Center Capital Corporation v. Hall, No. Cv92 0452084s (Feb. 24, 1994)

1994 Conn. Super. Ct. 1107, 9 Conn. Super. Ct. 342
CourtConnecticut Superior Court
DecidedFebruary 24, 1994
DocketNo. CV92 0452084S
StatusUnpublished

This text of 1994 Conn. Super. Ct. 1107 (Center Capital Corporation v. Hall, No. Cv92 0452084s (Feb. 24, 1994)) is published on Counsel Stack Legal Research, covering Connecticut Superior Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Center Capital Corporation v. Hall, No. Cv92 0452084s (Feb. 24, 1994), 1994 Conn. Super. Ct. 1107, 9 Conn. Super. Ct. 342 (Colo. Ct. App. 1994).

Opinion

[EDITOR'S NOTE: This case is unpublished as indicated by the issuing court.] MEMORANDUM OF DECISION I.

Introduction and Factual Background

The plaintiff, Center Capital Corporation (hereinafter, "Center Capital"), commenced this action against the defendants Shelby Williams Industries, Inc. (hereinafter, "Shelby Williams") and Charles H. Hall, III (hereinafter, "Hall") on July 16, 1992. The plaintiff is a Connecticut corporation which provides financing to small business. Shelby Williams is an Ohio corporation which manufactures custom furniture for commercial establishments. Hall is Shelby Williams' regional sales vice-president for the mid-Atlantic region of the United States.

The plaintiff alleges that Shelby Williams, acting through its regional vice-president Hall, misrepresented that several parties who were seeking capital from the plaintiff had paid Shelby Williams over $181,000.00 for furniture of like value when no such payments had been made and no furniture had been delivered. The plaintiff further alleges that it relied upon these representations when it decided to advance funds in excess of $500,000.00 to the applicants, and was damaged when the applicants failed to make payments according to the terms of their agreements with the plaintiff.

The plaintiff has raised claims against the defendants sounding in fraudulent misrepresentation (first count); negligent misrepresentation (second count); conversion (third count); theft under General Statutes 52-564 (fourth count); unfair trade practices under the Connecticut Unfair Trade Practices Act, General Statutes 42-110a et seq. (fifth count); and conspiracy to injure trade or business under the Code of Virginia,18.2-499 et seq. (sixth count). The fifth and sixth counts both incorporate by reference allegations of negligent misrepresentation made in the second count. Both defendants CT Page 1109 have filed an answer and identical special defenses. In their first special defense, the defendants claim that the court lacks personal jurisdiction over them. The defendants also raise comparative negligence as a special defense to the second, fifth and sixth counts.

The plaintiff has filed a motion to strike the defendants' first special defense and the second special defense to the extent that it is directed to the fifth and sixth counts. Pursuant to Practice Book 155, the plaintiff has filed a memorandum in support of its motion to strike and the defendants have timely filed a memorandum in opposition.

For the following reasons, the plaintiff's motion to strike the first special defense, alleging lack of personal jurisdiction, is granted. The plaintiff's motion to strike the second special defense, alleging comparative negligence, is denied.

II.
Discussion

A motion to strike may be used to test the legal sufficiency of a complaint or any count therein to state a claim upon which relief can be granted. Practice Book 152(1); see also Ferryman v. Groton, 212 Conn. 138, 142 (1989). Furthermore, the motion to strike is the proper vehicle to challenge the "legal sufficiency of any answer to any complaint, counter-claim or cross-claim, or any part of that answer including any special defense contained therein. . . ." Practice Book 152(5); see also Passini v. Decker, 39 Conn. Sup. 20, 21 (1983).

"The legal sufficiency of a special defense may be determined by reference to 164 of the Practice Book, which provides that `[f]acts which are consistent with [the plaintiff's statements of fact] but which show, notwithstanding, that he has no cause of action, must be specially alleged.'" Daniel v. Martinczak, 5 Conn. L. Trib. 429, 430 (February 3, 1992, Schaller, J.).

A.
Jurisdiction CT Page 1110

The plaintiff moves to strike the defendants' special defense asserting lack of personal jurisdiction. This motion is granted for the following reasons.

This court (Dorsey, J.) denied the defendants' motion to dismiss for lack of jurisdiction on June 9, 1993. The defendants now seek to relitigate the jurisdictional issue, already vigorously litigated, by asserting it as a special defense. According to the law of the case doctrine, however, Judge Dorsey's findings should be respected unless they are clearly erroneous. Carothers v. Capozziello, 215 Conn. 82,107 (1990). A review of Judge Dorsey's decision makes it clear that Judge Dorsey expended a considerable amount of time reviewing the parties' briefs and attachments before rendering his decision. In a well-reasoned, lengthy, and fact-specific memorandum, Judge Dorsey determined that the assertion of jurisdiction was proper pursuant to General Statutes 52-59(b) and would not offend constitutional notions of due process. Judge Dorsey concluded, at page 12 of his memo, that "Hall and Shelby Williams engaged in purposeful activity which should have led them to reasonably anticipate being hailed into Connecticut's courts." It is hard to imagine any set of facts which would lead another judge, presented with a still more complete record, to doubt this conclusion. The motion to strike could be granted for this reason alone. There are additional reasons, however, which also merit discussion.

Although there is some authority holding that the denial of a motion to dismiss based upon lack of personal jurisdiction does not preclude the filing of a special defense raising the same jurisdictional issue, the more recent, more numerous and more persuasive superior court cases bar the assertion of lack of personal jurisdiction as a special defense. See, e.g., Ecsedy v. Jack Tar Village Resorts, 8 CSCR 8 (November 24, 1992, Leheney, J.) (a special defense is not the proper vehicle to challenge the court's personal jurisdiction); Weiss v. Town of Greenwich, 8 CSCR 576 (April 30, 1993, Rush, J.); Webster v. Canada Cycle Motor, 7 Conn. Law Trib. No. 9, p. 18 (Super.Ct., August 5, 1980, Borden, J.); but see, Hammond v. Parker, 20 Conn. Sup. 193, 196 (1956) (held it was proper for the defendant to raise a jurisdictional question for a second time via a special defense, because it is more efficient to relitigate the jurisdictional issue at the trial level rather than face the prospect of a reversal for jurisdictional reasons CT Page 1111 after a lengthy trial on the merits.)

In Webster, supra, Judge Borden disagreed with the reasoning of Hammond v. Parker, supra, holding:

[i]t appears to me to be more in the interests of judicial economy to have the issue of personal jurisdiction decided once by the trial court, not twice as would be the result of permitting the defendant to raise it by special defense after an adverse decision on a motion to dismiss.

The approach taken in Webster has generally been followed in the more recent cases. This approach will also be followed here as it leads to be a more efficient allocation of judicial resources, particularly in light of the detailed examination by Judge Dorsey of the facts presented to him when ruling on the earlier motion.

Finally, another persuasive reason for not allowing a special defense asserting lack of personal jurisdiction is found within the language of Practice Book 142.

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Bluebook (online)
1994 Conn. Super. Ct. 1107, 9 Conn. Super. Ct. 342, Counsel Stack Legal Research, https://law.counselstack.com/opinion/center-capital-corporation-v-hall-no-cv92-0452084s-feb-24-1994-connsuperct-1994.