Brown v. Overhead Door Corp.

843 F. Supp. 482, 1994 U.S. Dist. LEXIS 1189, 1994 WL 34133
CourtDistrict Court, W.D. Arkansas
DecidedJanuary 21, 1994
DocketCiv. No. 93-5210
StatusPublished
Cited by7 cases

This text of 843 F. Supp. 482 (Brown v. Overhead Door Corp.) is published on Counsel Stack Legal Research, covering District Court, W.D. Arkansas primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brown v. Overhead Door Corp., 843 F. Supp. 482, 1994 U.S. Dist. LEXIS 1189, 1994 WL 34133 (W.D. Ark. 1994).

Opinion

MEMORANDUM OPINION

H. FRANKLIN WATERS, Chief Judge.

This products liability action was filed in the Eastern District of Oklahoma on June 17, 1993. The court’s jurisdiction is based on diversity of citizenship, 28 U.S.C. § 1332. The complaint alleges that on June 1, 1992, Dennis Brown, Jr., then two years old, was trapped under a garage door at a residence located in Washington County, Arkansas. The garage door in question was operated by an automatic garage door opener manufactured by the defendant. The opener was installed on April 27,1982, during or near the completion of the construction of the home.

The opener was installed by the Overhead Door Company of Fort Smith, Arkansas, an independent dealer/distributor who sells products manufactured by Overhead Door Corporation. Plaintiff contends the opener safety device designed to reverse the door if it met with an obstruction such as a child while closing malfunctioned causing it to descend upon Dennis Brown, Jr., with sufficient force to trap him underneath the door. Dennis Brown, Jr., sustained severe personal injuries as a result of the incident and is now cared for in an institutional setting.

Plaintiffs originally asserted four causes of action. However, by order of the court entered on October 21, 1993, two of the causes of action brought under Oklahoma law were dismissed. The remaining claims are for [484]*484negligence and strict liability in connection with the design, manufacture, and sale of the opener. Plaintiffs also assert a claim for punitive damages. In the October 21, 1993, order the court also ruled that the substantive law of Arkansas would apply to the action because Arkansas was the state with the most significant relationship to the claims asserted. On December 22, 1993, an order was entered allowing the defendant to amend its answer to assert a statute of limitations or statute of repose defense to the plaintiffs’ claims.

This action was transferred to this court by order entered on December 22, 1993. In the order of transfer the court again determined under the applicable choice-of-law rules that Arkansas substantive law should be applied to the case. As Ark.Code Ann. § 16 — 56—112(b) (1) is a substantive statute, the court concluded it would be applied to the claims at issue. In so ruling, the court cited Alexander v. Beech Aircraft Corp., 952 F.2d 1215, 1223 (10th Cir.1991) for the proposition that products liability statutes of repose are substantive and should be applied as the substantive law of the state selected under the relevant choice-of-law analysis. The court, noting that there was no Arkansas law on whether this statute would apply to manufacturers such as the defendant, found it appropriate to transfer the action to this court.

This court received the file on December 29, 1993. The case is currently before the court on the defendant’s motions for summary judgment. Both motions for summary judgment seek entry of judgment as a matter of law on the basis of Ark.Code Ann. § 16 — 56—112(b)(1). The motions are virtually identical. One motion requests entry of judgment as a matter of law on the affirmative defense that the statute bars plaintiffs’ claims. The second motion argues that because of the statute the complaint fails to state a claim upon which relief can be granted. For reasons that will become apparent, defendant refers to the Arkansas statute as one of repose as opposed to a statute of limitations.1

In opposing the summary judgment motions plaintiffs argue that the Arkansas statute is one of limitation and not repose and that Oklahoma conflict-of-law rules and Oklahoma’s borrowing statute dictate application of the Oklahoma statute of repose. The court notes that both summary judgment motions, the plaintiffs’ joint response thereto, and the defendant’s reply were filed with the Eastern District of Oklahoma prior to the entry of the order of transfer and the court’s ruling therein that Ark.Code Ann. 16-56-112 was substantive and that a determination must be made whether it barred the claims asserted herein.

The transferee court is to apply the law of the transferor court including the applicable choice-of-law or conflict-of-laws rules. Ferens v. John Deere Co., 494 U.S. 516, 110 S.Ct. 1274, 108 L.Ed.2d 443 (1990); Van Dusen v. Barrack, 376 U.S. 612, 84 S.Ct. 805, 11 L.Ed.2d 945 (1964). Ordinarily a transferee court will not overturn decisions of a transferor court in the absence of proper circumstances. The Court of Appeals for the Eighth Circuit has indicated that the power of a transferee court to overturn the orders of a transferor court are not unlimited. See In re Exterior Siding & Aluminum Coil, 696 F.2d 613 (8th Cir.1982). Specifically, the court found such a limitation to exist in the doctrine of the law of the case. The court noted:

Although a judge may not be bound by the rulings of his predecessor, he also is not free to ignore them. This is the doctrine of “the law of the case”, which holds that a judge ordinarily should not overrule the decisions of a prior judge in the same case without good cause. We have observed previously that the law of the case doctrine is a rule of practice rather than a command to courts. However, the doctrine “is something more than mere courtesy, which implies only deference to the opinion of others, since it has substantial value in secur[485]*485ing uniformity of decision, and discouraging repeated litigation of the same question.”

Id. at 616 (citations omitted). We conclude that the December 22, 1993, ruling is the law of the case. We therefore proceed to a determination of whether the statute at issue bars the plaintiffs’ claims.

Ark.Code Ann. § 16-56-112 (1987) provides in relevant part as follows:

16-56-112. Design, planning, supervision, or observation of construction, repair, etc. — Actions for property damage, personal injury, or wrongful death.
(b)(1) No action in tort or contract, whether oral or written, sealed or unsealed, to recover damages for personal injury or wrongful death caused by any deficiency in the design, planning, supervision, or observation of construction or the construction and repairing of any improvement to real property shall be brought against any person performing or furnishing the design, planning, supervision, or observation of construction or the construction and repair of the improvement more than four (4) years after substantial completion of the improvement.
(d) The limitations prescribed by this section shall not apply in the event of fraudulent concealment of the deficiency, nor shall the limitation be asserted by way of defense by any person in actual possession or control, as owner, tenant, or otherwise, of such an improvement at the time any deficiency in the improvement constitutes the proximate cause of the injury or death.
(f) Nothing in this section shall be construed as extending the period prescribed by the laws of the state for the bringing of any cause of action, nor shall the parties to any contract for construction extend the above prescribed limitations by agreement or otherwise.

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Cite This Page — Counsel Stack

Bluebook (online)
843 F. Supp. 482, 1994 U.S. Dist. LEXIS 1189, 1994 WL 34133, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brown-v-overhead-door-corp-arwd-1994.