In re the Estate of Robinson

66 Misc. 2d 167, 319 N.Y.S.2d 932, 1971 N.Y. Misc. LEXIS 1699
CourtNew York Surrogate's Court
DecidedApril 12, 1971
StatusPublished
Cited by3 cases

This text of 66 Misc. 2d 167 (In re the Estate of Robinson) is published on Counsel Stack Legal Research, covering New York Surrogate's Court primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
In re the Estate of Robinson, 66 Misc. 2d 167, 319 N.Y.S.2d 932, 1971 N.Y. Misc. LEXIS 1699 (N.Y. Super. Ct. 1971).

Opinion

Otto C. Jaeger, S.

This is a combined proceeding brought by

an administrator for approval of a wrongful death compromise and for judicial settlement of his account relating to the proceeds to be paid thereunder. There are additional items of incidental relief requested which will be discussed as they are passed upon below.

It appears that decedent, a domiciliary of Port Chester, New York, was killed when the car she was driving was negligently struck by another in the Town of Greenwich, Connecticut, on January 31, 1970 at approximately 10:15 p.m. Both the driver and the owner of the other car involved were also residents of Port Chester, New York. Decedent was survived by a divorced spouse and four children, three of the children being infants. The adult child, age 23, is the administrator herein. At time of death, two of said infants, being daughters ages 19 and 18 respectively, were married and living apart from decedent’s abode. The unmarried infant, a son then 16 years of age, lived with the decedent and was almost entirely dependent upon her for his support and maintenance. All of the afore-mentioned survivors, with the exception of one married infant, resided here in New York, in fact, all in Port Chester. None then resided in Connecticut, nor does any now.

[168]*168The divorced spouse has made no claim to share in the proceeds of settlement and has duly waived and consented to the relief requested. However, an issue has arisen among the remaining parties with "respect to the allocation of the net proceeds of settlement in the manner set forth in petitioner’s account. The account reflects a proposed distribution pursuant to the laws of Connecticut (Conn. Gen. Stat. [1969 Revision], § 45-280) under which, in the case of intestacy, distribution of the net proceeds of a wrongful death recovery is directed to be made in accordance with the law concerning the distribution of intestate personal estate. Under the circumstances here, with the divorced spouse not claiming any interest in these proceeds, each of decedent’s children would share equally in the net recovery (Conn. Gen. Stat. [1949 Revision], § 45-274). Thus, as will be discussed more fully below, it appears that Connecticut’s wrongful death statute is a survival statute and in this regard, differs materially from our New York statutes.

Since the account here indicated that all infants were similarly situated with respect to the proposed distribution, one guardian ad litem was appointed to appear on their behalf. This guardian, by interim report, advised the court that as a result of his initial investigation of the facts and examination of the applicable law, he was constrained to challenge the proposed method of distribution on the ground that Connecticut law was inapplicable thereto; that in his opinion New York law (EPTL 5-4.4) would govern distribution; that as a result thereof there then existed a conflict of interests between the one unmarried infant and the two married infants, the latter two allegedly having suffered no pecuniary loss from the death of their mother. He thereupon properly requested the court to appoint a different guardian ad litem to appear on behalf of the married infants and the court did so.

The guardian for the married infants and counsel for petitioner have vigorously opposed the position taken by the first guardian with respect to the question of which State’s law of distribution applies. The facts as such are not in dispute. However, the relative importance of each fact and the respective weight each should be given to resolve this choice of law problem is the area where the parties are in irreconcilable disagreement.

Were this issue to have arisen prior to 1963, there would appear little doubt that the law of Connecticut would control (Matter of Jones, 192 N. Y. S. 2d 208 [1959] ; Matter of Petrasek, 191 Misc. 9 [1948]). However, it was in that year that the Court of Appeals, in its historic opinion written in Babcock v. Jackson (12 N Y 2d 473) for the first time undisputably rejected the [169]*169inexorable application of lex loci delicti in a conflict of law setting arising from an automobile accident.

It becomes important at this point to emphasize that the conceptual foundation of lex loci delicti lay in the vested rights doctrine : ‘ ‘ namely, that a right to recover for a foreign tort owes its creation to the law of the jurisdiction where the injury occurred and depends for its existence and extent solely on such law * * * More particularly, as applied to torts, the theory ignores the interest which jurisdictions other than that where the tort occurred may have in the resolution of particular issues.” (Babcock v. Jackson, supra, pp. 477-478).

Accordingly, the court went on to note that this doctrine had been rejected in other tort situations where the place of the tort had no reasonable or relevant interest in the particular issue involved. Where the various courts, after examining the particular circumstances presented, applied the law of some jurisdiction other than the place of the tort, they did so because their particular jurisdiction had a more compelling interest in the application of its law to the legal issue involved. This then became known as the ‘ center of gravity ” or “ grouping of contacts ’ ’ doctrine shown to be the appropriate approach through which ‘ ‘ Justice, fairness and the best practical result ’ * * * may best be achieved by giving controlling effect to the law of the jurisdiction which, because of its relationship or contact with the occurrence or the parties, has the greatest concern with the specific issue raised in the litigation.” (p. 481). Thus, in applying these principles, the court found an Ontario guest statute barring recovery by a passenger against an owner or driver inapplicable to the litigation among the New York residents.

Thereafter followed a series of cases (which the court itself has recognized as somewhat lacking in precise consistency both as to logic and result) in which the court was called upon to invoke this new doctrine. In doing so, it seemingly restricted its application where the rights of third parties may be involved (Dym v. Gordon, 16 N Y 2d 120, which many found confusing, see, e.g., 34 Fordham L. Rev. 711); somewhat changed its emphasis from a qualitative to a quantitative analysis of the contacts (Macey v. Rozbicki, 18 N Y 2d 289) ; extended its application beyond the field of torts to decedents’ estates (Matter of Crichton, 20 N Y 2d 124) ; broadened its embrace to apply the more liberal New York Vehicle and Traffic Law rather than that of North Carolina to impose liability on a New York car owner (Farber v. Smolack, 20 N Y 2d 198) ; reiterated its rule to be ‘1 that the law of the jurisdiction having the greatest interest in the litigation will be applied ” (Miller v. Miller, 22 N Y 2d 12, [170]*17015-16), and finally in Tooker v. Lopes (24 N Y 2d 569) stressed its original qualification that where the defendant’s alleged wrongful conduct is at issue (which the court found not to be the case here), the place of the tort would have a predominant, if not exclusive concern and reaffirmed its qualitative analysis of the contacts.

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Related

In re the Estate of Singleton
96 Misc. 2d 169 (New York Surrogate's Court, 1978)
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Bluebook (online)
66 Misc. 2d 167, 319 N.Y.S.2d 932, 1971 N.Y. Misc. LEXIS 1699, Counsel Stack Legal Research, https://law.counselstack.com/opinion/in-re-the-estate-of-robinson-nysurct-1971.