Kokx v. Bylenga

617 N.W.2d 368, 241 Mich. App. 655
CourtMichigan Court of Appeals
DecidedSeptember 19, 2000
DocketDocket 215038
StatusPublished
Cited by40 cases

This text of 617 N.W.2d 368 (Kokx v. Bylenga) is published on Counsel Stack Legal Research, covering Michigan Court of Appeals primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Kokx v. Bylenga, 617 N.W.2d 368, 241 Mich. App. 655 (Mich. Ct. App. 2000).

Opinion

Collins, J.

Defendants/third-party plaintiffs, attorney Dan E. Bylenga, Jr., and the law firm of Schenk, *657 Boncher & Prasher (collectively, defendants), appeal by leave granted the circuit court’s order granting summary disposition to third-party defendant Miller, Canfield, Paddock & Stone (Miller Canfield) of defendants’ contribution claim. We affirm.

Following termination of Jerome Kokx’ employment with Gainey Transportation Services (Gainey) in November 1991, Kokx and his wife, Mary Kokx (plaintiffs), retained defendants to, among other things, assist them in exercising their Gainey stock options. Gainey refused to honor plaintiffs’ attempted exercise of stock options and plaintiffs filed suit against Gainey for breach of contract. In August 1992, plaintiffs substituted Miller Canfield in place of defendants as counsel in their breach of contract action. On May 26, 1993, the circuit court dismissed plaintiffs’ action.

In January 1996, plaintiffs filed a legal malpractice suit against defendants only. In July 1996, defendants filed a motion for leave to file a third-party complaint against Miller Canfield. No hearing was ever held regarding this motion and the court never ruled on the motion. In November 1996, the case was dismissed without prejudice by stipulation of the parties. In January 1997, plaintiffs filed their second malpractice suit against defendants, and in May 1997, defendants filed a third-party complaint against Miller Can-field for indemnification and contribution. The parties subsequently agreed to dismiss the indemnity claim.

In January 1998, Miller Canfield filed a motion for summary disposition pursuant to MCR 2.116(C)(8), arguing, in pertinent part, that the contribution claim should be dismissed because the 1995 tort reform legislation *658 1 eliminated joint liability in actions seeking damages for personal injury, property damage, or wrongful death and, consequently, abolished contribution claims in such cases. The circuit court denied Miller Canfield’s motion. However, the court subsequently granted Miller Canfield’s motion for reconsideration, limiting its reconsideration to the issue “whether, in light of the applicability of 1995 PA 161 and 249 to the present litigation, Defendants . . . may continue to pursue their third-party action against [Miller Canfield].” Following a hearing regarding the motion, the circuit court reiterated that the 1995 tort reform legislation governs this case and concluded that a contribution claim such as defendants’ is not viable in light of that legislation. Accordingly, the court reversed its earlier order and granted the motion for summary disposition of the contribution claim.

Defendants first argue on appeal that the circuit court erred in reconsidering its decision to deny summary disposition. Defendants contend that because Miller Canfield’s motion for reconsideration offered no new evidence or argument, but merely revisited the same issue presented in the motion for summary disposition, the court’s reconsideration of its decision was contrary to MCR 2.119(F)(3). Defendants maintain that the court further erred in limiting its reconsideration to one issue only and failing to reconsider whether the 1995 tort reform legislation applies in this case.

A court’s decision to grant a motion for reconsideration is an exercise of discretion. MCR 2.119(F)(3); *659 Michigan Nat’l Bank v Mudgett, 178 Mich App 677, 681; 444 NW2d 534 (1989). Thus, “[i]f a trial court wants to give a ‘second chance’ to a motion it has previously denied, it has every right to do so, and this court rule [MCR 2.119(F)(3)] does nothing to prevent this exercise of discretion.” Smith v Sinai Hosp of Detroit, 152 Mich App 716, 723; 394 NW2d 82 (1986). The rule allows the court considerable discretion in granting reconsideration to correct mistakes, to preserve judicial economy, and to minimize costs to the parties. See Bers v Bers, 161 Mich App 457, 462; 411 NW2d 732 (1987). Accordingly, we find no error in the circuit court’s decision to reconsider its earlier ruling. Further, it was within the court’s discretion to limit its reconsideration to the issue it believed warranted further consideration, and we find no abuse of discretion in that regard.

Defendants next argue that the circuit court erred in granting Miller Canfield’s motion for summary disposition on the basis that claims for contribution such as defendants’ did not survive the 1995 tort reform legislation. Defendants contend that the 1995 legislation does not apply to this case, and, even if it does, that legislation did not eliminate claims for contribution.

Pursuant to MCR 2.116(C)(8) 2 , summary disposition may be granted on the ground that the opposing party *660 has failed to state a claim on which relief can be granted. Horace v Pontiac, 456 Mich 744, 749; 575 NW2d 762 (1998). A motion under MCR 2.116(C)(8) tests the legal sufficiency of a claim by the pleadings alone; the motion may not be supported with documentary evidence. Simko v Blake, 448 Mich 648, 654; 532 NW2d 842 (1995). All factual allegations in support of the claim are accepted as true, as well as any reasonable inferences or conclusions that can be drawn from the facts, and construed in the light most favorable to the nonmoving party. Id. The motion may be granted only when the claim is “so clearly unenforceable as a matter of law that no factual development could possibly justify recovery.” Wade v Dep’t of Corrections, 439 Mich 158, 163; 483 NW2d 26 (1992).

We address first whether the circuit court erred in concluding that this case is governed by the 1995 tort reform legislation. The provisions of 1995 PA 161 became effective September 29, 1995, and those of 1995 PA 249 became effective March 28, 1996. Plaintiffs’ second malpractice action was filed in January 1997 and defendants filed their third-party claim for contribution in May 1997. Defendants argue that the law in effect before the 1995 legislation applies because the second malpractice claim is nothing more than a continuation of the legal malpractice claim filed in January 1996, before part of the 1995 legislation became effective. Defendants contend that when the parties stipulated to dismiss, without prejudice, plaintiffs’ first legal malpractice suit against defendants, it was with the understanding that the “status quo” would be maintained, i.e., that the law in force at the time of the filing of the first claim would apply if and when any new claim was filed. Miller *661 Canfield argues, on the other hand, that it was not a party to the first action or any stipulation to apply the earlier law and, therefore, is not bound by any alleged agreement.

Whether such an agreement did, in fact, exist, and whether Miller Canfield had any part in the agreement, is irrelevant because a court is not bound by such a stipulation of law. In re Finlay Estate, 430 Mich 590, 595; 424 NW2d 272 (1988).

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Bluebook (online)
617 N.W.2d 368, 241 Mich. App. 655, Counsel Stack Legal Research, https://law.counselstack.com/opinion/kokx-v-bylenga-michctapp-2000.