Cupo v. Babcock Borsig Power, Inc.

4 Misc. 3d 457, 778 N.Y.S.2d 867, 2004 N.Y. Misc. LEXIS 661
CourtNew York Supreme Court
DecidedJune 7, 2004
StatusPublished
Cited by3 cases

This text of 4 Misc. 3d 457 (Cupo v. Babcock Borsig Power, Inc.) 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
Cupo v. Babcock Borsig Power, Inc., 4 Misc. 3d 457, 778 N.Y.S.2d 867, 2004 N.Y. Misc. LEXIS 661 (N.Y. Super. Ct. 2004).

Opinion

OPINION OF THE COURT

Raymond E. Cornelius, J.

The issue presented, in the above-captioned asbestos related, personal injury and wrongful death actions, is whether the court should grant approval to the settlement of a wrongful death claim, pursuant to EPTL 5-4.6, if there has been no appointment of a personal representative.

The Seventh Judicial District, like many judicial districts throughout the State of New York, has adopted a case management order (CMO) in order to facilitate and expedite asbestos related, personal injury actions. Among other provisions, the CMO directs that plaintiffs counsel file a request for judicial intervention (RJI) within 90 days after filing of a complaint, in which event the court will schedule a preliminary conference within 60 days thereafter. At the preliminary conference, the court schedules a day certain for trial and appoints defendants’ liaison counsel, who in addition to facilitating communication between the court and counsel, will thereafter meet and confer with plaintiffs counsel in order to develop a specific scheduling order for discovery.

On September 3, 2002, the above-captioned action was commenced by filing of the summons and complaint, and on the same date, an RJI was also filed with the County Clerk. In accordance with the provisions of the CMO, this court, by order dated September 16, 2002, directed that a preliminary conference be held on October 29, 2002. At the preliminary conference, the court set May 21, 2004, as the date for commencement of trial. This day certain trial date was memorialized in an order, dated October 29, 2002, which also provided for a note of issue and certificate of readiness to be filed at least 60 days prior thereto. In addition, this order appointed liaison counsel, and directed that within 45 days, the parties agree upon and submit to the court a proposed supplemental order, containing a specific discovery schedule. Such an order was thereafter submitted, and signed by the court on December 16, 2002, and again, provided for trial to commence with jury selection, on May 21, [459]*4592004. A note of issue and certificate of readiness was filed on February 24, 2004.

Each of the three individuals, who are alleged to have sustained personal injuries as the result of exposure to asbestos products manufactured and/or distributed by the defendants, are now deceased. The complaint contains causes of action seeking money damages as the result of pain and suffering allegedly incurred by each one of them prior to their deaths. A cause of action for personal injury is not lost because of the death of the injured party, and may be commenced and/or maintained by the personal representative (EPTL 11-3.2). In the event the injury causes death, damages are limited to those accruing before death, except for reasonable funeral expenses, and become assets of the estate (EPTL 11-3.3).

Each of the named plaintiffs is a surviving spouse, and has made an individual claim for loss of consortium, which, of course, would be dependent upon the respective personal injury claims. In addition, each plaintiff is designated, in the caption, as the “Personal Representative” of the respective estates, which representation is repeated in the body of the complaint. In their respective, purported capacities as personal representatives, plaintiffs have asserted not only causes of action for personal injuries incurred by their spouses prior to death, but also causes of action for wrongful death. A “personal representative” is defined as “a person who has received letters to administer the estate of a decedent” (EPTL 1-2.13).

Unlike a claim for personal injuries, for which any recovery, by settlement or verdict, is payable and belongs to the estate, a wrongful death action is brought on behalf of the decedent’s distributees, who have suffered pecuniary damages as the result of death wrongfully caused by a defendant. A wrongful death cause of action is created solely by statute. The provision, which authorizes maintaining such an action, reads as follows: “The personal representative, duly appointed in this state or any other jurisdiction, of a decedent who is survived by distributees may maintain an action to recover damages for a wrongful act, neglect or default which caused the decedent’s death . . ..” (EPTL 5-4.1 [1] [emphasis added].) This section further provides that the wrongful death action must be commenced within two years after the decedent’s death, and in the event that an executor, appointed under a will, refuses to bring such a claim, “the distributees are entitled to have an administrator appointed to prosecute the action for their benefit.” (EPTL 5-4.1 [1].)

[460]*460Wrongful death claims are one of the few types of civil lawsuits, in the State of New York, that require court approval for resolution by settlement.1 EPTL 5-4.6, in relevant part, provides as follows:

“(a) Upon the application of an administrator appointed under 5-4.1 or a personal representative to the court in which an action for wrongful act, neglect or default causing the death of a decedent is pending, the court may, after inquiry into the merits of the action and the amount of damages proposed as a compromise:
“(1) Approve in writing a compromise for such amount as it shall determine to be adequate and, except for good cause shown, transfer the action to the surrogate’s court which issued the letters for determination of the issues of allocation and distribution of proceeds and related matters; or “(2) Disapprove the application.”

Although Supreme Court may refer a case to the Surrogate’s Court for the purpose of administering the proceeds of an approved wrongful death settlement, the authority and responsibility for approval is conferred solely upon Supreme Court, to “resolve the fairness and reasonableness of the settlement, including the amount to be paid, the manner in which the payment obligation is amortized and the parties’ arrangements for payment of costs and attorneys’ fees” (Pollicina v Misericordia Hosp. Med. Ctr., 82 NY2d 332, 338 [1993]).

In asbestos related personal injury and wrongful death actions, it is not uncommon for the claims to be resolved by settlement on the eve of trial. This, in most instances, does not allow sufficient time for plaintiffs counsel to make formal application for approval of the wrongful death claim. Accordingly, the CMC for the Seventh Judicial District attempts to accommodate this situation by making provision for a preliminary approval, based upon a statement from plaintiffs counsel “certifying that the personal representative has consented to the compromise,” setting forth the amounts contributed by the respective defendants and stating the reasons for compromise of the claims. If preliminary approval is granted by the court, the case is marked “Off’ of the trial calendar, and a plaintiff is then permitted to submit [461]*461formal application for approval of the wrongful death action within a period of 60 days, thereafter.

Several days before the scheduled trial date of the above-captioned matter, the court received a letter from plaintiffs’ counsel, dated May 18, 2004, whereby preliminary approval was sought for settlements of wrongful death claims in the Cupo and Hitzke matters.2 The letter indicated that Mr.

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Cite This Page — Counsel Stack

Bluebook (online)
4 Misc. 3d 457, 778 N.Y.S.2d 867, 2004 N.Y. Misc. LEXIS 661, Counsel Stack Legal Research, https://law.counselstack.com/opinion/cupo-v-babcock-borsig-power-inc-nysupct-2004.