband in any event to prove his case, the court can obviously deny alimony to the wife without reference to distribution of the property and any distributive award. Indeed, one of the questions posed by the new equitable distribution law is whether marital fault by either spouse will preclude an award or maintenance, whether temporary or permanent, and, since this court sits as a court of equity, a party may be denied relief upon his failure to come before it with “clean hands”. (See Christian v Christian, 42 NY2d 63; Henderson v Henderson, 63 AD2d 853; Polley v Polley, 62 AD2d 986; Nobel v Nobel, 49 AD2d 850.) Furthermore, the decisions of courts in other States, where the concept of equitable distribution is in force, have also held that fault that destroyed the marital home is a factor to be considered in making an award of alimony (Edge v Commissioner of Welfare, 34 Conn S 284; Kingsley v Kingsley, 45 Md App 199; Chalmers v Chalmers, 65 NJ 186; cf. Lynch v Lynch, 360 NE2d 661 [Mass]).

CPLR 3211 (subd [a], par 4) and 602 grant wide discretion to the court to fashion results which are most suitable to facts and as is appropriately noted again by Professor David Siegel to this regard: “A common disposition on a paragraph 4 motion is not to dismiss the present action, but to consolidate it with the other action.

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Bluebook (online)
107 Misc. 2d 573, 435 N.Y.S.2d 652, 1981 N.Y. Misc. LEXIS 2067, Counsel Stack Legal Research, https://law.counselstack.com/opinion/bofinger-v-bofinger-nysupct-1981.