Grant v. Maryland Casualty Insurance

295 F. Supp. 174, 1969 U.S. Dist. LEXIS 10520
CourtDistrict Court, District of Columbia
DecidedJanuary 7, 1969
DocketCiv. A. No. 1589-67
StatusPublished
Cited by1 cases

This text of 295 F. Supp. 174 (Grant v. Maryland Casualty Insurance) is published on Counsel Stack Legal Research, covering District Court, District of Columbia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Grant v. Maryland Casualty Insurance, 295 F. Supp. 174, 1969 U.S. Dist. LEXIS 10520 (D.D.C. 1969).

Opinion

MEMORANDUM OF OPINION

WADDY, District Judge.

On December 5, 1968, this Court granted the defendant’s motion for a directed verdict at the close of plaintiffs’ case and announced that it would later file a memorandum opinion setting forth the reasons for its action. On December 10, 1968, before the memorandum opinion was prepared, plaintiffs filed a motion for a new trial. Inasmuch as the motion for a new trial reiterates one of the arguments made at the hearing of the motion for a directed verdict, and the Court having concluded that the motion [175]*175for a new trial should be denied, this opinion covers both motions.

On May 28, 1964, the defendant, Maryland Casualty Insurance Company, issued to the plaintiff, Joseph J. Grant, a resident of the State of Virginia, a family automobile insurance policy bearing an Uninsured Motorist Endorsement as required by Section 38.1-381 of the Virginia Code.

The policy endorsement provided uninsured motorist coverage to the plaintiff, Joseph J. Grant, and his relatives under certain conditions, in the event of personal injury or property damage sustained by plaintiff, Joseph J. Grant, or by passengers travelling in a motor vehicle operated by him whether or not titled in his name.

On November 14,1964, while the aforementioned policy and endorsement were in effect, an automobile owned by John Ronayne and operated by Joseph J. Grant was involved in a collision in the State of Virginia with a vehicle operated by one Margarite Burke Tart, an uninsured motorist. Among the passengers in the Ronayne vehicle were the operator’s parents, Myrl V. and Estella Grant. As a result of the collision, Joseph, Myrl, and Estella Grant sustained personal injuries and the Ronayne vehicle was damaged. Suit was filed against the uninsured motorist in the United States District Court for the Eastern District of Virginia resulting in judgments against the uninsured motorist in favor of Joseph, Myrl and Estella Grant and John Ronayne. To satisfy those judgments, this action was brought for uninsured motorist benefits allegedly due under the provisions of the aforementioned contract of insurance and endorsement. The defendant is engaged in the casualty insurance business in the District of Columbia and the State of Virginia. Each of the individual plaintiffs is a non-resident.

At the close of plaintiffs’ case in chief, defendant moved for a directed verdict pursuant to Rule 50, Federal Rules of Civil Procedure.1

Defendant grounded its motion for directed verdict upon plaintiffs’ failure to prove compliance with Section 38.1-381 (e) (1) of the Virginia Code.2 That section which casts insurer and insured in the role of adversaries when uninsured motorist benefits are involved provides in part:

“Any insured intending to rely on the coverage required by paragraph (b) of this section shall, if any action is instituted against the owner or operator of an uninsured motor vehicle, serve a copy of the process upon the insurance company issuing the policy in the manner prescribed by law, as though such insurance company were a party defendant; such company shall thereafter have the right to file pleadings and take other action allowable by law in the name of the owner or operator of the uninsured motor vehicle or in its own name; provided, however, that nothing in this paragraph shall prevent such owner or operator from employing counsel of his own choice and taking any action in his own interest in connection with such proceeding.” (Underscoring supplied).

No evidence was produced by the plaintiffs tending to show that a copy of the process in the Virginia action was served on the defendant in the manner prescribed by Virginia law. It is plaintiffs’ position that this statutory requirement was waived by the defendant. The disposition of the motions depends upon a resolution of this issue.

It is defendant’s position that choice of law principles dictate that this Court apply the substantive law of Virginia, and as pronounced by the Virginia Supreme Court of Appeals, that law requires a verdict be directed for the [176]*176defendant. Plaintiffs have presented a bifurcated argument in opposition to the motion. They concede that Virginia law is controlling for the purpose of defining the applicable standards of conduct, but argue: (1) that under Virginia law, a waiver of Virginia Code § 38.1-381 (e) (1) is possible,3 and the question of waiver should be resolved by a jury rather than as a matter of law because the circumstances giving rise to a claim of implied waiver are always unique to the particular case; and (2) in the alternative, that while Virginia substantive law is controlling, the application of that substantive law is a procedural matter governed by the law of the District of Columbia.4 As an additional prod to this court to apply the law of the forum, plaintiffs point out that all correspondence upon which the claim of implied waiver is based occurred completely within the District of Columbia.5 Under both arguments, plaintiffs contend that, construing the evidence in a light most favorable to them and permitting them the benefit of all legitimate inferences, reasonable men could differ on the question of waiver.

This Court is of the opinion that it is bound by the law of Virginia as that law has been construed by the Virginia Supreme Court of Appeals. It is true that in Boland v. Love, 95 U.S. App.D.C. 337, 341, 222 F.2d 27, 31 (1955) (an action for damages for personal injuries sustained when the plaintiff was struck by an automobile in Virginia) — our Court of Appeals stated:

“Two facets of the law are commonly encountered in situations such as we have here, (1) ‘the law applicable to the case, so far as it concerns the standard of conduct required of the parties, is the law of the place of injury,’ and (2) the application of that standard must be made according to the law of the District of Columbia, for that is a procedural matter. Consequently, the question whether there is sufficient evidence to take the case to the jury must be determined according to our law.” (citing Tobin v. Pennsylvania R. Co., 69 App.D.C. 262, 263, 100 F.2d 435 (1938), certiorari denied, 306 U.S. 640, 59 S.Ct. 488, 83 L.Ed. 1040 (1939)).

However, the Court of Appeals continued :

“Granting the standard is that of ordinary care, has Virginia by statute or final appellate court decision established whether the particular conduct involved here is or is not negligent, considering all the circumstances ? We have found no Virginia case, and none has been cited * * Id.

Finding no such statute or decision, the Court of Appeals applied the common law of the District of Columbia on the presumption that Virginia’s common law would be the same.

The situation is quite different when the foreign jurisdiction’s highest appellate court has decided whether the particular conduct involved meets the standard as defined by that jurisdiction’s substantive law. In Jiggetts v. Atlantic Coast Line Railroad Company, 99 U.S. App.D.C.

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Cite This Page — Counsel Stack

Bluebook (online)
295 F. Supp. 174, 1969 U.S. Dist. LEXIS 10520, Counsel Stack Legal Research, https://law.counselstack.com/opinion/grant-v-maryland-casualty-insurance-dcd-1969.