Gordon's Cabinet Shop v. State Compensation Insurance Fund

87 Cal. Rptr. 2d 541, 74 Cal. App. 4th 33, 64 Cal. Comp. Cases 1011, 99 Daily Journal DAR 8195, 99 Cal. Daily Op. Serv. 6450, 1999 Cal. App. LEXIS 740
CourtCalifornia Court of Appeal
DecidedAugust 10, 1999
DocketE020212 and E020569
StatusPublished
Cited by7 cases

This text of 87 Cal. Rptr. 2d 541 (Gordon's Cabinet Shop v. State Compensation Insurance Fund) is published on Counsel Stack Legal Research, covering California Court of Appeal primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Gordon's Cabinet Shop v. State Compensation Insurance Fund, 87 Cal. Rptr. 2d 541, 74 Cal. App. 4th 33, 64 Cal. Comp. Cases 1011, 99 Daily Journal DAR 8195, 99 Cal. Daily Op. Serv. 6450, 1999 Cal. App. LEXIS 740 (Cal. Ct. App. 1999).

Opinion

Opinion

WARD, J.

Plaintiff and appellant Gordon’s Cabinet Shop (plaintiff) appeals after the trial court dismissed its action for failure to bring it to trial within five years. (Code Civ. Proc., § 583.310.) Plaintiff contends that the five-year statute was tolled by two separate periods during the pendency of the case, and that the trial court therefore erred in concluding the five-year statute had run. We affirm.

Facts and Procedural History

Plaintiff is in the business of making and installing cabinets. As an employer, plaintiff is required to carry workers’ compensation insurance. Plaintiff purchased its workers’ compensation insurance from defendant and respondent State Compensation Insurance Fund (SCIF).

SCIF is a “public enterprise fund created for the purpose of transacting workers’ compensation insurance. (Ins. Code, §§ 11770, 11773.) It was established to ensure that affordable workers’ compensation insurance would be available to employers when coverage became mandatory. [Citation.]” (Tudor Ranches, Inc. v. State Comp. Ins. Fund (1998) 65 Cal.App.4th 1422, 1425 [77 Cal.Rptr.2d 574].) Under the statutory scheme, SCIF is intended to be competitive with other insurers, and to be “self-supporting,” but it is not intended to accumulate and hold assets over and above the amounts needed for liabilities, necessary reserves, and a reasonable surplus. (Ins. Code, § 11775.) Otherwise, the statutory scheme provides for SCIF to return excess moneys to its insureds as a dividend or credit. The amount of reserves affects the insured’s premiums and dividends.

On December 23, 1991, plaintiff filed an action against SCIF, alleging that SCIF had employed improper practices concerning the reserves on plaintiffs account, adversely affecting plaintiff’s premiums and dividends. Numerous other employer-insureds had also filed similar lawsuits against SCIF. (See, e.g., Tudor Ranches, Inc. v. State Comp. Ins. Fund, supra, 65 Cal.App.4th 1422.)

On May 9, 1994, SCIF filed a petition for coordination of plaintiff’s action and several other lawsuits alleging similar misconduct by SCIF *36 concerning the insureds’ accounts. The coordination judge denied SCIF’s petition for coordination on July 6, 1994.

On March 15, 1995, Judge Kaiser was assigned as the trial judge. On April 12, 1995, Judge Kaiser scheduled a trial management conference for January 12, 1996, and set the trial date for January 16, 1996.

On December 15, 1995, counsel for both sides appeared before Judge Kaiser to argue SCIF’s motion for summary adjudication of some of the causes of action in plaintiff’s complaint. After hearing on the motion, plaintiff’s counsel inquired “as to what’s going to happen to our trial date. I understand [the court is] engaged [in trial] . . . .” Judge Kaiser indicated, “Well, I’m going to try to get it out. If not, it will be transferred to another judge, because in February I have a different assignment. . . . The case that I’m presently trying, they’ve indicated they have a couple more weeks. If it’s only a couple more weeks, we should be close to the 16th. If it goes longer than that, I’ll have to transfer it, but I’d like to get it out because it’s a four-year case.”

Ultimately, Judge Kaiser apparently was unable to complete the case he was already trying in time for the scheduled trial date in plaintiff’s case. Accordingly, on December 29, 1995, Judge Kaiser issued a minute order on the court’s own motion, reassigning plaintiff’s case for trial “due to the fact this Court is currently in trial and will be in trial during the starting date set for trial in this matter. The Trial Management Conference set on 1-12-96 and jury trial on 1-16-96 are vacated. . . . [¶] Case re-assigned to Honorable Commissioner Gloria Connor Trask in Dept. 02 for Trial. . . .”

On February 22, 1996, Commissioner Trask set another trial date, May 20, 1996. However, in April of 1996, the parties were in disagreement over discovery matters, namely, the deposition of plaintiff’s expert witness, Samuel Smith (Smith). 1 On April 25, 1996, SCIF brought a motion for an order shortening time on a motion to compel Smith to produce insurance company manuals he had reviewed and to complete his deposition. SCIF’s counsel proposed that a shortened briefing schedule on the motion to compel might *37 not be necessary “if your Honor doesn’t hold us to the May 20th trial date. . . .” Plaintiff’s counsel stated, “We don’t have a problem with continuing the trial date to allow enough time for a notice motion[,] just, you know, ten days, fifteen days, whatever it is. [¶] . . . [W]e would only request a very brief continuance just to allow this noticed motion to be heard.” SCIF’s counsel suggested continuing the matter for 30 days, to June 30, 1996. The court inquired whether “everyone here . . . can agree that this matter isn’t ready to proceed to trial on May 20th?” Plaintiff’s counsel did not reply audibly, but neither did he object. The trial court ordered, “The trial date will be vacated. I can’t promise you when it will be put back on.” Again, plaintiff’s counsel voiced no objection to the court’s statement. Plaintiff’s counsel asked whether the court would give notice of a new trial date; the court stated that, after the hearing on SCIF’s motion to compel, set for May 28, “then we can reset the trial date if in fact it’s ready.”

On May 28, 1996, the court heard SCIF’s motion to compel Smith to produce the manuals at his deposition. The court granted SCIF’s motion and ordered Smith to produce the documents. After ruling on the motion, the court held a status conference. As SCIF had not yet fully deposed Smith, SCIF was not ready for trial. SCIF requested another status conference in 60 days. The court set a new status conference date of July 29, 1996.

At the status conference on July 29, 1996, SCIF informed the court that it intended to bring a number of motions in limine. The court discussed setting a date in November of 1996 for hearing on the motions in limine. Plaintiff’s counsel was concerned about the late date for the hearing on the motions in limine: “The only concern I have, the five-year statute, as I understand it, runs on December 11th [sic]. . . . [¶] . . . [¶] . . . If you want to set it in November—That’s my concern, if we set a trial date in conjunction with that, I guess.” SCIF’s counsel was also concerned that, if the motions in limine were heard in November, SCIF would not be able to depose Smith until after the hearing. Plaintiff’s counsel suggested setting hearing for motions in limine and any hearing concerning the Smith’s deposition for the same day, and requested a date in September. The court set September 27 for hearing on the motions in limine, and on any motion concerning Smith’s deposition.

On September 27, 1996, the court ruled on motions in limine brought by each party. Among other things, the court ruled that Smith’s testimony would be excluded at trial, apparently for failure to produce all the insurance manuals at his deposition. At that point, plaintiff’s counsel asked the court to set a trial date. The parties estimated five weeks for trial.

Free access — add to your briefcase to read the full text and ask questions with AI

Related

Mooney v. Argus Realty Investors CA4/3
California Court of Appeal, 2022
Fidelity National Home Warranty Company Cases
California Court of Appeal, 2020
Welsh v. Welsh CA1/1
California Court of Appeal, 2016
Allied Interstate Inc. v. Sessions Payroll Management, Inc.
203 Cal. App. 4th 808 (California Court of Appeal, 2012)
Phillips, Spallas & Angstadt, LLP v. Fotouhi
197 Cal. App. 4th 1132 (California Court of Appeal, 2011)
CALIFORNIA ATTORNEYS, ETC. v. Schwarzenegger
182 Cal. App. 4th 1424 (California Court of Appeal, 2010)

Cite This Page — Counsel Stack

Bluebook (online)
87 Cal. Rptr. 2d 541, 74 Cal. App. 4th 33, 64 Cal. Comp. Cases 1011, 99 Daily Journal DAR 8195, 99 Cal. Daily Op. Serv. 6450, 1999 Cal. App. LEXIS 740, Counsel Stack Legal Research, https://law.counselstack.com/opinion/gordons-cabinet-shop-v-state-compensation-insurance-fund-calctapp-1999.