Desenne v. Jamestown Boat Yard, Inc.

781 F. Supp. 866, 1991 U.S. Dist. LEXIS 19029, 1991 WL 286442
CourtDistrict Court, D. Rhode Island
DecidedNovember 15, 1991
DocketCiv. A. 90-0546 P
StatusPublished
Cited by6 cases

This text of 781 F. Supp. 866 (Desenne v. Jamestown Boat Yard, Inc.) is published on Counsel Stack Legal Research, covering District Court, D. Rhode Island primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Desenne v. Jamestown Boat Yard, Inc., 781 F. Supp. 866, 1991 U.S. Dist. LEXIS 19029, 1991 WL 286442 (D.R.I. 1991).

Opinion

MEMORANDUM AND ORDER

PETTINE, Senior District Judge.

Plaintiff Carole DeSenne moved, pursuant to Fed.R.Civ.P. 59(e), for vacation and reconsideration of this Court’s April 24, 1991 Order dismissing her claims against defendant, Jamestown Boat Yard. I granted plaintiff a hearing, which was held on October 24, 1991. After hearing testimony and reviewing the parties’ briefs, I deny plaintiff’s motion to vacate and reconsider judgment; my Order of April 24, 1991 remains in full force, and judgment is entered for defendant.

I.

I will only briefly set out the relevant facts, which are provided in more detail in my Memorandum and Order of April 24, 1991; for the reader’s ease, a copy is attached hereto as appendix “A”. In November 1987, plaintiff was involved in a boat accident. The boat was owned by Arthur and Germaine Beiser and had been repaired by defendant prior to the fateful voyage.

The Beisers sued defendant in November, 1988 for personal injuries. Jamestown counter-claimed for monies still owed for repair work. On August 16, 1989, plaintiff entered into a settlement agreement with the Beisers. Pursuant to the agreement, plaintiff received $20,000 for her injuries and released the Beisers and their insurers from any and all injuries relating to the boating accident. The release also assigned all causes of action plaintiff might have growing out of the accident to the Beisers and authorized them to bring suit or release her claims. In May 1990, the Beisers, after a trial, settled with defen *867 dant and released defendant from all claims relating to the accident.

Plaintiff filed the instant case on November 2, 1990, for the personal injuries she sustained as a result of the accident. On February 1, 1991, defendant moved to dismiss plaintiffs complaint,, relying on the express language of the release assigning plaintiffs cause of action to the Beisers. In response, plaintiff argued that assignments of personal injury claims are void as against public policy. Defendant cited Rhode Island caselaw holding that, particularly in the settlement context, personal injury claims may be assigned as long as there is no danger of champerty or maintenance. I found the cases cited by defendant to be analogous to the present case, and on April 24, 1991, I dismissed plaintiffs complaint.

Plaintiff filed a motion for this Court to vacate and reconsider judgment under Rule 59(e) on May 6, 1991. Plaintiff now addresses the cases cited by defendant’s reply brief in support of its motion to dismiss. She contends that this Court misinterpreted those cases and that they provide only a very narrow exception to the rule forbidding assignment of personal injury claims.

Plaintiff also argues that she never intended to assign her claims against defendant and that evidence of her intent should be allowed on several grounds. First, relying in part on her interpretation of the Rhode Island cases on assignment of claims, she argues that the release is ambiguous. Second, she argues that neither she nor the Beisers intended the assignment, thus creating a mutual mistake. Finally, she claims that there was misrepresentation on the part of the Beiser’s insurance agents who told her that, under the release, she could still pursue an action against defendant. In support of her arguments, plaintiff submitted an affidavit which states, in pertinent part, that

[i]n executing the Release, my intent and my understanding of the intent of the other parties to the Release resulting from my specific inquiries in this regard was that my claims against the Defendant in this action as well as my claims against anyone other than the parties released under the Release would and could be pursued...: I would not have signed the “Release” if I had known that doing so would deprive me of my ability to obtain recovery for my personal injury claims against the Defendant.

Defendant, in addressing the standard for vacating and reconsidering judgment, argues that there are no extraordinary circumstances present in this case and that plaintiff raises arguments she could have, and should have, raised when the original motion to dismiss was being argued: Defendant explains the Rhode Island assignment cases and asserts that this Court was correct in holding, in its April 24, 1991 Order, that the assignment was valid. Defendant does not believe that the release is ambiguous and thus argues that the parol evidence rule bars extrinsic evidence. Plaintiff’s affidavit, which defendant argues should have been filed when the motion to dismiss was under consideration, demonstrates only unilateral mistake and does not substantiate her claims of misrepresentation, fraud or overreaching. Finally, the language in the release clearly assigns plaintiff’s claims and if she had read the release, as she had a duty to do, she would have understood that.

On October 24, 1991,1 decided to hold an evidentiary hearing focused on the issue of possible misrepresentations made by the Beisers’ insurance agent to Ms. DeSenne before she signed the release.

The facts are undisputed: Ms. DeSenne met with the Beisers’ insurance agent on a number of occasions. At these meetings, which were rather routine, the agent taped a statement of facts and assured the plaintiff that the company would pay all her present and future medical bills, which they have done and continue to do. Their final meeting took place on August-, 16, 1989; the agent advised her that the company wanted to settle all her wage losses up to that point so that “the waters would not be muddied in the Beisers’ case against Jamestown Boat Yard.” On being questioned by Ms. DeSenne, the agent assured *868 her that she would not be releasing the company from payment of future medical bills, the money would not be taxable, and neither the wage settlement, nor the signed release would “in any way interfere at a future date from her suing Jamestown Boat Yard.” (This quote is taken from my personal notes and may be at variance in some insignificant way from the precise words used.) The agent handed her the release and said, “why don’t you look this over — this is what I want you to sign.” He then walked away. In spite of this suggestion, the plaintiff signed the release without reading it. As a result of this release, Ms. DeSenne received $20,000.00 and assigned all claims arising from the accident to the Beisers.

The plaintiff is a highly intelligent and articulate woman. At present, she works as a consultant with non-profit corporations, organizing fundraising campaigns, managing publicity, and booking talent.

The reasons she offers for signing the release were her thought and intention only to release the Beisers; the assurance of the agent that any suit she might want to institute against the defendant was preserved; and though she knew the agent was not a lawyer, her belief was that he was a knowledgeable insurance agent.

The agent’s testimony, which was presented by way of a deposition, substantially tracks Ms. DeSenne’s account. He stated that the purpose of his meetings with the plaintiff was to “try to settle her claim or any claim that she might have had solely against Arthur Beiser and underwriters representing Arthur Beiser” (Tr.

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Cite This Page — Counsel Stack

Bluebook (online)
781 F. Supp. 866, 1991 U.S. Dist. LEXIS 19029, 1991 WL 286442, Counsel Stack Legal Research, https://law.counselstack.com/opinion/desenne-v-jamestown-boat-yard-inc-rid-1991.