Brownyard v. Maryland Casualty Co.

868 F. Supp. 123, 1994 U.S. Dist. LEXIS 19598, 1994 WL 653481
CourtDistrict Court, D. South Carolina
DecidedMay 12, 1994
DocketCiv. A. 2:92-3028-22
StatusPublished
Cited by2 cases

This text of 868 F. Supp. 123 (Brownyard v. Maryland Casualty Co.) is published on Counsel Stack Legal Research, covering District Court, D. South Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Brownyard v. Maryland Casualty Co., 868 F. Supp. 123, 1994 U.S. Dist. LEXIS 19598, 1994 WL 653481 (D.S.C. 1994).

Opinion

ORDER

CURRIE, District Judge.

This action arises from a dispute over insurance proceeds owed to Plaintiffs for damage to their residence as a result of Hurricane Hugo. Jurisdiction is based on diversity of citizenship, 28 U.S.C. § 1332. Defendant Valiant Insurance Company (hereinafter “Valiant”) issued a policy insuring Plaintiffs’ home. Defendant Maryland Casualty Company (hereinafter “Maryland”) handled adjustment of claims for policies issued by Valiant. Plaintiffs Amended Complaint asserts three causes of action, asks for a finding that a prior arbitration agreement is void and unenforceable, and seeks damages for alleged breach of an insurance policy and bad faith refusal to pay insurance proceeds. The matter is presently before the court on Defendants’ Second Motion for Summary Judgment and/or Motion to Compel Arbitration. The court has carefully reviewed the entire record in this matter, including all affidavits and depositions filed in support of and in opposition to the motion, and heard oral argument on April 21, 1994. For the reasons cited below, the court denies Defendants’ Second Motion for Summary Judgment and/or Motion to Compel Arbitration.

FACTS

Plaintiffs’ home in Mount Pleasant was insured by Valiant at the time of Hurricane Hugo. Plaintiffs claim they sustained losses of $322,306. In May 1990, Defendants paid $6,374 to Plaintiffs in partial payment of the claim. A dispute continued, however, as to the cause and extent of damage. In May 1990, Gene Silver, Maryland’s adjuster, assumed handling of the claim. Because of numerous conflicts and repeated difficulty in obtaining responses from Mr. Silver, Plaintiffs grew increasingly frustrated by the protracted time it was taking to settle the claim (Pltfs.Exh. 11, Affidavit N. Brownyard, at 2). In February 1991, Maryland suggested the parties enter into arbitration proceedings (Id. at Exh. A). Although Plaintiffs were reluctant to pursue this procedure, and preferred to utilize an appraisal method provided for under their policy, they agreed to arbitration upon being assured by Defendants’ counsel that arbitration would be an expeditious method that could probably dispose of the dispute within 60 to 90 days (Pltfs.Exh. 11, Affidavit N. Brownyard, at 3). The parties executed an arbitration agreement on September 30, 1991, in which both parties agreed to engage in arbitration pursuant to the South Carolina Uniform Arbitration Act, S.C.Code Ann. §§ 15-48-10 et seq., (Law.Co-op.1976 & Supp.1993).

The parties selected a panel of three arbitrators: one for each party and one unbiased. In April 1992, Defendants suggested a stay of arbitration so that the parties could attempt to settle the matter. On April 23, 1992, attorneys for both parties met with Will Evans, the unbiased arbitrator, in an effort to explore settlement and review the status of arbitration (Pltfs.Exh. 14, Waring Depo., at 7-9). Mr. Evans expressed his desire, as arbitrator, to retain an independent contractor as a consultant if the settlement discussions should fail (Id., at 12-13). Both parties agreed that before progressing with arbitration, and retaining the consultant, they should explore settlement (Pltfs.Exh. 11, Aff. N. Brownyard, at 4-5; Pltfs.Exh. 14, Waring Depo. at 12-13). Immediately after this meeting Plaintiffs made a settlement proposal to Defendants (Pltfs.Exh. 14, Waring Depo., at 12-13). Defendants’ attorney told Plaintiffs’ attorney that he would consult with his clients to see whether the proposal was acceptable (Id., at 13, 26, 31). The arbitrator had been told that the proceeding was “on hold” to allow *125 settlement discussions (Pltfs.Exh. 13, Evans Depo., at 9-10, 12, 27-28).

Over the next two months, Plaintiffs’ attorney repeatedly attempted to discover Defendants’ response to the settlement offer, but Defendants failed to respond (Pltfs.Exh. 15, Aff. W.G. Pearce, attached letter dated June 16, 1992). Finally, on June 16, 1992, Plaintiffs’ attorney wrote Defendants’ attorney, saying that unless they received a meaningful response from Defendant, they would contact arbitrator Evans and ask him to proceed immediately (Pltfs.Exh. 11, Aff. N. Brownyard, Exh. F). Defendants’ counsel responded, in part, “I am sorry for the apparent lack of interest on my client’s behalf, but Gene [the adjuster] has not been in the office and then apparently went on vacation. Obviously, you must do what is in the best interest of your client ...” (Id., at Exh. G). On June 29, 1992, Plaintiffs’ attorney wrote to Defendants’ attorney again requesting a response to the settlement proposal (Pltfs.Exh. 14, Waring Depo., Exh. 6). Although Defendants’ attorney had spoken with the adjuster at that time, and although Defendants knew that arbitration was halted pending their response, they failed to communicate a response to the proposal (Id,., at 43, 45-46, 52).

Eventually, on July 9, 1992, at Plaintiffs’ initiative, arbitrator Evans wrote attorneys for both sides advising that he was ready to proceed and asking for written authorization to secure the services of the consultant, as discussed at the April 23, 1992 meeting (Pltfs.Exh. 11, Aff. N. Brownyard, at 5, and attached Exh. H). The arbitrator asked both parties to share the expenses of the consultant. Shortly thereafter, Plaintiffs’ attorney wrote Evans enclosing Plaintiffs’ written authorization (Id., at attached Exh. I). Defendants failed to respond at all to Evans’ request, and at the time Plaintiffs filed suit in this action, September 11, 1992, ten days before the statute of limitations was to run on Plaintiffs’ claim, Defendants still had not responded to the arbitrator’s request.

Plaintiffs’ Amended Complaint alleges, in part, that Defendants, after obtaining Plaintiffs’ consent to arbitration upon representations that it could be effected speedily, have been purposefully unresponsive and have delayed payment of Plaintiffs’ claim. They further allege that Defendants have refused to cooperate in the arbitration proceedings and have engaged in a “pattern of conscious foot-dragging,” such that Defendants can be said to have waived any right they had to arbitrate the present claim. Plaintiffs allege that the adjuster’s chronic unavailability, and Defendants’ silence in response to their settlement offer and the arbitrator’s request for written authorization, prove Defendants’ design to stall the arbitration. Defendants’ Answer denies the material allegations of the complaint and asserts that Plaintiffs are bound to arbitrate this dispute pursuant to the arbitration agreement.

Plaintiffs instituted this suit in state court against Maryland on September 16, 1992. On October 23, 1992, Maryland removed this case and filed a Motion to Dismiss based on Plaintiffs’ alleged failure to state a claim upon which relief can be granted, Rule 12(b)(6), Fed.R.Civ.P. The court (Hawkins, C.J.) denied the motion on February 2, 1993, finding that “the pleadings at least stated a claim that Defendant waived its right to arbitrate in the present case.” On April 21, 1993, Maryland filed its first Summary Judgment Motion and Motion to Compel Arbitration, which argued essentially the same grounds raised in the Motion to Dismiss.

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Bluebook (online)
868 F. Supp. 123, 1994 U.S. Dist. LEXIS 19598, 1994 WL 653481, Counsel Stack Legal Research, https://law.counselstack.com/opinion/brownyard-v-maryland-casualty-co-scd-1994.