Great Western Bank v. Southeastern Bank

507 S.E.2d 191, 234 Ga. App. 420, 98 Fulton County D. Rep. 3597, 1998 Ga. App. LEXIS 1265
CourtCourt of Appeals of Georgia
DecidedSeptember 17, 1998
DocketA98A1158
StatusPublished
Cited by12 cases

This text of 507 S.E.2d 191 (Great Western Bank v. Southeastern Bank) is published on Counsel Stack Legal Research, covering Court of Appeals of Georgia primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Great Western Bank v. Southeastern Bank, 507 S.E.2d 191, 234 Ga. App. 420, 98 Fulton County D. Rep. 3597, 1998 Ga. App. LEXIS 1265 (Ga. Ct. App. 1998).

Opinion

Beasley, Judge.

Southeastern Bank filed this action for abusive litigation against Great Western Bank, and against the attorneys who represented Great Western, in its suit against Southeastern in the United States District Court for the Southern District of Georgia. Defendants moved to dismiss on the ground that a state action for abusive litigation may not be brought where the plaintiff had the remedy of Federal Rule of Civil Procedure 11 sanctions available in underlying federal litigation. We granted defendants’ application for interlocutory appeal from the trial court’s denial of their motion.

In the prior action in federal court based on diversity of citizenship, Great Western charged an automobile dealership and its owners with violations of the state and federal RICO statutes as a result of a check-kiting scheme carried on between accounts at Great West- *421 em and Southeastern. Southeastern was added as a defendant based on allegations that it had participated in the scheme. Southeastern provided notice that it intended to pursue remedies under Rule 11 and the Georgia abusive litigation statute if the claims against it were not withdrawn. Southeastern’s motion to dismiss was later granted. Rather than seeking relief under Rule 11, it turned to the state court and invoked state law.

Two essential questions are raised: (1) Did the Georgia legislature intend our abusive litigation statute to be applied to federal lawsuits? (2) Did the United States Congress intend Rule 11 and other federal statutes to be the exclusive remedy for the abusive assertion of federal claims in federal courts? We begin our analysis by reviewing various state and federal court decisions, statutes, and rules relating to abusive litigation.

The 1989 enactment of this state’s abusive litigation statute was preceded by the passage of OCGA § 9-15-14 in 1986 and the Supreme Court of Georgia decision in Yost v. Torok 1 later the same year. OCGA § 9-15-14 provides for an award of attorney fees and expenses of litigation where there is a complete absence of factual or legal support for a claim, defense or other position 2 or where an attorney or party brought or defended an action that lacked substantial justification. 3 By its terms, OCGA § 9-15-14 only applies to civil actions brought in courts of record in this state. 4

Shortly before the effective date of OCGA § 9-15-14, the Court in Yost re-defined into a single cause of action the common law torts relative to abusive litigation, i.e., malicious abuse and use of process. 5 Yost adopted the language of OCGA § 9-15-14 but recognized that it governs only two elements of damages for abusive litigation and does not resolve problems relative to other elements of recovery. 6 The Court in Yost stated that the claim it was creating was derivative in nature and had to be brought as part of the underlying proceeding as a compulsory counterclaim or additional claim. 7

In 1989, the legislature replaced Yost with the abusive litigation statute. 8 It provides for an award of all damages allowed by law against any person who takes an active part in litigation and acts with malice and without substantial justification. 9 Unlike both Yost *422 and OCGA § 9-15-14, the statute creates an independent cause of action and is not procedurally ancillary to the underlying proceeding, except where only attorney fees are sought. 10

Although the abusive litigation statute applies to civil proceedings generally 11 and does not expressly limit its applicability to actions brought in state court, 12 the statute has an “exclusive remedy” provision, OCGA § 51-7-85, which states: “[N]o claim other than as provided in this article or in Code Section 9-15-14 shall be allowed, whether statutory or common law, for the torts of malicious use of civil proceedings, malicious abuse of civil process, nor abusive litigation. . . . This article [shall be] the exclusive remedy for abusive litigation.”

Nonetheless, we have not held that the abusive litigation statute ousts OCGA § 13-6-11 (authorizing recovery of expenses of litigation by plaintiff where defendant has acted in bad faith, been stubbornly litigious, or has caused plaintiff unnecessary trouble and expense) or OCGA § 9-11-37 (providing sanctions for discovery abuse). And, in 1996, the legislature passed OCGA § 9-11-11.1 (b), which authorizes sanctions for abusive litigation that seeks to chill exercise of certain First Amendment rights.

Rule 11 and OCGA § 9-15-14 are analogous. Rule 11 authorizes the court in which an action is brought to award reasonable attorney fees and other expenses where pleadings or motions are presented for an improper purpose or where claims or defenses are without legal or evidentiary support. 13

1. Since the abusive litigation claim set forth in OCGA § 51-7-80 et seq. is maintainable as an independent cause of action in a court other than the one in which the underlying litigation occurred, it is a substantive tort. But as a statute which functions as the successor to Yost and operates in tandem with OCGA § 9-15-14, 14

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Bluebook (online)
507 S.E.2d 191, 234 Ga. App. 420, 98 Fulton County D. Rep. 3597, 1998 Ga. App. LEXIS 1265, Counsel Stack Legal Research, https://law.counselstack.com/opinion/great-western-bank-v-southeastern-bank-gactapp-1998.