Jane Marie Knox v. Eli Lilly and Company

592 F.2d 317
CourtCourt of Appeals for the Sixth Circuit
DecidedMarch 6, 1979
Docket77-1061
StatusPublished
Cited by4 cases

This text of 592 F.2d 317 (Jane Marie Knox v. Eli Lilly and Company) is published on Counsel Stack Legal Research, covering Court of Appeals for the Sixth Circuit primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Jane Marie Knox v. Eli Lilly and Company, 592 F.2d 317 (6th Cir. 1979).

Opinion

PECK, Senior Circuit Judge.

Jane Marie Knox was born on February 24, 1955. When she was a year and a half old, she was being immunized by her family doctor against poliomyelitis. 1 Within twenty-four hours after receiving the second shot of the series, she became seriously ill, developing a high fever and a stiff neck. She soon was unable to walk, and upon being admitted to the hospital, was diagnosed as suffering acute poliomyelitis. Permanent crippling spinal injuries resulted from the disease.

On January 14, 1975, one year and eleven months after her eighteenth birthday, the plaintiff filed this diversity action against Eli Lilly, the manufacturers of the vaccine used to innoculate her, alleging that the vaccine was unsafe, unfit and contaminated, and that the defendant was negligent in failing to properly label and warn of the dangers of its product.

The sole issue on this interlocutory appeal, certified to us by the district court pursuant to 28 U.S.C. § 1292(b), is whether plaintiff’s action is barred by the Michigan statute of limitations. We agree with the district court that it is not, and remand the case for trial on the merits.

I

After consideration of the briefs and oral arguments of the parties, we decided to certify this issue to the Michigan Supreme Court for resolution. 2 As we noted in our certification order:

*319 The issue is purely one of interpretation of Michigan statutes, and we find that there is substantial ground for difference of opinion. Furthermore, so far as we are able to determine, there is no controlling Michigan precedent. Given the Michigan certification procedure, we see no reason to intervene in the resolution of this issue of state law and policy unless required to do so.

It appears, unfortunately, that we are required to do so. The Michigan Supreme Court simply returned the case to us, stating merely that it “respectfully declines to respond to the question.”

This is not the first time our questions have been rebuffed by the Michigan Supreme Court, and we must frankly conclude that the promise of the certification procedure set out in Rule 797.2 appears to be illusory. The certification procedure, now adopted by several states, has been praised as an example of “rare foresight” by Mr. Justice Frankfurter. Clay v. Sun Insurance Office, 363 U.S. 207, 212, 80 S.Ct. 1222, 4 L.Ed.2d 1170 (1960). The procedure embodies the best of a “cooperative judicial federalism,” 3 in Professor Kurland’s phrase, permitting efficient use of judicial resources, providing resolutions of state law with precedential value, and avoiding the unnecessary friction between state and federal courts which is otherwise an undesirable side-effect of our diversity and pendent jurisdiction. If our requests for assistance are to be denied, however, the certification procedure is worse than useless, as it only further delays the lethargic movement of civil cases through the courts.

The declination by the Supreme Court of Michigan to hear and decide the legal questions of Michigan law in this case, as authorized by its own rule, furnishes another excellent argument in favor of abolishing the diversity jurisdiction of federal courts. When diversity jurisdiction is abolished the federal courts will no longer be required to assign precious time to the fruitless task of rendering decisions involving only questions of state law which will lack precedential value. Such cases will then be tried and decided in the jurisdictions where they belong, namely in the state courts.

Since we must decide this issue of state law, we turn to an analysis of the problem.

II

Both parties agree that the plaintiff’s cause of action accrued at the time she fell ill from the innoculation. The dispute is over the applicable statute of limitations. In 1956, when plaintiff was injured, the statute of limitations for personal injury claims was three years. 4 However, the period of limitations was tolled until the legal disability of infancy was removed at the age of 21, when the three year period began to run again. 5 Thus, at the time Jane Ma *320 rie Knox fell ill, she had until her twenty-fourth birthday, or until February 24, 1979, to file suit. Since her suit was filed in 1975, the action would have been clearly within the limitations period, if it weren’t for the fact that the tolling statute has been rewritten twice since 1956. Which, if any, of those changes apply retroactively to affect plaintiff’s cause of action is the focus of the dispute on this appeal.

In 1961, Michigan practice and procedure law was extensively amended and recodified as the Revised Judicature Act (RJA), which became effective January 1, 1963. Recognizing that changes in the law permitting guardians to bring suit on behalf of minors and incompetents had solved many of the problems formerly faced by persons under legal disability in attempting to enforce their rights, the legislature changed the tolling provision to provide that once the disability was removed, a person would have a grace period of only one year to bring suit, regardless of the cause of action. 6 However, the RJA included two savings clauses which make it clear that this change had no effect on Jane Marie Knox’s cause of action. Section 600.5869 provided:

All actions and rights shall be governed and determined according to the law under which the right accrued, in respect to the limitations of such actions or right of entry.

Furthermore, section 600.9905 provided:

Except as specifically stated or reasonably inferred from the provisions of this act, this act shall not impair or affect any act done, offense committed or right accruing, accrued, or acquired, or liability, penalty, forfeiture or punishment incurred prior to the time this act takes effect, but the same may be enjoyed, asserted, enforced, prosecuted, or inflicted as if this act had not been passed.

Both sections are still in effect.

The Michigan Supreme Court has had occasion to consider the effect of these savings clauses with respect to another statute of limitations section in the RJA relating to malpractice claims. Winfrey v. Farhat, 382 Mich. 380, 170 N.W.2d 34 (1969) was a malpractice case arising out of an operation performed in 1949. The patient did not improve, and suffered continued distress until 1965, when another operation revealed that the first had been improperly performed. The suit was filed six months later.

At the time of the first operation, Michigan law provided that the statute of limitations began to run at the time of the discovery of the wrongful act.

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Bluebook (online)
592 F.2d 317, Counsel Stack Legal Research, https://law.counselstack.com/opinion/jane-marie-knox-v-eli-lilly-and-company-ca6-1979.