BOLER v. SECURITY HEALTH CARE, L.L.C.

2014 OK 80, 336 P.3d 468, 2014 Okla. LEXIS 107, 2014 WL 4840437
CourtSupreme Court of Oklahoma
DecidedSeptember 30, 2014
Docket111,775
StatusPublished
Cited by27 cases

This text of 2014 OK 80 (BOLER v. SECURITY HEALTH CARE, L.L.C.) is published on Counsel Stack Legal Research, covering Supreme Court of Oklahoma primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
BOLER v. SECURITY HEALTH CARE, L.L.C., 2014 OK 80, 336 P.3d 468, 2014 Okla. LEXIS 107, 2014 WL 4840437 (Okla. 2014).

Opinions

EDMONDSON, J.

T1 The issue is whether the trial court erred in denying the nursing home's motion to compel arbitration. The trial judge held that the wrongful death claim belonging to Cleo Boler's statutory beneficiaries pursuant to 12 0.98.2011 § 1058 is not subject to an agreement to arbitrate contained in her nursing home's admission contract. We agree with the trial court and hold that the personal representative and the next of kin are not bound by the arbitration agreement in the contract signed on Cleo Boler's behalf,. They did not sign the nursing home contract in their personal capacities and their claim is not wholly derivative of Cleo Boler's claim.

1 2 Cleo Boler was admitted to Grace Living Center-Norman (Grace), a long-term care facility in January 2010 and was a resident there until January 2012. Judy Little (also known as Julie Little), as Cleo Boler's attorney in fact, signed the admission doeu-ments which included a three-page Dispute Resolution Provision (arbitration agreement). The arbitration agreement provided that any claim, controversy, dispute or disagreement arising out of or in connection with the care rendered to Cleo Boler would be determined by submission to neutral, binding arbitration. It purported to bind not only Cleo Boler, but any future legal representatives, heirs, sue-cessors, ete. who might assert a claim against Grace.1

T3 On October 28, 2011, Cleo Boler, individually, and Judy Little and Johnnie Boler [470]*470as attorneys in fact, sued Grace and others for negligence, violation of the Nursing Home Care Act and breach of contract regarding the care and treatment of Cleo Boler. Grace filed a Motion to Compel Arbitration, asserting that the contract was one involving interstate commerce and was valid and enforceable under the Federal Arbitration Act (FAA), which preempts contrary state law.

T4 Cleo Boler died on June 17, 2012, before a response to the motion to compel arbitration was filed. Johnnie Boler (Boler), as personal representative of Cleo's estate, filed a motion for substitution of parties and sought to amend the petition to add survivor claims pursuant to 12 0.8. § 1051 and wrongful death claims pursuant to 12 0.8. § 1053.2 By order filed March 7, 2013, the trial judge granted both motions. Johnnie Boler, as personal representative of Cleo Boler's estate, filed a second amended petition which brought survival claims on behalf of Cleo Boler's estate pursuant to 12 0.8. § 1051, and a wrongful death claim on behalf of Cleo Boler's beneficiaries, pursuant to 12 O.S8. § 1053.3

T5 Boler filed a response to Grace's Motion to Compel Arbitration arguing that [471]*471Grace could not compel his sister and himself to arbitrate their wrongful death claim because their claim is independent and did not arise until the death of Cleo Boler; further, that they did not sign the arbitration agreement in their personal capacities and were not bound by Cleo Boler's arbitration agreement. This is so, they maintain, even if Cleo Boler's claims must be arbitrated.

T 6 The hearing on Grace's motion to compel arbitration was held January 31, 2013, at which time the trial court addressed whether, as a matter of law, the wrongful death claim was subject to arbitration. The trial court found that wrongful death is a separate and distinet cause of action and is derivative only in the sense that the decedent must have a viable claim at the time of his death.4 The motion to compel arbitration was denied as to the wrongful death claim and the court reserved ruling on all other issues and arguments. The trial judge did not rule on the validity of the contract, but looked solely to whether the arbitration agreement was enforceable.5 appealed, arguing that the trial court erred in relying on the Utah case of Bybee v. Abdulla, 189 P.8d 40 (Utah 2008), to hold that non-signatories to the arbitration agreement were not bound by it for their wrongful death claim because the claim was not wholly derivative of Cleo Boler's claim.

¶7 An order denying a motion to compel arbitration is an appealable order. 12 O.S. § 1879(A)(1). The existence of an agreement to arbitrate is a question of law to be reviewed de novo. Rogers v. Dell Computer Corp., 2005 OK 51 ¶ 18, 138 P.3d 826, 831.

¶8 The Nursing Home Care Act, 63 0.8. § 1-1918, created a statutory tort with a private right of action for nursing home residents or their guardians to redress a violation of rights conferred therein. Morgan v. Galilean Health Emterprises, Inc., 1998 OK 130, 977 P.2d 357, 361-62. Liability for a statutory tort is incurred when it can be shown that the plaintiffs injury resulted from a statutory violation and that the plaintiff falls into a class of persons whom the legislature intended to protect. The Nursing Home Care Act is not the patient's exclusive remedy. Estate of Hicks v. Urban East, 2004 OK 36, 92 P.3d 88. The Act provides that the plaintiff may seek any recovery permitted by law. 68 0.8. $ 1-1989(B),(C).

T 9 Wrongful death claims were not cognizable at common law; the right of action for personal injury stood extinguished by the death of the injured party. This rule was abrogated by Oklahoma's wrongful death statute. A cause of action for injury to the person is now survivable and a new. and [472]*472independent wrongful death claim has been created. Ouellette v. State Farm Ins. Co., 1994 OK 79, 918 P.2d 1363, 1366. On appeal, the issue is whether claims brought by non-signatory wrongful death claimants must be arbitrated. Title 12 0.8. § 1053 provides that wrongful death claims lie if, at the time of his or her death, the decedent had a right of recovery for the injury in suit,. The parties disagree on whether wrongful death claims in Oklahoma are wholly or partially derivative and the effect of that distinction.

110 Grace argues that wrongful death claims are entirely derivative claims, binding on the next of kin, predicated solely upon the right of action personal to the decedent because the claim must have been one the decedent could have brought if she had lived. Grace directs our attention to cases in which the decedent's execution of a release and satisfaction of the claim meant there was no action surviving the death. See Haws v. Luethje, 1972 OK 146, 503 P.2d 871. Grace argues that Cleo Boler's personal representative can maintain only an action that Cleo Boler could have maintained if she had survived; otherwise, her rights are "enlarged" by Oklahoma's wrongful death statute. Thus, because she contracted to arbitrate her claims against Grace, her personal representative must arbitrate the wrongful death claim. Grace points to Riley v. Brown and Root, Inc., 1992 OK 114, 836 P.2d 1298, 1300, 1301, for the proposition that such claims are wholly derivative of rights held by the decedent and the heirs are bound by the decedent's contractual agreement to arbitrate:

"The action for wrongful death is not a separate and distinct tort, but is an action which derives from the rights of the decedent (citation omitted). Whatever rights the decedent might have had in his life accrue to the personal representative at death, thus overcoming the common law barrier of death."

111 Boler, in opposition, argues that the wrongful death claim is not wholly derivative because the statute only requires that the decedent must have had a right to sue while alive.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

James Williams v. Smyrna Residential, LLC
Tennessee Supreme Court, 2024
El Jen Med. Hosp. v. Tyler
Nevada Supreme Court, 2023
James Williams v. Smyrna Residential, LLC
Court of Appeals of Tennessee, 2022
Stonerise Healthcare, LLC v. Susan K. Oates
West Virginia Supreme Court, 2020
FARLEY v. CITY OF CLAREMORE
2020 OK 30 (Supreme Court of Oklahoma, 2020)
GAASCH v. ST. PAUL FIRE AND MARINE INSURANCE CO.
2018 OK 12 (Supreme Court of Oklahoma, 2018)
Jacks v. CMH Homes, Inc.
856 F.3d 1301 (Tenth Circuit, 2017)
Ipock v. Manor Care of Tulsa Ok, LLC
274 F. Supp. 3d 1249 (N.D. Oklahoma, 2017)
FutureCare NorthPoint, LLC v. Peeler
143 A.3d 191 (Court of Special Appeals of Maryland, 2016)
FutureCare Northpoint v. Peeler
Court of Special Appeals of Maryland, 2016
State Of Washington v. Andrew P. Mathers
Court of Appeals of Washington, 2016
Richmond Health Facilities-Kenwood, LP v. Nichols
811 F.3d 192 (Sixth Circuit, 2016)
Johnson v. Convalescent Center of Grady County, LLC
2014 OK 102 (Supreme Court of Oklahoma, 2014)
BOLER v. SECURITY HEALTH CARE, L.L.C.
2014 OK 80 (Supreme Court of Oklahoma, 2014)

Cite This Page — Counsel Stack

Bluebook (online)
2014 OK 80, 336 P.3d 468, 2014 Okla. LEXIS 107, 2014 WL 4840437, Counsel Stack Legal Research, https://law.counselstack.com/opinion/boler-v-security-health-care-llc-okla-2014.