Mancari v. AC & S CO., INC.

683 F. Supp. 91, 1988 WL 30206
CourtDistrict Court, D. Delaware
DecidedFebruary 17, 1988
DocketCiv. A. 88-35-JJF
StatusPublished
Cited by9 cases

This text of 683 F. Supp. 91 (Mancari v. AC & S CO., INC.) is published on Counsel Stack Legal Research, covering District Court, D. Delaware primary law. Counsel Stack provides free access to over 12 million legal documents including statutes, case law, regulations, and constitutions.

Bluebook
Mancari v. AC & S CO., INC., 683 F. Supp. 91, 1988 WL 30206 (D. Del. 1988).

Opinion

MEMORANDUM OPINION

FARNAN, District Judge:

This action was commenced in the Superior Court of Delaware in and for New Castle County and was removed to this court on January 27, 1988 by defendant Raymark. In response to the removal petition the plaintiffs have filed a motion to remand.

FACTS

In 1982, various plaintiffs, all citizens of Delaware, filed this action in Delaware Superior Court against various asbestos man *92 ufacturers, some of which were citizens of Delaware. In addition to answering the plaintiffs’ complaint, many of the defendants filed crossclaims against each other seeking to transfer or reduce their exposure to liability. In order to efficiently handle the large number of asbestos cases pending in the superior court one judge has been designated to handle all asbestos matters. In that regard, a pre-trial protocol has been established which sets out for the parties and their counsel a process that efficiently deals with the pre-trial matters that arise in these cases. As the cases progress through the protocol, parties tend to settle with the eventual result that there are usually only a few remaining plaintiffs and defendants in each case. However, it is not uncommon for defendants who have settled with plaintiffs to remain in the action as crossclaim defendants. The special attention that has been given asbestos cases by the superior court has absorbed a significant amount of court resources but has been successful in bringing cases to trial sooner than might have been expected.

After proceeding through the pre-trial stages, the instant case was pre-tried and trial was set to commence on January 11, 1988, at which time Raymark was still a defendant along with various other defendants, some of which were citizens of Delaware. After the trial commenced on January 11, 1988, the parties continued to engage in settlement discussions which resulted on January 25, 1988, with the plaintiffs settling with all the defendants but Raymark. Defendant Raymark was notified at approximately 10:30 p.m. on Monday, January 25, 1988, that the plaintiffs had settled with all the other defendants.

On the morning of January 26, the court was advised that the plaintiffs had reached a settlement with all defendants except Raymark and requested that the court inform the jury that those defendants would no longer be in the case because they had resolved their differences by agreement. At that time, Raymark contended that such an instruction to the jury would be prejudicial to Raymark. However, the court acceded to the plaintiffs’ request and indicated it would advise the jury of the settlement. Raymark moved for a mistrial which was denied by the court.

When court was reconvened, the trial judge made a statement to the jury concerning the settlement; thereafter, the defendant recalled its expert witness, Clifton Hunt, M.D. who had been on direct examination the previous day. After Dr. Hunt took the stand, Raymark stated that its direct examination of Dr. Hunt was complete and cross-examination by plaintiffs’ attorneys and re-direct examination by defense counsel were conducted in due course.

The trial continued through Tuesday, January 26, with the complete participation of counsel for Raymark. At no time did Raymark indicate that it would petition for removal, although Raymark was obviously aware that removal had become possible when it had been advised of the settlement between plaintiffs and the other defendants on the evening of January 25. Trial was scheduled to continue on Wednesday, January 27; however, it was interrupted by Raymark filing its petition for removal in this court. At no time prior to filing its petition had Raymark advised the superior court or plaintiffs that it would seek to end the trial by removing the action.

In support of its motion to remand, the plaintiffs contend that this court does not have jurisdiction because complete diversity does not exist among the remaining parties or, in the alternative, if there is diversity, Raymark waived its right to removal by continuing to participate in the state court trial on Tuesday, January 26 and Wednesday, January 27. Additionally, the plaintiffs seek to have the bond that was posted by the defendant pursuant to 28 U.S.C. § 1446(d) and Local Rule 2.3 increased from $500.00 to $5,000.00.

On its behalf, Raymark argues that when the plaintiffs settled their claims with the other defendants involved in the state court trial the remaining parties were diverse, and the action became removable as a matter of right.

DISCUSSION

After reviewing the briefs of the parties and having heard oral argument, I con- *93 elude that jurisdiction does exist in this court by virtue of the fact that there is complete diversity among the parties, but that Raymark waived its right to removal and, therefore, this case must be remanded to the Delaware Superior Court. Since the matter is being remanded, I do not reach the plaintiffs’ contentions with regard to the sufficiency of the bond posted by Ray-mark.

A. Diversity Jurisdiction and Removal

A defendant or defendants may remove an action to the appropriate United States District Court from any state court when federal jurisdiction is proper. 28 U.S.C. § 1446(a). Normally the petition for removal must be filed in federal court within thirty days after the defendant receives the plaintiff’s initial pleading or after receipt of a summons if the pleading is not required to be served on the defendant. 28 U.S.C. § 1446(b). However, “i[f| the case stated by the initial pleading is not removable, a petition for removal may be filed within thirty days after receipt by the defendant, through service or otherwise, of a copy of an amended pleading, motion, order or other paper from which it may first be ascertained that the case is one which is or has become removable.” Id.

There is no question that this action did not become removable until the plaintiffs settled with the nondiverse defendants on January 25, 1988. There is also no question that if diversity exists, the defendant’s petition was timely filed since two days is clearly within the thirty day limitation. The only issue that remains in determining whether diversity exists and, therefore, whether removal was appropriate, is whether the existence of certain cross-claims between Raymark and other nondiverse defendants destroys complete diversity. 1

When a plaintiff voluntarily enters into a settlement with all nondiverse defendants leaving only a diverse defendant in the action, the plaintiff is deemed to have given up its right to choose the forum of the action. Rowe v. Johns-Manville Corp., 658 F.Supp. 122, 123 (E.D.Pa.1987) (citing Erdey v. American Honda Co., Inc., 96 F.R.D. 593 (M.D.La.1983)). It is not required that dismissal of the nondiverse defendants be in writing or be formalized. See, e.g., Lesher v. Andreozzi, 647 F.Supp.

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Bluebook (online)
683 F. Supp. 91, 1988 WL 30206, Counsel Stack Legal Research, https://law.counselstack.com/opinion/mancari-v-ac-s-co-inc-ded-1988.