Harvey v. McLaughlin

616 S.E.2d 660, 172 N.C. App. 582, 2005 N.C. App. LEXIS 1775
CourtCourt of Appeals of North Carolina
DecidedAugust 16, 2005
DocketCOA04-1597
StatusPublished
Cited by6 cases

This text of 616 S.E.2d 660 (Harvey v. McLaughlin) is published on Counsel Stack Legal Research, covering Court of Appeals of North Carolina primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Harvey v. McLaughlin, 616 S.E.2d 660, 172 N.C. App. 582, 2005 N.C. App. LEXIS 1775 (N.C. Ct. App. 2005).

Opinion

CALABRIA, Judge.

John Harvey (“plaintiff’) appeals an order of the trial court dismissing his malpractice claim against Patrick D. McLaughlin, D.C. (“defendant”) for chiropractic treatment. The trial court dismissed plaintiff’s claim on the grounds that it was barred by the doctrine of judicial estoppel. We reverse.

According to a final compromise settlement agreement (the “agreement”) entered into between plaintiff and his employer on 15 August 2002, plaintiff sustained an injury to his back on 9 June 1997 in the course and scope of his employment while trying to move heavy cabinets. The agreement represented the culmination and settlement of all of plaintiff’s claims as against the employer and carrier arising from the workers’ compensation claim filed by plaintiff following the accident. The agreement additionally set forth that, following the 9 June injury, (1) plaintiff sought treatment from defendant, (2) defendant performed a “violent” manipulation to plaintiff’s neck, (3) plaintiff alleged defendant’s manipulation was “connected to his treatment for his work related injury[,]” and (4) said manipulation “led to [plaintiff’s] disability.” The agreement detailed a truncated treatment history as well as other factors relevant to a *583 determination of a workers’ compensation award and settled all claims between plaintiff and his employer for $457,254.84.

On 5 October 2000, plaintiff commenced a civil action against defendant for malpractice relating to the chiropractic treatment provided by defendant. In the factual assertions, plaintiff generally alleged he was in good health, pain free, and actively engaged in the construction business prior to 11 June 1997. Plaintiff, however, also specifically alleged that “[a] few days before June 11,1997, [he] pulled his upper back.” Plaintiff stated he developed back pain on 9 June 1997, which precluded his participation in a fishing tournament the next day, and went on to detail that those symptoms precipitated his visit to defendant’s practice. In his complaint, plaintiff again reiterated the “violent” manipulation employed by defendant to treat plaintiff and comprehensively explained the subsequent diagnoses and treatments following his visit to defendant. Plaintiff was ultimately diagnosed with a severely ruptured right C6-7 cervical disk, which necessitated multiple surgeries and left plaintiff with a forty-nine percent permanent partial disability to his back, neck, and one arm.

Defendant answered the complaint and moved to dismiss the complaint based on lack of subject matter jurisdiction and on the doctrine of judicial estoppel. Defendant’s motions were heard by the trial court on 12 August 2004. On 27 August 2004, the trial court dismissed plaintiff’s complaint, concluding it was barred by the doctrine of judicial estoppel. Plaintiff moved for reconsideration under Rule 60(b) of the North Carolina Rules of Civil Procedure, which the trial court denied. In denying plaintiff’s motion, the trial court found that plaintiff had “intentionally asserted contrary legal positions” in the workers’ compensation claim and before the trial court. Specifically, the trial court cited the dichotomy between plaintiff’s complaint, alleging plaintiff was pain free, in good health, and actively engaged in physical and construction activities prior to 11 June 1997. The trial court also cited the Form 21 Agreement, which set forth that plaintiff was injured by accident and that the onset of disability occurred on 10 June 1997. The trial court also contrasted plaintiff’s complaint, that prior to 11 June 1997, he had never experienced pain in his neck or cervical region, with discovery materials that included a medical history form plaintiff completed on 11 June 1997 prior to being treated by defendant in which plaintiff described his condition or problem as “pain in [the] upper neck.” Plaintiff appeals the dismissal of his claim by the trial court on the doctrine of judicial estoppel.

*584 Judicial estoppel is an equitable, gap-filling doctrine that “provid[es] courts with a means to protect the integrity of judicial proceedings” from “individuals who would play fast and loose with the judicial system.” Whitacre P’ship v. Biosignia, Inc., 358 N.C. 1, 26, 591 S.E.2d 870, 887 (2004) (citation and internal quotation marks omitted)). The doctrine “prohibits] parties from deliberately changing positions [on factual assertions] according to the exigencies of the moment[.]” Id., 358 N.C. at 28, 591 S.E.2d at 888 (citations and internal quotation marks omitted). While observing that the circumstances allowing for the invocation of judicial estoppel “are probably not reducible to any general formulation of principle,” our Supreme Court enumerated the following three factors as guidance concerning whether application of the doctrine would be appropriate: (1) whether a party has taken a subsequent position that is clearly inconsistent with its earlier position, (2) whether the party successfully persuaded a court to accept the earlier, inconsistent position raising a threat to judicial integrity by inconsistent court determinations or the appearance that the first or the second court was misled, and (3) whether the inconsistent position gives the asserting party an unfair advantage or imposes on the opposing party an unfair detriment if not estopped. Id., 358 N.C. at 28-29, 591 S.E.2d at 888-89 (citations and internal quotation marks omitted). Only the first of these factors is an essential and required element. Id., 358 N.C. at 29, n.7, 591 S.E.2d at 888, n.7. The invocation of the doctrine of judicial estoppel is addressed to the sound discretion of the trial court, id., 358 N.C. at 33, 591 S.E.2d at 891, and our review of a trial court’s application of the doctrine is limited to determining whether the trial court abused its discretion. Id., 358 N.C. at 38, 591 S.E.2d at 894.

Initially, we note the order of the trial court is couched in terms of whether plaintiff “intentionally asserted contrary legal positions” in the various proceedings. This language is consistent with this Court’s formulation of the doctrine of judicial estoppel in Medical Rentals, Inc. v. Advanced Services, 119 N.C. App. 767, 771, 460 S.E.2d 361, 364 (1995). However, our Supreme Court criticized this formulation insofar as it suggested that the doctrine could be reduced to an inflexible prerequisite or exhaustive formula. Whitacre P’ship, 358 N.C. at 28, 591 S.E.2d at 888. Stating that this formulation “fail[ed] to adequately recognize the inherently flexible nature of th[e] discretionary equitable doctrine [of judicial estoppel,]” our Supreme Court declined to accept it in favor of the three-part factors test set forth, supra. Id.

*585 Turning to the test adopted by our Supreme Court and looking at the pleadings and record as a whole, we conclude plaintiff has not taken “clearly inconsistent” positions. With respect to the first enumerated inconsistency, the trial court noted plaintiff had differing assertions regarding the date of the onset of pain in his complaint as compared with the date of disability in his Form 21 Agreement.

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Cite This Page — Counsel Stack

Bluebook (online)
616 S.E.2d 660, 172 N.C. App. 582, 2005 N.C. App. LEXIS 1775, Counsel Stack Legal Research, https://law.counselstack.com/opinion/harvey-v-mclaughlin-ncctapp-2005.