Egan v. USI Mid-Atlantic, Inc.

92 A.3d 1
CourtSuperior Court of Pennsylvania
DecidedApril 2, 2014
StatusPublished
Cited by38 cases

This text of 92 A.3d 1 (Egan v. USI Mid-Atlantic, Inc.) is published on Counsel Stack Legal Research, covering Superior Court of Pennsylvania primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Egan v. USI Mid-Atlantic, Inc., 92 A.3d 1 (Pa. Ct. App. 2014).

Opinions

OPINION BY

BENDER, J.:

USI Mid-Atlantic, Inc., USI Holding Corporation, Freda Batipps, Robert Brown, and Linda Magovern (“Appellants”)1 appeal from the order entered on February 23, 2012, in the Court of Common Pleas of Philadelphia County, which granted a new trial solely on the issue of punitive damages, docketed on appeal at Docket No. 1013 EDA 2012.2 Separately, Appellants appeal the entry of judgment on a verdict of breach of the covenant of good faith and fair dealing, intentional interference with contractual rights, and fraud, entered in favor of Michael Egan, Jr., Jill Egan, and Mark Buzby (“Appel-lees”), docketed on appeal at Docket Nos. 2109 EDA 2012 and 2334 EDA 2012. After review, we affirm.3

The trial court provided the following history of this case:

I. Procedural History:
Plaintiffs filed a civil Complaint for fraud and related causes of action in July 2006 against the USI Defendants, which was consolidated with a virtually identical Complaint filed in 2008 against the USI Defendants in the Philadelphia [7]*7Court of Common Pleas. On March 7, 2011, a jury returned verdicts in favor of the Plaintiffs and against all Defendants. Three (3) of the four (4) Defendants were found liable to Plaintiffs for the causes of action of intentional interference with contractual rights and fraud. Defendant Linda Magovern was found liable only for the cause of having breached the covenant of good faith and fair dealing.1
The USI Defendants filed a Motion for Post-Trial Relief on March 17, 2011 alleging various errors and requesting a new trial on liability.2 On February 23, 2012, the [c]ourt issued a Memorandum and Order denying the USI Defendants!’] Post-Trial Motion. However, the [cjourt Ordered a New Trial on punitive damages only. Defendants appealed the new trial on punitive damages.3 On July 30, 2012, upon Praecipe, the [c]ourt entered an Order of Final Judgment. Defendants now appeal the Final Judgment to the Superior Court of Pennsylvania.4 The Superior Court consolidated the two appeals on September 17, 2012.
Plaintiffs were police officers employed with the Bristol Township Police Department when they were seriously injured by an uninsured motorist on August 27, 2005 during the course and scope of their employment. Bristol Township had a policy of automobile insurance through USI Holdings Corporation/USI Mid-Atlantic and Zurich American Insurance Company. Bristol Township decided to discontinue its policy of uninsured/underinsured motorist insurance (“UM/UIM”) in 2005. Bristol Township failed to execute the appropriate waiver forms in order to reject the coverage.
In November 2005 Plaintiffs’ attorneys requested the waiver of UM/UIM coverage forms. In January 2006 Ms. Batipps of USI Mid Atlantic wrote to Suzanne Newsome, the managing director of Bristol Township, enclosing UM/UIM waiver forms for her signature (which were print-dated 11/28/2005). Newsome backdated the waiver forms with the date March 1, 2005 (the policy inception date). USI knew the waiver forms were backdated. USI did not disclose that information to the Plaintiffs’ attorneys or to Zurich when USI forwarded the signed waiver to those parties. Claims Advocate Robert J. Brown testified that he suggested that USI advise anyone inquiring about the waivers that Bristol rejected UM/UIM coverage, and then wait for the attorneys to request supporting documentation. Testimony revealed that USI was aware that the absence of the waiver forms presented a problem for USI. Mr. Brown, a Claims Advocate at USI agreed that a broker might be subject to an E & O[4] claim by an insurer for mistakes made by a broker, such as failing to get a form signed, if that failure led to an unwarranted coverage obligation.
The Plaintiffs and their attorneys relied on the signed waivers and represen[8]*8tations from USI as proof that no UM/ UIM coverage existed. Throughout their investigations and various filings and court and arbitration proceedings [USI] swore under oath, in verified pleadings, and in discovery, as well as conveying in correspondences that the waivers were the proper statutorily required waivers and that they were valid and legally binding. The Plaintiffs[’] attorneys said that if they had known the forms were backdated, then [they] would have made a claim for UM/UIM coverage. However, there were differences between the blank forms sent to Bristol in 2005 and the signed waivers sent on January 27, 2006. This raised their suspicions.
The jury heard testimony from a number of witnesses that it was not appropriate for USI to send blank claim forms for Newsome’s signature after the date of loss, and that it would have been inappropriate for the forms to be backdated. The jury heard testimony that without the waiver forms coverage would have to. be provided. Indeed, once Zurich learned that Newsome backdated the waivers, it changed its position and agreed to pay the UM/UIM benefits. The jury also heard testimony from Plaintiffs’ experts that stacking coverage was required to be provided in commercial policies without a signed waiver.
The USI Defendants were aware that they had a responsibility to report claims or potential claims to Zurich. There was testimony that USI was obligated to provide true and accurate information to the Plaintiffs and/or their attorneys. There was evidence that withholding facts from either party was not appropriate. Plaintiffs’ Expert William R. Ross testified at trial that whether or not it was Ms. Newsome’s idea to backdate the forms, since USI knew they were backdated it had an obligation to advise those that the form was forwarded to that the date on the form was incorrect and that it was deceptive not to do so.
In terms of the impact of the backdated waiver, Plaintiffs had to wait until 2006 to receive UM/UIM benefits and that they were delayed until at least September 2006 in receiving stacked UM/UIM benefits. Defense experts opined that given the amount of money involved there was no delay. There was also a serious emotional impact on the Plaintiffs in not knowing how they were going to support their families, not knowing if they would walk again, and not knowing whether they would be able to work again.

Trial Court Opinion (T.C.O.), 1/18/13, at 1-4 (some footnotes citing to notes of testimony omitted).

Appellants enumerate nine issues on appeal, with a total of thirty-one subparts, many of which contain alternate rationales, presenting roughly forty questions for our review. For expediency of resolution, we have reorganized these issues to first address the trial court’s denial of Appellants’ motion for a new trial, followed by the trial court’s grant of Appellees’ motion for a new trial on punitive damages, and concluding with Appellants’ issues with respect to judgment notwithstanding the verdict.

As an initial matter, we acknowledge that many of Appellants’ issues turn on the question of whether the Motor Vehicle Financial Responsibility Law, 75 Pa.C.S.

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Cite This Page — Counsel Stack

Bluebook (online)
92 A.3d 1, Counsel Stack Legal Research, https://law.counselstack.com/opinion/egan-v-usi-mid-atlantic-inc-pasuperct-2014.